Attach to Form 990 or Form 990-EZ.
Information about Schedule A (Form 990 or 990-EZ) and its instructions is at www.irs.gov/form990.
| (i)Name of supported organization | (ii) EIN | (iii) Type of organization (described on lines 1- 9 above or IRC section (see instructions)) | (iv) Is the organization listed in your governing document? | (v) Amount of monetary support (see instructions) | (vi) Amount of other support (see instructions) | |
|---|---|---|---|---|---|---|
| Yes | No | |||||
| Total | ||||||
Calendar year (or fiscal year beginning in) ![]() |
(a) 2010 | (b) 2011 | (c) 2012 | (d) 2013 | (e) 2014 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 1 | Gifts, grants, contributions, and membership fees received. (Do not include any "unusual grants.") .... | ||||||
| 2 | Tax revenues levied for the organization's benefit and either paid to or expended on its behalf....... | ||||||
| 3 | The value of services or facilities furnished by a governmental unit to the organization without charge.. | ||||||
| 4 | Total. Add lines 1 through 3 | ||||||
| 5 | The portion of total contributions by each person (other than a governmental unit or publicly supported organization) included on line 1 that exceeds 2% of the amount shown on line 11, column (f).. | ||||||
| 6 | Public support. Subtract line 5 from line 4. | ||||||
Calendar year
(or fiscal year beginning in) ![]() |
(a) 2010 | (b) 2011 | (c) 2012 | (d) 2013 | (e) 2014 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 7 | Amounts from line 4.. | ||||||
| 8 | Gross income from interest, dividends, payments received on securities loans, rents, royalties and income from similar sources... | ||||||
| 9 | Net income from unrelated business activities, whether or not the business is regularly carried on.. | ||||||
| 10 | Other income. Do not include gain or loss from the sale of capital assets (Explain in Part VI.).. | ||||||
| 11 | Total support Add lines 7 through 10. | ||||||
Calendar year (or fiscal year beginning in) ![]() |
(a) 2010 | (b) 2011 | (c) 2012 | (d) 2013 | (e) 2014 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 1 | Gifts, grants, contributions, and membership fees received. (Do not include any "unusual grants.") . | 2,844,866 | 3,187,178 | 3,648,366 | 4,661,867 | 5,140,587 | 19,482,864 |
| 2 | Gross receipts from admissions, merchandise sold or services performed, or facilities furnished in any activity that is related to the organization's tax-exempt purpose...... | 5,070,868 | 5,427,256 | 5,738,994 | 7,050,930 | 6,578,394 | 29,866,442 |
| 3 | Gross receipts from activities that are not an unrelated trade or business under section 513.. | ||||||
| 4 | Tax revenues levied for the organization's benefit and either paid to or expended on its behalf... | ||||||
| 5 | The value of services or facilities furnished by a governmental unit to the organization without charge.. | ||||||
| 6 | Total. Add lines 1 through 5. | 7,915,734 | 8,614,434 | 9,387,360 | 11,712,797 | 11,718,981 | 49,349,306 |
| 7a | Amounts included on lines 1, 2, and 3 received from disqualified persons... | 99,211 | 93,025 | 94,860 | 103,180 | 1,139,504 | 1,529,780 |
