Mutual & Membership Benefit
(Y22)
FAIRGROUNDS PIPELINE GROUP
CharityAI™ Score
Not yet evaluated
Financial Overview — FY 2023
$7K
Total Revenue
$40K
Total Expenses
$1.0M
Net Assets
0
Employees
Revenue Sources
Expense Breakdown
Program Expense Ratio
100.0%
Fundraising Efficiency
0.0%
Operating Reserve
315.80x
Liability-to-Asset
5.3%
Revenue Diversification
97.8%
Financial History
| Year | Revenue | Expenses | Net Assets | Program % | Staff |
|---|---|---|---|---|---|
| 2023 | $7K | $40K | $1.0M | 100.0% | 0 |
| 2022 | $10K | $38K | N/A | — | 0 |
| 2021 | $10K | $31K | N/A | — | 0 |
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