Attach to Form 990 or Form 990-EZ.
Go to
www.irs.gov/Form990 for instructions and the latest information.
| (i) Name of supported organization | (ii) EIN | (iii) Type of organization (described on lines 1- 10 above (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 |
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Calendar year
(or fiscal year beginning in)
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(a) 2017 | (b) 2018 | (c) 2019 | (d) 2020 | (e) 2021 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 1 | Gifts, grants, contributions, and membership fees received. (Do not include any "unusual grant.") .. | ||||||
| 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) 2017 | (b) 2018 | (c) 2019 | (d) 2020 | (e) 2021 | (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) 2017 | (b) 2018 | (c) 2019 | (d) 2020 | (e) 2021 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 1 | Gifts, grants, contributions, and membership fees received. (Do not include any "unusual grants.") . | 1,083,038 | 398,989 | 397,481 | 505,267 | 1,062,718 | 3,447,493 |
| 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 | 549,385 | 525,649 | 395,386 | 78,148 | 336,682 | 1,885,250 |
| 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 | 1,632,423 | 924,638 | 792,867 | 583,415 | 1,399,400 | 5,332,743 |
| 7a | Amounts included on lines 1, 2, and 3 received from disqualified persons | 23,875 | 10,725 | 38,012 | 17,211 | 16,800 | 106,623 |
| 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. | ||||||
| c | Add lines 7a and 7b.. | 23,875 | 10,725 | 38,012 | 17,211 | 16,800 | 106,623 |
| 8 | Public support. (Subtract line 7c from line 6.) | 5,226,120 | |||||
Calendar year (or fiscal year beginning in) ![]() |
(a) 2017 | (b) 2018 | (c) 2019 | (d) 2020 | (e) 2021 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 9 | Amounts from line 6... | 1,632,423 | 924,638 | 792,867 | 583,415 | 1,399,400 | 5,332,743 |
| 10a | Gross income from interest, dividends, payments received on securities loans, rents, royalties and income from similar sources.. | 18,873 | 28,971 | 33,040 | 30,593 | 26,086 | 137,563 |
| b | Unrelated business taxable income (less section 511 taxes) from businesses acquired after June 30, 1975. | ||||||
| c | Add lines 10a and 10b. | 18,873 | 28,971 | 33,040 | 30,593 | 26,086 | 137,563 |
| 11 | Net income from unrelated business activities not included on 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.) .. | ||||||
| 13 | Total support. (Add lines 9, 10c, 11, and 12.).. | 1,651,296 | 953,609 | 825,907 | 614,008 | 1,425,486 | 5,470,306 |
| Section A - Adjusted Net Income | (A) Prior Year |
(B) Current Year (optional) |
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| 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) |
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| 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): |
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| 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 0.015 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 0.035 | 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 | ||||
| Section D - Distributions | Current Year | |
|---|---|---|
| 1 Amounts paid to supported organizations to accomplish exempt purposes | 1 | |
|
2
Amounts paid to perform activity that directly furthers exempt purposes of supported organizations, in excess of income from activity |
2 | |
| 3 Administrative expenses paid to accomplish exempt purposes of supported organizations | 3 | |
| 4 Amounts paid to acquire exempt-use assets | 4 | |
| 5 Qualified set-aside amounts (prior IRS approval required - provide details in Part VI) | 5 | |