| b | Amounts included on lines 2 and 3 received from other than disqualified persons that exceed the greater of $5,000 or 1% of the amount on line 13 for the year. | 0 | |||||
| c | Add lines 7a and 7b.. | 99,211 | 93,025 | 94,860 | 103,180 | 1,139,504 | 1,529,780 |
| 8 | Public support (Subtract line 7c from line 6.) | 47,819,526 | |||||
Calendar year (or fiscal year beginning in) ![]() |
(a) 2010 | (b) 2011 | (c) 2012 | (d) 2013 | (e) 2014 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 9 | Amounts from line 6... | 7,915,734 | 8,614,434 | 9,387,360 | 11,712,797 | 11,718,981 | 49,349,306 |
| 10a | Gross income from interest, dividends, payments received on securities loans, rents, royalties and income from similar sources.. | 1,390,622 | 894,127 | 834,562 | 703,229 | 469,434 | 4,291,974 |
| b | Unrelated business taxable income (less section 511 taxes) from businesses acquired after June 30, 1975. | ||||||
| c | Add lines 10a and 10b. | 1,390,622 | 894,127 | 834,562 | 703,229 | 469,434 | 4,291,974 |
| 11 | Net income from unrelated business activities not included in line 10b, whether or not the business is regularly carried on. | ||||||
| 12 | Other income. Do not include gain or loss from the sale of capital assets (Explain in Part VI.) .. | 14,357 | 16,327 | 17,776 | 16,434 | 10,693 | 75,587 |
| 13 | Total support. (Add lines 9, 10c, 11, and 12.).. | 9,320,713 | 9,524,888 | 10,239,698 | 12,432,460 | 12,199,108 | 53,716,867 |
| Section A - Adjusted Net Income | (A) Prior Year |
(B) Current Year (optional) |
||||
| 1 | Net short-term capital gain | 1 | ||||
| 2 | Recoveries of prior-year distributions | 2 | ||||
| 3 | Other gross income (see instructions) | 3 | ||||
| 4 | Add lines 1 through 3 | 4 | ||||
| 5 | Depreciation and depletion | 5 | ||||
| 6 | Portion of operating expenses paid or incurred for production or collection of gross income or for management, conservation, or maintenance of property held for production of income (see instructions) | 6 | ||||
| 7 | Other expenses (see instructions) | 7 | ||||
| 8 | Adjusted Net Income (subtract lines 5, 6 and 7 from line 4) | 8 | ||||
| Section B - Minimum Asset Amount | (A) Prior Year |
(B) Current Year (optional) |
||||
| 1 | Aggregate fair market value of all non-exempt-use assets (see instructions for short tax year or assets held for part of year): | 1 | ||||
| a | Average monthly value of securities | 1a | ||||
| b | Average monthly cash balances | 1b | ||||
| c | Fair market value of other non-exempt-use assets | 1c | ||||
| d | Total (add lines 1a, 1b, and 1c) | 1d | ||||
| e | Discount claimed for blockage or other factors (explain in detail in Part VI): | |||||
| 2 | Acquisition indebtedness applicable to non-exempt use assets | 2 | ||||
| 3 | Subtract line 2 from line 1d | 3 | ||||
| 4 | Cash deemed held for exempt use. Enter 1-1/2% of line 3 (for greater amount, see instructions). | 4 | ||||
| 5 | Net value of non-exempt-use assets (subtract line 4 from line 3) | 5 | ||||
| 6 | Multiply line 5 by .035 | 6 | ||||
| 7 | Recoveries of prior-year distributions | 7 | ||||
| 8 | Minimum Asset Amount (add line 7 to line 6) | 8 | ||||
