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) 2019 | (b) 2020 | (c) 2021 | (d) 2022 | (e) 2023 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 1 | Gifts, grants, contributions, and membership fees received. (Do not include any "unusual grant.") .. | 329,180 | 401,121 | 766,110 | 828,999 | 774,042 | 3,099,452 |
| 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 | 329,180 | 401,121 | 766,110 | 828,999 | 774,042 | 3,099,452 |
| 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. | 3,099,452 | |||||
Calendar year
(or fiscal year beginning in)
![]() |
(a) 2019 | (b) 2020 | (c) 2021 | (d) 2022 | (e) 2023 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 7 | Amounts from line 4.. | 329,180 | 401,121 | 766,110 | 828,999 | 774,042 | 3,099,452 |
| 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.).. | 224,934 | 178,503 | 367,224 | 952,765 | 1,289,688 | 3,013,114 |
| 11 | Total support. Add lines 7 through 10 | 6,112,566 | |||||
Calendar year (or fiscal
year beginning in) ![]() |
(a) 2019 | (b) 2020 | (c) 2021 | (d) 2022 | (e) 2023 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 1 | Gifts, grants, contributions, and membership fees received. (Do not include any "unusual grants.") . | ||||||
| 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 | ||||||
| 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 | ||||||
| 7a | Amounts included on lines 1, 2, and 3 received from disqualified persons | ||||||
| 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.. | ||||||
| 8 | Public support. (Subtract line 7c from line 6.) | ||||||
Calendar year
(or fiscal year beginning in)
![]() |
(a) 2019 | (b) 2020 | (c) 2021 | (d) 2022 | (e) 2023 | (f) Total | |
|---|---|---|---|---|---|---|---|
| 9 | Amounts from line 6... | ||||||
| 10a | Gross income from interest, dividends, payments received on securities loans, rents, royalties and income from similar sources.. | ||||||
| b | Unrelated business taxable income (less section 511 taxes) from businesses acquired after June 30, 1975. | ||||||
| c | Add lines 10a and 10b. | ||||||
| 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.).. | ||||||
| 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 2023 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-2023 |
(iii) Distributable Amount for 2023 |
|
|---|---|---|---|---|
| 1 Distributable amount for 2023 from Section C, line 6 | ||||
|
2
Underdistributions, if any, for years prior to 2023 (reasonable cause required-- explain in Part VI).
See instructions. |
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| 3 Excess distributions carryover, if any, to 2023: | ||||
| a From 2018....... | ||||
| b From 2019....... | ||||
| c From 2020....... | ||||
| d From 2021....... | ||||
| e From 2022....... | ||||
| fTotal of lines 3a through e | ||||
| g Applied to underdistributions of prior years | ||||
| h Applied to 2023 distributable amount | ||||
|
i
Carryover from 2018 not applied (see instructions) |
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| j Remainder. Subtract lines 3g, 3h, and 3i from line 3f. | ||||
| 4Distributions for 2023 from Section D, line 7: | ||||
| $ | ||||
| a Applied to underdistributions of prior years | ||||
| b Applied to 2023 distributable amount | ||||
| c Remainder. Subtract lines 4a and 4b from line 4. | ||||
|
5
Remaining underdistributions for years prior to 2023, 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 2023. 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 2024. Add lines 3j and 4c. |
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| 8 Breakdown of line 7: | ||||
