US
LINDSAY WILDLIFE EXPERIENCE - GuideStar Profile
LINDSAY WILDLIFE EXPERIENCE - GuideStar Profile
GuideStar
Charity Check Summary Report
as of April 23, 2026
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Foundation Status Code: PC
info
| Public charity described in section 509(a)(1) or (2)
IRS Publication 78 details
Organization name:
Lindsay Wildlife Museum
EIN:
94-6104179
Most recent IRS Publication 78:
April 2026
Verified with most recent Internal Revenue Bulletin:
April 20, 2026
IRS Business Master File details
Organization name:
LINDSAY WILDLIFE MUSEUM
EIN:
94-6104179
Most recent IRS BMF:
April 14, 2026
IRS subsection:
501(c)(3) Public Charity
Reason for non-private foundation status:
Section 509(a)(1) organization as referred to in Section 170(b)(1)(A)(vi)
LINDSAY WILDLIFE EXPERIENCE
aka
Lindsay Wildlife Experience
Walnut Creek, CA
GuideStar Charity Check
LINDSAY WILDLIFE EXPERIENCE
EIN: 94-6104179
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Contributions tax deductible
info
as of April 2026
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IRS BMF 509(a)(1)
as of April 14, 2026
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View summary
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Charity Check report
Mission
The mission of Lindsay Wildlife Experience is to connect people with wildlife to inspire responsibility and respect for the world we share. The museum was founded in 1955 by Alexander Lindsay, a local businessman, to teach children about natural sciences, particularly wildlife and their habitats. Over the years, the museum has developed a permanent collection of live, non-releasable native California wildlife and related artifacts.
More than 100,000 people a year come through the museum's doors or attend one of our educational offerings. The museum is included in the Bay Area Parent's Hall of Fame and Diablo Magazine readers have consistently named the museum the Best East Bay Museum and Best Place to Volunteer in the Bay Area.
Ruling year
info
1958
Executive Director
Karen Deshayes
Main address
Lindsay Wildlife Experience 1931 First Avenue
Walnut Creek, CA 94597 USA
Show more contact info
Contact Information
Contact
Karen Deshayes
Primary contact phone: (925) 935-1978
[email protected]
Executive Director
Main office phone: (925) 935-1978
Physical Address
Lindsay Wildlife Experience 1931 First Avenue
Walnut Creek, CA 94597
Payment Address
1931 1st Ave
Walnut Creek, CA 94597-2540
Donation Payable
Legal name of organization: Lindsay Wildlife Muesum
Formerly known as
Lindsay Wildlife Museum
EIN
94-6104179
Subject area
info
Natural history museums
Wildlife biodiversity
Elementary education
Youth organizing
Subject area
Natural history museums
Wildlife biodiversity
Elementary education
Youth organizing
Population served
Children and youth
Adults
Population served
info
Children and youth
Adults
NTEE code
info
Wildlife Preservation/Protection (D30)
IRS subsection
501(c)(3) Public Charity
IRS filing requirement
This organization is required to file an IRS Form 990 or 990-EZ.
Tax forms
Show Forms 990
Download tax forms
info
2024 Form 990
2023 Form 990
2022 Form 990
2021 Form 990
2020 Form 990
2020 Form 990
2019 Form 990
2018 Form 990
2017 Form 990
2016 Form 990
2015 Form 990
2014 Form 990
2013 Form 990
2013 Form 990 (provided by organization)
2012 Form 990
2012 Form 990 (provided by organization)
2011 Form 990
2011 Form 990 (provided by organization)
2010 Form 990
2009 Form 990
2008 Form 990
2008 Form 990 (provided by organization)
2007 Form 990
2006 Form 990
2005 Form 990
2004 Form 990
2003 Form 990
2002 Form 990
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Communication
Programs and results
Reports and documents
Download annual reports
2011 Lindsay Wildlife Museum Annual Report Fiscal Year 2010-2011
What we aim to solve
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Our programs
SOURCE: Self-reported by organization
What are the organization's current programs, how do they measure success,
and who do the programs serve?