| Section C - Distributable Amount | Current Year | |||||
| 1 | Adjusted net income for prior year (from Section A, line 8, Column A) | 1 | ||||
| 2 | Enter 85% of line 1 | 2 | ||||
| 3 | Minimum asset amount for prior year (from Section B, line 8, Column A) | 3 | ||||
| 4 | Enter greater of line 2 or line 3 | 4 | ||||
| 5 | Income tax imposed in prior year | 5 | ||||
| 6 | Distributable Amount. Subtract line 5 from line 4, unless subject to emergency temporary reduction (see instructions) | 6 | ||||
| 7 | Check here if the current year is the organization's first as a non-functionally-integrated Type III supporting organization (see instructions) | |||||
| Section D - Distributions | Current Year | |
|---|---|---|
| 1 Amounts paid to supported organizations to accomplish exempt purposes | ||
|
2
Amounts paid to perform activity that directly furthers exempt purposes of supported organizations, in excess of income from activity |
||
| 3 Administrative expenses paid to accomplish exempt purposes of supported organizations | ||
| 4 Amounts paid to acquire exempt-use assets | ||
| 5 Qualified set-aside amounts (prior IRS approval required) | ||
| 6 Other distributions (describe in Part VI). See instructions | ||
| 7Total annual distributions. Add lines 1 through 6. | ||
|
8
Distributions to attentive supported organizations to which the organization is responsive (provide details in Part VI). See instructions |
||
| 9 Distributable amount for 2014 from Section C, line 6 | ||
| 10 Line 8 amount divided by Line 9 amount | ||
| Section E - Distribution Allocations (see instructions) |
(i) Excess Distributions |
(ii) Underdistributions Pre-2014 |
(iii) Distributable Amount for 2014 |
|
|---|---|---|---|---|
|
1
Distributable amount for 2014 from Section C, line 6 |
||||
|
2
Underdistributions, if any, for years prior to 2014 (reasonable cause required--see instructions) |
||||
| 3 Excess distributions carryover, if any, to 2014: | ||||
| a From 2009.......X | ||||
| b From 2010.......X | ||||
| c From 2011.......X | ||||
| d From 2012.......X | ||||
| e From 2013....... | ||||
| fTotal of lines 3a through e | ||||
| g Applied to underdistributions of prior years | ||||
| h Applied to 2014 distributable amount | ||||
|
i
Carryover from 2009 not applied (see instructions) |
||||
| j Remainder. Subtract lines 3g, 3h, and 3i from 3f. | ||||
| 4Distributions for 2014 from Section D, line 7: | ||||
| $ | ||||
| a Applied to underdistributions of prior years | ||||
| b Applied to 2014 distributable amount | ||||
| c Remainder. Subtract lines 4a and 4b from 4. | ||||
|
5
Remaining underdistributions for years prior to 2014, if any. Subtract lines 3g and 4a from line 2 (if amount greater than zero, see instructions) |
||||
|
6
Remaining underdistributions for 2014. Subtract lines 3h and 4b from line 1 (if amount greater than zero, see instructions) |
||||
|
7 Excess distributions carryover to 2015. Add lines 3j and 4c. |
||||
| 8 Breakdown of line 7: | ||||
| a From 2010.......X | ||||
| b From 2011.......X | ||||
| c From 2012.......X | ||||
| d From 2013....... | ||||
| e From 2014....... | ||||
| Facts And Circumstances Test |