| a Excess from 2019..... | ||||
| b Excess from 2020..... | ||||
| c Excess from 2021..... | ||||
| d Excess from 2022..... | ||||
| e Excess from 2023..... | ||||
| Facts And Circumstances Test |
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| Return Reference | Explanation |
|---|---|
| PART II, LINE 10 | 1,723,426 |
| Software ID: | |
| Software Version: |
| Return Reference | Explanation |
|---|---|
| FORM 990, PAGE 1, ITEM B | AUDITED FINANCIAL STATEMENTS FOR YEAR ENDED 05/31/2024 WERE RESTATED AND REISSUED IN SEPTEMBER OF 2025, AFTER THE FILING OF THE ORIGINAL 990. AMENDING RETURN TO REPORT CHANGES TO AUDITED FINANCIAL STATEMENTS. THE FOLLOWING ITEMS HAVE BEEN AMENDED: REVENUE: ORIGINAL RETURN: PART VIII LINE 1F ALL OTHER CONTRIBUTIONS: 645,911 AMENDED RETURN: PART VIII LINE 1F ALL OTHER CONTRIBUTIONS: 649,141 ORIGINAL RETURN: PART VIII LINE 1H ATOTAL CONTRIBUTIONS: 770,812 AMENDED RETURN: PART VIII LINE 1H TOTAL CONTRIBUTIONS: 774,042 ORIGINAL RETURN: PART VIII LINE 2A PROGRAM SERVICE REVENUE: 1,136,382 AMENDED RETURN: PART VIII LINE 2A PROGRAM SERVICE REVENUE: 1,139,709 ORIGINAL RETURN: PART VIII LINE 12 TOTAL REVENUE: 2,039,003 AMENDED RETURN: PART VIII LINE 12 TOTAL REVENUE: 2,045,560 TOTAL CHANGE (INCREASE) IN REVENUE: (6,557) EXPENSES: ORIGINAL RETURN: PART IX LINE 7 OTHER SALARIES & WAGES: PROGRAM SERVICE: 265,648 MANAGEMENT & GENERAL: 44,303 TOTAL: 309,951 AMENDED RETURN: PART IX LINE 7 OTHER SALARIES & WAGES: PROGRAM SERVICE: 265,547 MANAGEMENT & GENERAL: 44,661 TOTAL: 310,208 ORIGINAL RETURN: PART IX LINE 12 ADVERTISING & PROMOTION: PROGRAM SERVICE: 78,018 MANAGEMENT & GENERAL: 95,370 FUNDRAISING: 6,777 TOTAL: 180,165 AMENDED RETURN: PART IX LINE 12 ADVERTISING & PROMOTION: PROGRAM SERVICE: 78,777 MANAGEMENT & GENERAL: 98,213 FUNDRAISING: 6,777 TOTAL: 183,767 ORIGINAL RETURN: PART IX LINE 13 OFFICE EXPENSES: PROGRAM SERVICE: 21,182 MANAGEMENT & GENERAL: 15,083 TOTAL: 36,265 AMENDED RETURN: PART IX LINE 13 OFFICE EXPENSES: PROGRAM SERVICE: 34,115 MANAGEMENT & GENERAL: 14,989 TOTAL: 49,104 ORIGINAL RETURN: PART IX LINE 22 DEPRECIATION: PROGRAM SERVICE: 6,219 AMENDED RETURN: PART IX LINE 22 DEPRECIATION: PROGRAM SERVICE: 7,543 ORIGINAL RETURN:PART IX LINE 24A ARTISTIC PRODUCTION: PROGRAM SERVICE/TOTAL: 406,566 AMENDED RETURN:PART IX LINE 24A PEROT RENTER PORTION OF SALES: PROGRAM SERVICE/TOTAL 443,461 ORIGINAL RETURN:PART IX LINE 24B PEROT RENTER PORTION OF SALES: PROGRAM SERVICE/TOTAL: 399,212 AMENDED RETURN:PART IX LINE 24B ARTISTIC PRODUCTION: PROGRAM SERVICE/TOTAL: 420,065 ORIGINAL RETURN:PART IX LINE 24C PROFESSIONAL FEES: PROGRAM SERVICE: 361,863 MANAGEMENT & GENERAL: 10,926 TOTAL: 372,789 AMENDED RETURN:PART IX LINE 24C PROFESSIONAL FEES: PROGRAM SERVICE: 367.418 MANAGEMENT & GENERAL: 10,926 TOTAL: 378,344 ORIGINAL RETURN: PART IX LINE 24E ALL OTHER EXPENSES: PROGRAM SERVICE: 110,413 MANAGEMENT & GENERAL: 96,355 TOTAL: 206,768 AMENDED RETURN: PART IX LINE 24E ALL OTHER EXPENSES: PROGRAM SERVICE: 109,708 MANAGEMENT& GENERAL: 109,708 TOTAL 212,226 TOTAL CHANGE (INCREASE) IN EXPENSES: 86,783 TOTAL NET CHANGE IN REVENUE & EXPENSES: 80,226 BALANCE SHEET: ASSETS: ORIGINAL RETURN: PART X LINE 1 CASH: 45,990 ORIGINAL RETURN: PART X LINE 2 SAVINGS & INVESTEMNTS: 50,000 ORIGINAL RETURN: PART X LINE 4 ACCOUNTS RCV'BLE: 15,816 ORIGINAL RETURN: PART X LINE 10A LAND, BLDG, EQUIP: 69,990 ORIGINAL RETURN: PART X LINE 10B LESS ACCUMULATED DEPRECIATION: (48,567) ORIGINAL RETURN: PART X LINE 10C NET FIXED ASSETS: 21,423 ORIGINAL RETURN: PART X LINE 16 TOTAL ASSETS: 137,025 AMENDED RETURN: PART X LINE 1 CASH: 48,662 AMENDED RETURN: PART X LINE 2 