Wildlife Rehabilitation
Established in 1970, the hospital is one of the oldest wildlife hospitals in the country. We treat over 5,500 wild animals a year. Our goal is to return them to their environment able to thrive and survive. Over 300 volunteers support this program, working in our hospital or providing home care for recovering wildlife. The hospital is supervised by 1.3 full-time equivalent veterinarians and supported by volunteer vets. What we learn from caring for and rehabilitating our wildlife in the hospital informs our exhibits and educational programs.
Population(s) Served
Education Programs
Using Lindsay Wildlife Museum’s unique educational, wildlife and natural history resources, our education department works with teachers to help bring activity-based, inquiry-driven learning to children and adults. We have developed innovative environmental curriculum for pre-schoolers through 12th graders, integrating wild animals, science, math and environmental studies. Programming includes site-based events like Tiny Tuesdays, a monthly program for toddlers, as well as special workshops for elementary school children, curricula for home-schoolers, and summer camps. School-based programs focus on STEM subjects that enhance grade appropriate curricula. Field-based classes offer students an opportunity to visit an endangered habitat and learn from hands-on activities. Our adult programs include monthly wildlife speakers and will soon introduce nature hikes led by wildlife experts.
Population(s) Served
Adults
Natural Science Collection
Accredited by the American Alliance of Museums, we have a collection of over 16,000 objects including taxidermied wildlife, nests, eggs, preserved plants, geological specimens, and American Indian objects. These artifacts are used in our own exhibits and programs, as well as those of other museums who borrow from our collection. We also make these items available to teachers and students to use in their classes and educational work to provide unique visual displays that can bring their topic to life. Our collection of animal ambassadors includes over 100 live, wild animals who cannot return to their habitat due to a physical or behavioral condition that would make survival impossible. We have committed to providing a home for these animals for the rest of their lives and they are used in all educational and museum programs.
Population(s) Served
Adults
Living Wildlife Collection
Lindsay has more than 50 "animal ambassadors," wildlife that have been too seriously injured to be released or those that have become so habituated to people that their ability to survive in the wild has been compromised. Lindsay is especially known for its collection of raptors, owls and ravens, but also provides "up close and personal" experiences with our small mammals, reptiles, and amphibians.
Population(s) Served
Where we work
Alameda County, CA
Contra Costa County, CA
Affiliations & memberships
Association of Science and Technology Centers
2012
Goals & Strategy
SOURCE: Self-reported by organization
Learn about the organization's key goals, strategies, capabilities, and progress.
Charting impact
Four powerful questions that require reflection about what really matters - results.
What is the organization aiming to accomplish?
Through our programs, we hope to achieve the following goals:
1) Educate people to practice behaviors that protect wildlife and their habitat.
2) Inspire the public to take responsibility for the care of the natural world.
3) Provide an entertaining, educational experience to foster awe and respect for wild animals and our environment.
4) Enable adults to share our messages and teachings with the young children in their lives.
5) Provide the best medical and rehabilitation care to wild animals in need.
6) Provide scientific data and research to inform education programs, exhibits, and interpretive materials.
What are the organization's key strategies for making this happen?
We have several strategies for achieving our organizational goals. We will use the following strategies:
• Develop innovative educational curriculum especially targeted to different age groups and adhering to California State Science Standards.
• Provide school program and youth interpretive guide scholarships for low income and special needs classrooms that wish to visit the museum from Contra Costa, Alameda, and Solano counties.
• Develop an aggressive marketing strategy that involves sending school program brochures to 700 targeted schools in Contra Costa, Alameda, and Solano Counties, including 500 mailings to schools that have never participated in new programs.
• Market educator resources, classroom tools, and the Educator Science Resource Fair to 1,300 teachers in Contra Costa, Alameda, and Solano Counties.
• Track metrics for education program participants- especially schools- including prior visits, demographics, ages of participants, and school district. Measure the success of our programs by evaluating teacher satisfaction and changes in student attitudes and knowledge.
• Treat and care for sick, injured, or orphaned native wildlife that enter our rehabilitation hospital.