| 6 Other distributions (describe in Part VI). See instructions | 6 | |
| 7Total annual distributions. Add lines 1 through 6. | 7 | |
|
8
Distributions to attentive supported organizations to which the organization is responsive (provide details in Part VI). See instructions |
8 | |
| 9 Distributable amount for 2021 from Section C, line 6 | 9 | |
| 10 Line 8 amount divided by Line 9 amount | 10 | |
| Section E - Distribution Allocations (see instructions) |
(i) Excess Distributions |
(ii) Underdistributions Pre-2021 |
(iii) Distributable Amount for 2021 |
|
|---|---|---|---|---|
| 1 Distributable amount for 2021 from Section C, line 6 | ||||
|
2
Underdistributions, if any, for years prior to 2021 (reasonable cause required-- explain in Part VI). See instructions. |
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| 3 Excess distributions carryover, if any, to 2021: | ||||
| a From 2016....... | ||||
| b From 2017....... | ||||
| c From 2018....... | ||||
| d From 2019....... | ||||
| e From 2020....... | ||||
| fTotal of lines 3a through e | ||||
| g Applied to underdistributions of prior years | ||||
| h Applied to 2021 distributable amount | ||||
|
i
Carryover from 2016 not applied (see instructions) |
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| j Remainder. Subtract lines 3g, 3h, and 3i from line 3f. | ||||
| 4Distributions for 2021 from Section D, line 7: | ||||
| $ | ||||
| a Applied to underdistributions of prior years | ||||
| b Applied to 2021 distributable amount | ||||
| c Remainder. Subtract lines 4a and 4b from line 4. | ||||
|
5
Remaining underdistributions for years prior to 2021, if any. Subtract lines 3g and 4a from line 2. If the amount is greater than zero, explain in Part VI. See instructions. |
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|
6
Remaining underdistributions for 2021. Subtract lines 3h and 4b from line 1. If the amount is greater than zero, explain in Part VI. See instructions. |
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|
7 Excess distributions carryover to 2022. Add lines 3j and 4c. |
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| 8 Breakdown of line 7: | ||||
| a Excess from 2017..... | ||||
| b Excess from 2018..... | ||||
| c Excess from 2019..... | ||||
| d Excess from 2020..... | ||||
| e Excess from 2021..... | ||||
| Facts And Circumstances Test |
|---|
| Return Reference | Explanation |
|---|
| Software ID: | 21013244 |
| Software Version: | ta21mefv1.0 |
Attach to Form 990 or 990-EZ.
Go to www.irs.gov/Form990 for the latest information.
| Return Reference | Explanation |
|---|---|
| Part III Line 2 | DURING TIMES WHEN OUR THEATER IS NOT USED FOR LIVE PERFORMANCES, |
| Part III Line 2 | COMMUNITY EVENTS OR EDUCATION, WE NOW HAVE EQUIPMENT TO SHOW FILMS. |
| Part VI Line 5 | THE CENTER WAS SUBJECT TO A "HACK" OF ITS SYSTEMS, WHICH WAS REPORTED TO |
| Part VI Line 5 | POLICE AND THOROUGHLY INVESTIGATED. WE ARE COMPLETING SECURITY MEASURES. |
| Part VI Line 11b | THE RETURN WAS PREPARED BY THE TREASURER, A RETIRED CPA, |
| Part VI Line 11b | REVIEWED BY THE CENTER'S ACCOUNTANT, AND EMAILED TO THE BOARD. |
| Part VI Line 12c | MONTHLY VERBAL AND ANNUAL WRITTEN DISCLOSURE IS REQUIRED. ANY |
| Part VI Line 12c | POTENTIAL CONFLICTS ARE REVIEWED AND REPORTED BY THE CONFLICTS CMTE |
| Part VI Line 15a or b | COMPARABILITY DATA WAS USED TO ESTABLISH COMPENSATION FOR THE |
| Part VI Line 15a or b | CENTER'S NEW ASSISTANT DIRECTOR AND ACCOUNTANT. |
| Part VI Line 19 | THE CENTER HAS NOT ESTABLISHED A POLICY FOR MAKING THESE DOCUMENTS |
| Part VI Line 19 | PUBLICLY AVAILABLE. |
