Central Grant Water System FY2021 filing

Colfax, LAUnknown exempt organizationEIN 72-1436766Revenue $293K in FY2021

On file with the IRS1047 Landfill Rd · Colfax, LA

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Sale & distribution of Water

100¢ of each $1 spent went to programs.
Mission: Form 990 Part I, line 1 · Programs: Part IX

Before you give

FY2021 · Form 990Independent: from IRS data, not the org
Download 990
Latest return
FY2025
latest Form 990
Looks good: the latest return is for FY2025, 1 tax year back; within 2 tax years.
IRS e-file · Filing history
Surplus or deficit
4 of 6
filings with a surplus
Average surplus $5K a year · 2% of revenue · last 6 filings
Fine: a surplus in 4 of the last 6 filings.
Pt I · Ln 19 · 6 filings
Spent on programs
100%
of spending
Looks good: 100% of spending went to programs; 75% or more.
Pt IX · Ln 25 · col B
Cash reserves
6 mo
of spending, in cash
Looks good: 6.4 months of spending in cash; 3 or more.
Pt X · Ln 1–2 · Pt I · Ln 18
Liabilities
$142K
74% of total assets
Worth a look: liabilities are 74% of assets; over 65%.
Pt X · Ln 26
Independent board members
0
of 5 voting members
Concern: none of 5 voting members are independent.
Pt VI · Ln 1a–1b
Looks goodFineWorth a lookConcernNo data yetTap a box for the reason.
Revenue
$293K
+19% vs prior year
Spent
$261K
To programs
100%
Net assets
$50K
By yearFY2020–FY2025
Revenue
$293K
FY2021▲ +19%
Tap a bar for its year
Revenue by fiscal year
FY2020$247K
FY2021$293K
FY2022$272K
FY2023$266K
FY2024$313K
FY2025$418K
Expenses
$261K
FY2021▲ +16%
Tap a bar for its year
Expenses by fiscal year
FY2020$224K
FY2021$261K
FY2022$270K
FY2023$290K
FY2024$355K
FY2025$377K
Net assets
$50K
FY2021▲ +47%
Tap a bar for its year
Net assets by fiscal year
FY2020$34K
FY2021$50K
FY2022$74K
FY2023$51K
FY2024−$4K
FY2025$57K

From the FY2021 Form 990 (year ending June 2021) · see the original

Form 990 (PDF) Claim
You’re viewing the FY2021 filing — not the latest on file. See the latest (FY2025) →

Is it real?

Yes. Never revoked by the IRS. Latest filing on record: FY2025.

IRS Pub. 78 · IRS Auto-Revocation List · IRS Business Master File

Where the money goes

100 cents of each dollar spent went to programs.

Program services 100% · $261K

Form 990 Part IX, line 25. Every line is in By the numbers.

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Who runs it and what they're paid

5 people listed on the 990.

Part VII, Section A · reportable compensation · most recent filed roster (FY2020); the FY2021 filing did not itemize Part VII
$0Pt VII · Sec A
Vice President
$0Pt VII · Sec A
Board Member
$0Pt VII · Sec A
Board Member
$0Pt VII · Sec A
Board Member
$0Pt VII · Sec A
See Central Grant Water System executive salaries →

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Questions the 990 asks

The form asks each of these directly. These are the filed answers.

  • Family or business ties among officersPt VI · Ln 2No
  • Top official's pay set by an independent reviewPt VI · Ln 15aNo

Programs and updates

Central Grant Water System is a nonprofit organization based in Colfax, LA.

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Provided by the organization

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1 program · in their own filed words · FY2020
01

Sale & distribution of water to approximately 660 rural community

Pt IX · col B

By the numbers

The FY2021 990, line by line.

1The main four
Money inPt VIII
$293K
Ln 12
Fees for servicesLn 2g$293K
Investment incomeLn 3$91
Money outPt IX
$261K
Ln 25
Programscol B$261K
Owns and owesPt X
$50K
net assets · Ln 32
Cash and savingsLn 1–2$140K
Total assetsLn 16$192K
LiabilitiesLn 26$142K
PeoplePt VI, VII
5
listed · VII A
PaidVII A0
Voting boardVI 1a5
IndependentVI 1b0
2In more detail
Revenue in detailPt VIII
Fees for servicesLn 2g$293K
Investment incomeLn 3$91
Total revenueLn 12$293K
Assets in detailPt X, end of year
CashLn 1$39K
SavingsLn 2$101K
Cash and savings togetherLn 1–2$140K
Land, buildings, equipmentLn 10c$37K
Total assetsLn 16$192K
LiabilitiesLn 26$142K
Net assetsLn 32$50K
OperationsPt I, VI
EmployeesI 56
Fiscal year endsHeaderJune
Conflict-of-interest policyVI 12aNo
Whistleblower policyVI 13No
Records policyVI 14No
3Year over year
Balance sheet, start vs end of yearPt X · col A, B
LineStart FY21End FY21
Cash and savingsLn 1–2$81K$140K
Land, buildings, equipmentLn 10c$41K$37K
Total assetsLn 16$140K$192K
LiabilitiesLn 26$106K$142K
Net assetsLn 32$34K$50K
4Every line
Statement of functional expensesPt IX · every line
LineTotalProgramsManagementFundraising
Other salaries and wagesLn 7$106K$106K
Payroll taxesLn 10$9K$9K
Legal feesLn 11b$362$362
Accounting feesLn 11c$4K$4K
Advertising and promotionLn 12$426$426
Office expensesLn 13$2K$2K
InterestLn 20$7K$7K
Depreciation, depletion and amortizationLn 22$10K$10K
InsuranceLn 23$16K$16K
Other expenses (24a–d)Ln 24$17K$17K
All other expensesLn 24e$90K$90K
Total functional expensesLn 25$261K$261K$0$0