|---|
| Return Reference | Explanation |
|---|
| Software ID: | |
| Software Version: |
Attach to Form 990 or 990-EZ.
Information about Schedule O (Form 990 or 990-EZ) and its instructions is at| Return Reference | Explanation |
|---|---|
| FORM 990, PART VI, SECTION A, LINE 2 | IRVING CHASE AND NANCY CHASE SERVE ON THE BOARD TOGETHER AND HAVE A FAMILY RELATIONSHIP. DANA SUSSON AND MARK SUSSON SERVE ON THE BOARD TOGETHER AND HAVE A FAMILY RELATIONSHIP. |
| FORM 990, PART VI, SECTION A, LINE 6 | THE ORGANIZATION HAS MEMBERS OF ITS ORGANIZATION. |
| FORM 990, PART VI, SECTION A, LINE 7A | THE MEMBERS MAY ELECT THE MEMBERS OF THE GOVERNING BODY. |
| FORM 990, PART VI, SECTION A, LINE 7B | THE MEMBERS MAY APPROVE SIGNIFICANT DECISIONS OF THE GOVERNING BODY. |
| FORM 990, PART VI, SECTION B, LINE 11 | THE RETURN PREPARER EMAILS A COPY OF THE DRAFT VERSION OF FORM 990 VIA A SECURE WEBSITE TO THE CFO. THE CFO PERFORMS A DETAILED REVIEW OF THE DRAFT FORM 990 PRIOR TO FINALIZING IT WITH THE PREPARER. QUESTIONS AND CHANGES ARE ADDRESSED WITH THE PREPARER. THIS REVIEW PROCESS IS PERFORMED IN JULY 2015. THE FINAL VERSION OF THE FORM 990 IS PROVIDED TO THE CFO AT THE END OF AUGUST 2015 AFTER THE DETAILED REVIEW IS COMPLETED BY THE CFO. THE CFO DISTRIBUTES A COPY OF THE FINAL VERSION OF FORM 990 TO THE CHAIRMAN OF THE BOARD OF DIRECTORS. THE CHAIRMAN OF THE BOARD OF DIRECTORS REVIEWS FORM 990 PRIOR TO SUBMISSION. |
| FORM 990, PART VI, SECTION B, LINE 12C | ALL BOARD MEMBERS, KEY EMPLOYEES, AND MANAGEMENT ARE COVERED BY THE CONFLICT OF INTEREST POLICY. DETERMINATIONS OF CONFLICT AND REVIEW OF CONFLICT IS PERFORMED AT THESE VARIOUS LEVELS OF THE ORGANIZATION. APPROPRIATE ACTION DEPENDING ON THE CONFLICT IS TAKEN BY MANAGEMENT, KEY EMPLOYEES AND THE BOARD. DISCLOSURE FORMS ARE REQUIRED ANNUALLY BY EACH MEMBER OF THE BOARD. |
| FORM 990, PART VI, SECTION B, LINE 15 | UTILIZES COMPENSATION COMMITTEE, FORM 990 OF OTHER ORGANIZATIONS, WRITTEN EMPLOYMENT CONTRACT, AND BOARD/COMPENSATION COMMITTEE APPROVAL FOR DETERMINING REASONABLE COMPENSATION. ALL KEY EMPLOYEE COMPENSATION IS REVIEWED WITH THE CHAIRMAN OF THE BOARD. CEO - CONTRACT IS REVIEWED BY A COMPENSATION COMMITTEE. COMPENSATION PACKAGE IS COMPARED TO OTHER JEWISH COMMUNITY CENTER CEOS THROUGH THE NATIONAL ORGANIZATION OF JEWISH COMMUNITY CENTERS OF AMERICA; AND TO OTHER JEWISH COMMUNAL ORGANIZATIONS; COMPARISON IS ALSO MADE TO EXECUTIVE COMPENSATION OF OTHER LOCAL NON-PROFITS. CEO'S CONTRACT IS MULTI-YEAR. CFO COMPENSATION IS COMPARED TO CFOS AT OTHER JEWISH COMMUNITY CENTERS AND OTHER LOCAL NON-PROFIT/FOR PROFIT BUSINESSES. THE CHAIRMAN OF THE BOARD HEADS THE PERSONNEL COMMITTEE AND NEGOTIATES OR APPOINTS A COMMITTEE TO NEGOTIATE WITH THE CEO. CFO DOES NOT HAVE A CONTRACT. |
| FORM 990, PART VI, SECTION C, LINE 18 | FORM 1023 AND 990 ARE AVAILABLE UPON REQUEST. |
| FORM 990, PART VI, SECTION C, LINE 19 | GOVERNING DOCUMENTS, CONFLICT OF INTEREST POLICY AND FINANCIAL STATEMENTS ARE AVAILABLE UPON REQUEST. |