| Part IX Line 24e | EQUIPMENT-SMALL PURCHASES Total expenses - $4355.00 Program service expenses - $4355.00 Mgmt and general expenses - $0.00 Fundraising expenses - $0.00 |
| Part IX Line 24e | LICENSES & FEES Total expenses - $1672.00 Program service expenses - $1651.00 Mgmt and general expenses - $22.00 Fundraising expenses - $0.00 |
| Part IX Line 24e | OFFICE POSTAGE & SHIPPING Total expenses - $1011.00 Program service expenses - $0.00 Mgmt and general expenses - $1011.00 Fundraising expenses - $0.00 |
| Part IX Line 24e | RECRUITING Total expenses - $2236.00 Program service expenses - $0.00 Mgmt and general expenses - $2236.00 Fundraising expenses - $0.00 |
| Part IX Line 24e | PRIOR PERIOD ADJ Total expenses - $22677.00 Program service expenses - $0.00 Mgmt and general expenses - $22677.00 Fundraising expenses - $0.00 |
| Part IX Line 24e | RESERVE FOR AUDIO EQUIPME Total expenses - $273137.00 Program service expenses - $273137.00 Mgmt and general expenses - $0.00 Fundraising expenses - $0.00 |
| Part IX Line 24e | UTILITIES Total expenses - $65560.00 Program service expenses - $59312.00 Mgmt and general expenses - $6248.00 Fundraising expenses - $0.00 |
| Part IX Line 24e | MAINTENANCE Total expenses - $65636.00 Program service expenses - $58577.00 Mgmt and general expenses - $7058.00 Fundraising expenses - $0.00 |
| Part IX Line 24e | BUILDING SUPPLIES Total expenses - $10547.00 Program service expenses - $9725.00 Mgmt and general expenses - $822.00 Fundraising expenses - $0.00 |
| Part III Line 4d | Expenses: $6701.00 including grants of: $0.00 Revenue: $670.00 |
| Part III Line 4d | EDUCATIONAL PROGRAMS, INCLUDING SUMMER THEATER CAMP, iPHONE FILMMAKING AND |
| Part III | OTHER PROGRAMS |
| Part III Line 4d | Expenses: $273137.00 including grants of: $0.00 Revenue: $0.00 |
| Part III Line 4d | RESERVE FOR ACQUISITION OF THEATER EQUIPMENT |
| PART III LINE 2 | DURING TIMES WHEN OUR THEATER IS NOT USED FOR LIVE PERFORMANCES, |
| PART III LINE 2 | COMMUNITY EVENTS OR EDUCATION, WE NOW HAVE EQUIPMENT TO SHOW FILMS. |
| PART III LINE 4d | OTHER PROGRAMS: THEATER CAMP, iPHONE VIDEO CLASSES, REVS 670, |
| PART III LINE 4d | EXPENSES 6,701; RESERVE FOR THEATER EQUIPMENT, REVS 0, EXPENSES, |
| PART III LINE 4d | 273,137. |
| PART VI LINE 5 | THE CENTER WAS THE SUBJECT OF A "HACK" OF ITS SYSTEMS, WHICH WAS |
| PART VI LINE 5 | REPORTED TO THE POLICE AND THOROUGHLY INVESTIGATED. WE ARE |
| PART VI LINE 5 | COMPLETING MORE EXTENSIVE SECURITY MEASURES. |
| PART VI LINE 11b | FORM 990 WAS PREPARED BY THE TREASURER, A RETIRED CPA, REVIEWED |
| PART VI LINE 11b | BY THE CENTER'S ACCOUNTANT, AND EMAILED TO THE BOARD FOR REVIEW. |
| PART VI LINE 12c | MONTHLY ORAL AND ANNUAL WRITTEN DISCLOSURE IS REQUIRED. ANY |
| PART VI LINE 12c | POTENTIAL CONFLICTS ARE REVIEWED AND REPORTED BY THE CONFLICTS CMTE. |
| PART VI LINE 15a or b | COMPARABILITY DATA WAS USED TO ESTABLISH COMPENSATION FOR THE |
| PART VI LINE 15 a or c | CENTER'S NEW ASST. DIRECTOR AND ACCOUNTANT. |
| PART VI LINE 19 | THE CENTER HAS NOT ESTABLISHED A POLICY FOR MAKING THESE DOCUMENTS |
| PART VI LINE 19 | PUBLICLY AVAILABLE. |
| PART IX LINE 24e | SMALL EQUIP PURCHASES, 4,355 PROG SERVICES, TOT 4,355 |
| PART IX LINE 24e | LICENSES AND FEES, PROG 1,651, M&G 22, TOT 1,672 |
| PART IX LINE 24e | OFFICE POST & SHIPPING: M&G 1,011, TOT 1,011 |
| PART IX LINE 24e | RECRUITING, M&G 2,236, TOT 2,236 |
| PART IX LINE 24e | RESERVE FOR THEATER EQUIP, PROG 273,137, TOT 273,137 |
| PART IX LINE 24e | UTILITIES, PROG 59,312, M&G 6,248, TOT 65,560 |
| PART IX LINE 24e | MAINTENANCE, PROG 58,578, M&G 7,058, TOT 65,636 |
| PART IX LINE 24e | BLDG SUPPLIES, PROG 9,725, M&G 822, TOT 10,547 |
| Software ID: | 21013244 |
| Software Version: | ta21mefv1.0 |