SAVINGS & INVESTEMNTS: 51,553 AMENDED RETURN: PART X LINE 4 ACCOUNTS RCV'BLE: 113,729 AMENDED RETURN: PART X LINE 10A LAND, BLDG, EQUIP: 68,528 AMENDED RETURN: PART X LINE 10B LESS ACCUMULATED DEPRECIATION: (49,891) AMENDED RETURN: PART X LINE 10C NET FIXED ASSETS: 18,637 AMENDED RETURN: PART X LINE 16 TOTAL ASSETS: 136,377 TOTAL CHANGE (DECREASE) IN TOTAL ASSETS: (648) LIABILITIES: ORIGINAL RETURN: PART X LINE 17 ACCOUNTS PAYABLE & ACCRUED EXPENSES: 97,954 ORIGINAL RETURN: PART X LINE 19 DEFERRED REVENUE: 62,934 ORIGINAL RETURN PART X LINE 25 OTHER LIABILITIES: NOTE PAYABLE FROM RELATED PARTY: 45,000 LINE OF CREDIT: 50,000 DUE TO ENDOWMENT FUND: 0 DUE TO CITY: 0 TOTAL: 95,000 ORIGINAL RETURN: PART X LINE 26 TOTAL LIABILITIES: 255,888 AMENDED RETURN: PART X LINE 17 ACCOUNTS PAYABLE & ACCRUED EXPENSES: 59,676 AMENDED RETURN: PART X LINE 19 DEFERRED REVENUE: 68,678 AMENDED RETURN: PART X LINE 25 OTHER LIABILITIES: NOTE PAYABLE FROM RELATED PARTY: 45,000 LINE OF CREDIT: 50,000 DUE TO ENDOWMENT FUND: 15,000 DUE TO CITY: 97,112 TOTAL: 207,112 AMENDED RETURN: PART X LINE 26 TOTAL LIABILITIES: 335,466 TOTAL CHANGE (INCREASE) IN TOTAL LIABILITIES: (79,578) TOTAL NET CHANGE IN ASSETS & LIABILITIES (80,226) NET ASSETS: ORIGINAL RETURN: PART X LINE 27 NET ASSETS: (118,863) ORIGINAL RETURN: PART X LINE 32 TOTAL NET ASSETS: (118,863) ORIGINAL RETURN: PART X LINE 33 TOTAL LIABILITIES & NET ASSETS 137,025 AMENDED RETURN: PART X LINE 27 NET ASSETS: (199,089) AMENDED RETURN: PART X LINE 32 TOTAL NET ASSETS: (199,089) AMENDED RETURN: PART X LINE 33 TOTAL LIABILITIES & NET ASSETS 136,377 TOTAL CHANGE (DECREASE) IN NET ASSETS: (80,226) TOTAL CHANGE (DECREASE) IN TOTAL LIABILITIES & NET ASSETS (648) RECONCILIATION OF NET ASSETS: ORIGINAL RETURN: PART XI LINE 1: TOTAL REVENUE: 2,039,003 ORIGINAL RETURN: PART XI LINE 2: TOTAL EXPENSES: 2,148,859 ORIGINAL RETURN: PART XI LINE 3: REVENUE LESS EXPENSES: (109,856) ORIGINAL RETURN: PART XI LINE 10: NET ASSETS AT END OF YEAR: (118,863) AMENDED RETURN: PART XI LINE 1: TOTAL REVENUE: 2,045,560 AMENDED RETURN: PART XI LINE 2: TOTAL EXPENSES: 2,235,642 AMENDED RETURN: PART XI LINE 3: REVENUE LESS EXPENSES: (190,082) AMENDED RETURN: PART XI LINE 10: NET ASSETS AT END OF YEAR: (199,089) |
| FORM 990, PAGE 2, PART III, LINE 4D | CONCERT PERFORMANCES ARE HIGH QUALITY SYMPHONIES ORCHESTRATED FOR THE PUBLIC. EDUCATIONAL PROGRAMS ARE PROGRAMS CONDUCTED FOR LOCAL SCHOOLS. |
| FORM 990, PAGE 6, PART VI, LINE 11B | ALL TAX FORMS ARE GIVEN TO THE BOARD IN ELECTRONIC FORMAT TO REVIEW. |
| FORM 990, PAGE 6, PART VI, LINE 12C | THE BOARD REVIEWS DISBURSEMENTS EACH MONTH. |
| FORM 990, PAGE 6, PART VI, LINE 15A | TSO'S EXECUTIVE COMMITTEE ACTS AS THE PERSONNEL COMMITTEE FOR MATTERS RELATED TO THE EMPLOYMENT, CONTRACTING, AND COMPENSATION OF THE ORGANIZATIONS TOP PERSONNEL: THE EXECUTIVE DIRECTOR AND MUSIC DIRECTOR. THESE POSITIONS GENERALLY RUN ON 2 TO 3 YEAR CONTRACTS. BOTH EMPLOYEES ARE REVIEWED ANNUALLY AND THIS INFORMATION IS HELD FOR DISCUSSIONS DURING CONTRACTING YEARS. DURING CONTRACTING YEARS, THE EXECUTIVE COMMITTEE REVIEWS EXTENSIVELY THE EMPLOYEE EVALUATIONS AND SALARY DATA TABLES FROM THE LEAGUE OF AMERICAN ORCHESTRAS AS WELL AS LOCAL PEER ORGANIZATIONS. THE EXECUTIVE COMMITTEE AND EMPLOYEE THEN NEGOTIATE A CONTRACT WHICH IS THEN SENT TO THE BOARD FOR DISCUSSION AND APPROVAL AT A REGULARLY SCHEDULED MEETING. |
| FORM 990, PAGE 6, PART VI, LINE 19 | GOVERNING DOCUMENTS, CONFLICT OF INTEREST POLICY, AND FINANCIAL STATEMENTS ARE MADE AVAILABLE TO THE PUBLIC UPON REQUEST ANYTIME DURING THE TAX YEAR. |
| Software ID: | |
| Software Version: |