THE SAFE HAVEN FOUNDATION OF CANADA

THE SAFE HAVEN FOUNDATION OF CANADA

FUNDRAISING THROUGH PERSONAL AND CORPORATE DONATIONS; PROGRAM RUN BY A MANAGEMENT AGREEMENT WITH THE BOYS AND GIRLS CLUB OF CALGARY.


Charity Type

Location: CALGARY, AB Registration #/EIN # 894907682RR0001
Phone: (403) 230-2613 Type Welfare
Email: Category Providing care, no treatment
Website: WWW.SAFEHAVENFOUNDATION.CA Operating Budget:
Facebook: Twitter
Executive Director: Karen Sherbut

What is Organization's Mandate

Helping give Calgary's vulnerable children and youth their future back.

Mission Statement:

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:Yes
Number Of Staff Involved:2 Strategic Plan Guiding Growth:Yes
Size of the Organization: Small Updated Board Governance Manual & terms:
Number of Volunteers:
Number of People Impacted:800

Financial Data

Revenues: $852,113.00 Revenues: $867,810.00 Revenues: $920,792.00 Revenues: $352,220.00 Revenues: $455,252.00 Revenues: $230,822.00 Revenues: $194,607.00 Revenues: $852,113.00 Revenues: $867,810.00 Revenues: $920,792.00 Revenues: $352,220.00 Revenues: $455,252.00 Revenues: $230,822.00 Costs:$164,741.00 Costs:$181,548.00 Costs:$178,746.00 Costs:$110,285.00 Costs:$106,415.00 Costs:$96,331.00 Costs:$64,500.00 Costs:$164,741.00 Costs:$181,548.00 Costs:$178,746.00 Costs:$110,285.00 Costs:$106,415.00 Costs:$96,331.00 Costs:$64,500.00
Fiscal Year End: 12/31/2015
Organizational Budget Breakdown Financial Statement:
Revenue:
Gifts with Receipts: $14,316.00
Gifts without Receipts: $14,355.00
Government Contributions: $0.00
Other Revenue : $165,936.00
Total Revenue : $194,607.00
Expenses
Charitable Programs & Services : $9,561.00
Fundraising : $47,504.00
Management & Administrative : $16,996.00
Total Expenses : $64,500.00
Profit/Loss: $130,107.00
Assets
Cash : $1,680,298.00
Long Term Investments: $0.00
Other Assets: $311,428.00
Total Assets: $1,991,726.00
Liabilities
Accounts Payable: $506.00
Deferred Revenue: $0.00
Other Liabilities: $6,779.00
Total Liabilities: $7,285.00
Fiscal Year EndOperating Costs
12/31/2015$64,500.00
12/31/2014$96,331.00
12/31/2013$106,415.00
12/31/2012$110,285.00
12/31/2011$178,746.00
12/31/2010$181,548.00
12/31/2009$164,741.00

Overhead Expenses:

Other: None as all overhead expenses are covered by corporate partners

Charity Projects

No projects have been registered yet.

Key Issues

    Other: At-risk children and youth

    Volunteer Opportunities


    No open vacancies for now

    Documents

    Financial Documents Provided by Charity

    No files have been uploaded yet.

    Documents Provided by Charity

    No files have been uploaded yet.

    Supplemental Documents Provided by Charity

    File NameDescriptionUpload Date 
    Donor Impact 2013-2014 .pdf 07/03/2016 Download

    Some miscellaneous charity information shown of Charity home page:


    Inkind Donations

    Value of in-kind donations for this fiscal year:
    Did you use this donation to match another?
    If so, for which project service?
    Additional comments:
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