THE S H A R P FOUNDATION (SOCIETY HOUSING AIDS RESTRICTED PERSONS)

THE S H A R P FOUNDATION (SOCIETY HOUSING AIDS RESTRICTED PERSONS)

PROVIDING HOUSING AND CARE FOR PERSONS LIVING WITH HIV & AIDS


Charity Type

Location: CALGARY, AB Registration #/EIN # 897948436RR0001
Phone: (403) 272-2912 Type Welfare
Email: Category Welfare org., n.e.c.
Website: Operating Budget:
Facebook: www.facebook.com/pages/A-Taste-for-Life-Calgary/178770045501829#!/pages/The-SHARP-Foundation/99920727262 Twitter
Executive Director: PHILLIPE BOILARD

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:No
Major Donors: Code of Ethical Fundraising Adopted:No
Number Of Staff Involved:10 Strategic Plan Guiding Growth:
Size of the Organization: Medium Updated Board Governance Manual & terms:
Number of Volunteers:
Number of People Impacted:

Financial Data

Revenues: $408,072.00 Revenues: $599,903.00 Revenues: $634,924.00 Revenues: $829,380.00 Revenues: $763,566.00 Revenues: $1,122,419.00 Revenues: $970,130.00 Revenues: $875,798.00 Revenues: $408,072.00 Revenues: $599,903.00 Revenues: $634,924.00 Revenues: $829,380.00 Revenues: $763,566.00 Revenues: $1,122,419.00 Revenues: $970,130.00 Costs:$489,342.00 Costs:$541,877.00 Costs:$600,559.00 Costs:$766,326.00 Costs:$890,659.00 Costs:$1,110,082.00 Costs:$967,840.00 Costs:$951,860.00 Costs:$489,342.00 Costs:$541,877.00 Costs:$600,559.00 Costs:$766,326.00 Costs:$890,659.00 Costs:$1,110,082.00 Costs:$967,840.00 Costs:$951,860.00
Fiscal Year End: 3/31/2016
Organizational Budget Breakdown Financial Statement:
Revenue:
Gifts with Receipts: $104,789.00
Gifts without Receipts: $119,601.00
Government Contributions: $500,739.00
Other Revenue : $150,669.00
Total Revenue : $875,798.00
Expenses
Charitable Programs & Services : $780,415.00
Fundraising : $13,477.00
Management & Administrative : $183,923.00
Total Expenses : $951,860.00
Profit/Loss: ($76,062.00)
Assets
Cash : $343,498.00
Long Term Investments: $20,589.00
Other Assets: $111,902.00
Total Assets: $475,989.00
Liabilities
Accounts Payable: $42,251.00
Deferred Revenue: $280,714.00
Other Liabilities: $0.00
Total Liabilities: $322,965.00
Fiscal Year EndOperating Costs
03/31/2016$951,860.00
03/31/2015$967,840.00
03/31/2014$1,110,082.00
03/31/2013$890,659.00
03/31/2012$766,326.00
03/31/2011$600,559.00
03/31/2010$541,877.00
03/31/2009$489,342.00

Overhead Expenses:


Charity Projects

No projects have been registered yet.

Key Issues


    Volunteer Opportunities


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    Documents

    Financial Documents Provided by Charity

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    Documents Provided by Charity

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    Supplemental Documents Provided by Charity

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    Some miscellaneous charity information shown of Charity home page:


    Inkind Donations

    Value of in-kind donations for this fiscal year:
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