Calhoun Water System Inc is located in Calhoun, LA. The organization was established in 1974. According to its NTEE Classification (W80) the organization is classified as: Public Utilities, under the broad grouping of Public & Societal Benefit and related organizations. This organization is an independent organization and not affiliated with a larger national or regional group of organizations. Calhoun Water System 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 12/2021, Calhoun Water System Inc generated $162.1k in total revenue. The organization has seen a slow decline revenue. Over the past 6 years, revenues have fallen by an average of (2.1%) each year. All expenses for the organization totaled $160.6k during the year ending 12/2021. You can explore the organizations financials more deeply in the financial statements section below.
Form
990EZ
Mission & Program ActivityExcerpts From the 990EZ Filing
TAX YEAR
2021
Describe the Organization's Program Activity:
Part 3
CALHOUN WATER SYSTEM PROVIDED SAFE DRINKING WATER TO APPROXIMATELY 800 HOMES IN CALHOUN, LOUISIANA.
Name (title) | Role | Hours | Compensation |
---|---|---|---|
John Allen Jr President | 0 | $0 | |
Roy Pierce Secretary | 0 | $0 | |
Werner Aswell Treasurer | 0 | $0 | |
Randy Brown Director | 0 | $0 | |
John Utesch Director | 0 | $0 |
Statement of Revenue | |
---|---|
Total Revenue from Contributions, Gifts, Grants & Similar | $0 |
Total Program Service Revenue | $162,113 |
Membership dues | $0 |
Investment income | $21 |
Gain or Loss | $0 |
Net Income from Gaming & Fundraising | $0 |
Other Revenue | $0 |
Total Revenue | $162,134 |
Statement of Expenses | |
---|---|
Grants and similar amounts paid | $0 |
Benefits paid to or for members | $0 |
Salaries, other compensation, and employee benefits | $22,332 |
Professional fees and other payments to independent contractors | $61,830 |
Occupancy, rent, utilities, and maintenance | $22,508 |
Printing, publications, postage, and shipping | $2,330 |
Other expenses | $51,628 |
Total expenses | $160,628 |
Balance Sheet | |
---|---|
Cash, savings, and investments | $286,342 |
Other assets | $0 |
Total assets | $446,221 |
Total liabilities | $10,743 |
Net assets or fund balances | $435,478 |
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