Filing history

YearMoney inMoney outIn minus outNet assetsDownload
FY2025 Latest $418K$377K$41K$57K 990 PDF
FY2024 $313K$355K−$42K−$4K 990 PDF
FY2023 $266K$290K−$24K$51K 990 PDF
FY2022 $272K$270K$2K$74K 990 PDF
FY2021 Viewing $293K$261K$33K$50K 990 PDF
FY2020 $247K$224K$22K$34K 990 PDF

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Schedules filed Part IV

III · Programs I · Grants R · Related orgs G · Fundraising L · Interested persons A · Public support F · Foreign M · Noncash
See the full FY2021 990 (6 parts)
Part I · Summary $293,375 revenue, 12 lines filed
I-8 Contributions and grants$0
I-9 Program service revenuePrior year $246,614$293,284
I-10 Investment incomePrior year $79$91
I-11 Other revenue$0
I-12 Total revenuePrior year $246,693$293,375
I-13 Grants and similar amounts paid$0
I-14 Benefits paid to members$0
I-15 Salaries and benefitsPrior year $92,588$115,303
I-16a Professional fundraising fees$0
I-17 Other expensesPrior year $149,740$145,481
I-18 Total expensesPrior year $242,328$260,784
I-19 Revenue less expensesPrior year $4,365$32,591
Part VI · Governance 0 of 5 board members independent, 4 to look at
VI-1a Voting members of the governing body5
VI-1b Independent voting members0
VI-12a Written conflict of interest policyNo
VI-13 Written whistleblower policyNo
VI-14 Document retention and destruction policyNo
VI-15a Process for setting top official's payNo
VI-2 Family or business relationship among officers or directorsNo
Part VIII · Statement of revenue $293,375 across 4 lines filed
VIII-2a-f Program service revenue, itemized rows (sum of 2a–2f as filed)Related to mission $293,284$293,284
VIII-3 Investment incomeRelated to mission $91$91
VIII-8 Net income from fundraising events$0
VIII-12 Total revenueRelated to mission $293,375$293,375
Part IX · Statement of functional expenses $260,784 across 11 lines filed
IX-7 Other salaries and wagesPrograms $106,013$106,013
IX-10 Payroll taxesPrograms $9,290$9,290
IX-11b Legal feesPrograms $362$362
IX-11c Accounting feesPrograms $4,180$4,180
IX-12 Advertising and promotionPrograms $426$426
IX-13 Office expensesPrograms $1,660$1,660
IX-20 InterestPrograms $6,515$6,515
IX-22 Depreciation, depletion and amortizationPrograms $9,943$9,943
IX-23 InsurancePrograms $16,006$16,006
IX-24 Other expenses (24a–d)Programs $16,566$16,566
IX-24e All other expensesPrograms $89,823$89,823
IX-25 Total functional expensesPrograms $260,784 · Management $0 · Fundraising $0$260,784
Part X · Balance sheet $192,346 assets, 10 lines filed
X-1 Cash, non-interest-bearingStart of year $24,931$38,533
X-2 Savings and temporary cash investmentsStart of year $55,831$101,457
X-4 Accounts receivableStart of year $18,461$15,527
X-10c Land, buildings and equipment, netStart of year $40,779$36,829
X-16 Total assetsStart of year $140,002$192,346
X-17 Accounts payable and accrued expensesStart of year $33,628$29,323
X-25 Other liabilitiesStart of year $13,009$7,615
X-26 Total liabilitiesStart of year $106,101$142,420
X-32 Total net assets or fund balancesStart of year $33,901$49,926
X-33 Total liabilities and net assetsStart of year $140,002$192,346
Part XI · Reconciliation of net assets $49,926 net assets at year end
XI-1 Total revenue$293,375
XI-2 Total expenses$260,784
XI-3 Revenue less expenses$32,591
XI-4 Net assets at start of year$33,901
XI-10 Net assets at end of year$49,926

Form 990 e-file (XML) FY2021 from the IRS · Classification, formation year and address from the IRS Business Master File

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