| FORM 990, PART IX, LINE 24E | MAINTENANCE: PROGRAM SERVICE EXPENSES 187,606. MANAGEMENT AND GENERAL EXPENSES 41,237. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 228,843. PROGRAM SNACKS/FOOD: PROGRAM SERVICE EXPENSES 212,227. MANAGEMENT AND GENERAL EXPENSES 0. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 212,227. SECURITY AND ALARM: PROGRAM SERVICE EXPENSES 173,955. MANAGEMENT AND GENERAL EXPENSES 35,675. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 209,630. COMPUTER EXPENSE: PROGRAM SERVICE EXPENSES 116,991. MANAGEMENT AND GENERAL EXPENSES 51,527. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 168,518. PROGRAM SERVICES EXPENSE: PROGRAM SERVICE EXPENSES 112,560. MANAGEMENT AND GENERAL EXPENSES 0. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 112,560. DUES AND SUBSCRIPTION: PROGRAM SERVICE EXPENSES 60,454. MANAGEMENT AND GENERAL EXPENSES 31,800. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 92,254. FEES, LICENSES & TAXES: PROGRAM SERVICE EXPENSES 69,538. MANAGEMENT AND GENERAL EXPENSES 14,051. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 83,589. PRINTING: PROGRAM SERVICE EXPENSES 78,253. MANAGEMENT AND GENERAL EXPENSES 0. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 78,253. ADMISSION/ENTRANCE FEES: PROGRAM SERVICE EXPENSES 77,932. MANAGEMENT AND GENERAL EXPENSES 0. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 77,932. POSTAGE AND MAIL: PROGRAM SERVICE EXPENSES 33,395. MANAGEMENT AND GENERAL EXPENSES 7,255. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 40,650. BOND EXPENSES: PROGRAM SERVICE EXPENSES 30,053. MANAGEMENT AND GENERAL EXPENSES 6,597. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 36,650. TELEPHONE: PROGRAM SERVICE EXPENSES 21,438. MANAGEMENT AND GENERAL EXPENSES 13,290. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 34,728. EMPLOYEE RECRUITMENT: PROGRAM SERVICE EXPENSES 18,044. MANAGEMENT AND GENERAL EXPENSES 528. FUNDRAISING EXPENSES 0. TOTAL EXPENSES 18,572. |
| FORM 990, PART XI, LINE 9: | UNREALIZED GAIN ON FAIR MARKET VALUE OF INVESTMENT 121,111. UNREALIZED GAIN ON FAIR MARKET VALUE OF BOND INTEREST RATE SWAP 62,732. |
| FORM 990, PART XII, LINE 2C: | SIMILAR TO PRIOR YEARS, THE ORGANIZATION HAS AN AUDIT COMMITTEE THAT IS RESPONSIBLE FOR ENGAGING THE AUDITORS AND OVERSEEING THE AUDIT PROCESS. |
| 990 PART X LINE 20 BONDS - FINAL BOND PAYMENT | ON FEBRUARY 1, 2004, THE ABAG FINANCE AUTHORITY FOR NONPROFIT CORPORATIONS ISSUED VARIABLE RATE DEMAND REVENUE BONDS ON BEHALF OF THE ORGANIZATION. MOST OF THE PROCEEDS ($22,840,389) WERE USED TO FINANCE THE CONSTRUCTION, FURNISHING AND EQUIPPING OF THE ORGANIZATION'S FACILITY IN IRVINE. IN ADDITION, PART OF THE PROCEEDS WERE DEPOSITED INTO A RESERVE FUND ($1,634,077), USED TO PAY THE COST OF ISSUING THE BONDS ($493,104) AND TO PAY LETTER OF CREDIT FEES ($32,500). ON APRIL 1, 2014, THE ORGANIZATION PAID OFF THE $7,665,000 BALANCE OF THE VARIABLE RATE DEMAND REVENUE BONDS AND, IN CONJUNCTION WITH THE FINAL BOND PAYMENT, THE UNAMORTIZED BOND ISSUANCE FEES OF $313,695 WERE WRITTEN OFF TO BOND AMORTIZATION EXPENSE, THE $1,632,555 GROSS PROCEEDS IN RESERVE FUNDS WAS RELEASED, AND THE TEMPORARILY RESTRICTED VARIABLE NOTE DEMAND REVENUE BOND FUND OF $6,032,445 WAS RELEASED FROM RESTRICTION. |
| Software ID: | |
| Software Version: |