Sac Osage Electric Cooperative Inc is located in El Dorado Springs, MO. The organization was established in 1941. According to its NTEE Classification (W80) the organization is classified as: Public Utilities, under the broad grouping of Public & Societal Benefit and related organizations. As of 12/2023, Sac Osage Electric Cooperative Inc employed 41 individuals. This organization is the central organization for a national or regional group of organizations. Sac Osage Electric Cooperative Inc is a 501(c)(12) and as such, is described as a "Benevolent Life Insurance Association, Mutual Ditch or Irrigation Company, Mutual or Cooperative Telephone Company" by the IRS.
For the year ending 12/2023, Sac Osage Electric Cooperative Inc generated $24.1m in total revenue. This represents relatively stable growth, over the past 8 years the organization has increased revenue by an average of 3.2% each year. All expenses for the organization totaled $24.1m during the year ending 12/2023. While expenses have increased by 4.3% per year over the past 8 years. They've been increasing with an increasing level of total revenue. You can explore the organizations financials more deeply in the financial statements section below.
Form
990
Mission & Program ActivityExcerpts From the 990 Filing
TAX YEAR
2023
Describe the Organization's Mission:
Part 3 - Line 1
TO PROVIDE RELIABLE ENERGY AND RELATED SERVICES TO OUR MEMBERS AT THE LOWEEST COST.
Describe the Organization's Program Activity:
Part 3 - Line 4a
SAC-OSAGE ELECTRIC COOPERATIVE PROVIDES ELECTRIC SERVICE TO APPROXIMATELY 9,000 MEMBERS ON A SYSTEM THAT INCLUDES MORE THAN 2,400 MILES OF LINES AND 11,600 METERS.
Name (title) | Role | Hours | Compensation |
---|---|---|---|
Ronald Simmons Crew Foreman | 45 | $111,069 | |
Aaron Ash General Manager | Officer | 40 | $112,511 |
Kelly Eck Journeymane Lineman | 48 | $116,251 | |
Kelly Mcpeak Financial & Admin Manager | Officer | 40 | $92,148 |
Garrett Mays Journeyman Lineman | 48 | $113,902 | |
Tysen Sayler Journeyman Lineman | 46 | $104,147 |
Vendor Name (Service) | Service Year | Compensation |
---|---|---|
Ervin Cable Construction Llc Contractor | 12/30/23 | $9,822,311 |
Techline Materials | 12/30/23 | $7,843,895 |
Mdr Contractor | 12/30/23 | $3,844,661 |
Conexon Llc Contractor | 12/30/23 | $2,907,104 |
Benton Technical Services Contractor | 12/30/23 | $1,833,567 |
Statement of Revenue | |
---|---|
Federated campaigns | $0 |
Membership dues | $0 |
Fundraising events | $0 |
Related organizations | $0 |
Government grants | $0 |
All other contributions, gifts, grants, and similar amounts not included above | $0 |
Noncash contributions included in lines 1a–1f | $0 |
Total Revenue from Contributions, Gifts, Grants & Similar | $0 |
Total Program Service Revenue | $21,455,869 |
Investment income | $60,991 |
Tax Exempt Bond Proceeds | $0 |
Royalties | $0 |
Net Rental Income | $2,535,008 |
Net Gain/Loss on Asset Sales | $0 |
Net Income from Fundraising Events | $0 |
Net Income from Gaming Activities | $0 |
Net Income from Sales of Inventory | $0 |
Miscellaneous Revenue | $0 |
Total Revenue | $24,086,589 |
Statement of Expenses | |
---|---|
Grants and other assistance to domestic organizations and domestic governments. | $0 |
Grants and other assistance to domestic individuals. | $0 |
Grants and other assistance to Foreign Orgs/Individuals | $0 |
Benefits paid to or for members | $2,138,113 |
Compensation of current officers, directors, key employees. | $383,679 |
Compensation of current officers, directors, key employees. | $0 |
Compensation to disqualified persons | $0 |
Other salaries and wages | $755,627 |
Pension plan accruals and contributions | $0 |
Other employee benefits | $0 |
Payroll taxes | $0 |
Fees for services: Management | $0 |
Fees for services: Legal | $0 |
Fees for services: Accounting | $0 |
Fees for services: Lobbying | $0 |
Fees for services: Fundraising | $0 |
Fees for services: Investment Management | $0 |
Fees for services: Other | $0 |
Advertising and promotion | $0 |
Office expenses | $0 |
Information technology | $0 |
Royalties | $0 |
Occupancy | $0 |
Travel | $0 |
Payments of travel or entertainment expenses for any federal, state, or local public officials | $0 |
Conferences, conventions, and meetings | $0 |
Interest | $2,513,697 |
Payments to affiliates | $0 |
Depreciation, depletion, and amortization | $2,473,842 |
Insurance | $0 |
All other expenses | $5,832 |
Total functional expenses | $24,086,589 |
Balance Sheet | |
---|---|
Cash—non-interest-bearing | $3,909,780 |
Savings and temporary cash investments | $0 |
Pledges and grants receivable | $0 |
Accounts receivable, net | $1,028,588 |
Loans from Officers, Directors, or Controlling Persons | $0 |
Loans from Disqualified Persons | $0 |
Notes and loans receivable | $0 |
Inventories for sale or use | $3,860,594 |
Prepaid expenses and deferred charges | $231,616 |
Net Land, buildings, and equipment | $96,500,878 |
Investments—publicly traded securities | $0 |
Investments—other securities | $0 |
Investments—program-related | $12,449,777 |
Intangible assets | $0 |
Other assets | $0 |
Total assets | $117,981,233 |
Accounts payable and accrued expenses | $3,866,605 |
Grants payable | $0 |
Deferred revenue | $1,777,759 |
Tax-exempt bond liabilities | $0 |
Escrow or custodial account liability | $0 |
Loans and other payables to any current Officer, Director, or Controlling Person | $0 |
Secured mortgages and notes payable | $82,864,742 |
Unsecured mortgages and notes payable | $0 |
Other liabilities | $431,071 |
Total liabilities | $88,940,177 |
Net assets without donor restrictions | $0 |
Net assets with donor restrictions | $0 |
Capital stock or trust principal, or current funds | $45,465 |
Paid-in or capital surplus, or land, building, or equipment fund | $0 |
Retained earnings, endowment, accumulated income, or other funds | $28,995,591 |
Total liabilities and net assets/fund balances | $117,981,233 |