MATTHEW HOUSE REFUGEE SERVICES (OTTAWA) INC.

MATTHEW HOUSE REFUGEE SERVICES (OTTAWA) INC.

To relieve poverty by providing food and other basic supplies to persons of low income, by establishing, operating and maintaining shelters for the homeless, and by providing counselling and other similar programs to relieve poverty. To provide education, counselling and other support services for immigrants and refugees in need, including language instruction, employment training, job search programs, translation services and information programso n Canadian culture and life.


Charity Type

Location: OTTAWA, ON Registration #/EIN # 822991667RR0001
Phone: (613) 212-1499 Type Welfare
Email: INFO@MATTHEWHOUSEOTTAWA.ORG Category Welfare org., n.e.c.
Website: WWW.MATTHEWHOUSEOTTAWA.ORG Operating Budget:
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Executive Director:

What is Organization's Mandate

Mission Statement:

Programs/Services Provided:


Charity information Other Information
Board Members:View Charity Board Information Need Emergency Fundings :
Emergency Funding Information: Donor Bill of Rights Adopted:
Major Donors: Code of Ethical Fundraising Adopted:
Number Of Staff Involved: Strategic Plan Guiding Growth:
Size of the Organization: Small Updated Board Governance Manual & terms:
Number of Volunteers:
Number of People Impacted:

Financial Data

Revenues: $45,474.00 Revenues: $80,186.00 Revenues: $179,155.00 Revenues: $163,873.00 Revenues: $179,355.00 Revenues: $168,082.00 Revenues: $45,474.00 Revenues: $80,186.00 Revenues: $179,155.00 Revenues: $163,873.00 Revenues: $179,355.00 Costs:$11,056.00 Costs:$49,628.00 Costs:$146,146.00 Costs:$166,005.00 Costs:$166,711.00 Costs:$192,056.00 Costs:$11,056.00 Costs:$49,628.00 Costs:$146,146.00 Costs:$166,005.00 Costs:$166,711.00 Costs:$192,056.00
Fiscal Year End: 12/31/2015
Organizational Budget Breakdown Financial Statement:
Revenue:
Gifts with Receipts: $47,461.00
Gifts without Receipts: $0.00
Government Contributions: $0.00
Other Revenue : $120,621.00
Total Revenue : $168,082.00
Expenses
Charitable Programs & Services : $21,540.00
Fundraising : $1,849.00
Management & Administrative : $0.00
Total Expenses : $192,056.00
Profit/Loss: ($23,974.00)
Assets
Cash : $40,921.00
Long Term Investments: $51,697.00
Other Assets: $12,149.00
Total Assets: $104,767.00
Liabilities
Accounts Payable: $8,634.00
Deferred Revenue: $0.00
Other Liabilities: $96,133.00
Total Liabilities: $104,767.00
Fiscal Year EndOperating Costs
12/31/2015$192,056.00
12/31/2014$166,711.00
12/31/2013$166,005.00
12/31/2012$146,146.00
12/31/2011$49,628.00
12/31/2010$11,056.00

Overhead Expenses:


Charity Projects

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Key Issues


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