• Provide high quality supplies and equipment necessary for treatment and rehabilitation, including surgical and diagnostic equipment, medicine, and first aid supplies.
• Provide trained and experienced staff members to treat and monitor wildlife and give them additional training on specialized equipment or treatment as needed.
• Recruit and train volunteers to provide necessary husbandry including daily feeding, cleaning, and enrichment exercises to allow them to survive in the wild.
• Organize and collect data on wildlife patients and identify and document trends.
Financials
LINDSAY WILDLIFE EXPERIENCE
Fiscal year: Jul 01 - Jun 30
Financial documents
Download audited financials
2023
2022
2014 Lindsay Wildlife Museum Financial Statements June 30, 2013 and 2012
2013 Lindsay Wildlife Museum Financial Statements June 30, 2012 and 2011
2011 Lindsay Wildlife Museum Financial Statements June 30, 2011 and 2010
done
Yes, financials were audited by an independent accountant.
info
Revenue vs. expenses:
breakdown
SOURCE: IRS Form 990
info
NET GAIN/LOSS:
in
Data not available
Note: When component data are not available, the graph displays the total Revenue and/or Expense values.
Liquidity in 2024
info
SOURCE: IRS Form 990
0.54
Average of 3.32 over 10 years
Months of cash in 2024
info
SOURCE: IRS Form 990
1.2
Average of 3.1 over 10 years
Fringe rate in 2024
info
SOURCE: IRS Form 990
15%
Average of 17% over 10 years
Funding sources
info
Source: IRS Form 990
Assets & liabilities
info
Source: IRS Form 990
Financial data
SOURCE: IRS Form 990
Digitizing IRS form 990 data
Paid Preparer
REGALIA & ASSOCIATES, CPAS
EIN: 68-0260103
103 TOWN & COUNTRY DR., STE. K
DANVILLE, CA 94526
Tel: 925-314-0390
Paid Preparer
REGALIA & ASSOCIATES, CPAS
EIN: 68-0260103
103 TOWN & COUNTRY DR., STE. K
DANVILLE, CA 94526
Tel: 925-314-0390
Paid Preparer
REGALIA & ASSOCIATES, CPAS
EIN: 68-0260103
103 TOWN & COUNTRY DR., STE. K
DANVILLE, CA 94526
Tel: 925-314-0390
Paid Preparer
REGALIA & ASSOCIATES, CPAS
EIN: 68-0260103
103 TOWN & COUNTRY DR., STE. K
DANVILLE, CA 94526
Tel: 925-314-0190
Paid Preparer
Regalia & Associates CPAs
103 Town Country Dr Ste K
Danville, CA 94526
Tel: 925-314-0390
Paid Preparer
Regalia & Associates CPAs
103 Town Country Dr Ste K
Danville, CA 94526
Tel: 925-314-0390
Paid Preparer
QUIGLEY & MIRON CPA'S
EIN: 95-4656881
3550 WILSHIRE BOULEVARD-SUITE 1660
LOS ANGELES, CA 900102481
Tel: 213-639-3550
Paid Preparer
QUIGLEY & MIRON CPA'S
EIN: 95-4656881
3550 WILSHIRE BLVD1660
LOS ANGELES, CA 90010
Tel: 213-639-3550
Paid Preparer
QUIGLEY & MIRON CPAS
EIN: 95-4656881
3550 WILSHIRE BLVD1660
LOS ANGELES, CA 90010
Tel: 213-639-3550
Paid Preparer
QUIGLEY & MIRON
EIN: 32-0530003
3550 WILSHIRE BLVD 1660
LOS ANGELES, CA 90010
Tel: 213-639-3550
Paid Preparer
QUIGLEY & MIRON
EIN: 32-0530003
3550 WILSHIRE BLVD 1660
LOS ANGELES, CA 90010
Tel: 213-639-3550
Paid Preparer
QUIGLEY & MIRON
EIN: 32-0530003
3550 WILSHIRE BLVD 1660
LOS ANGELES, CA 90010
Tel: 213-639-3550
Paid Preparer
QUIGLEY & MIRON
EIN: 32-0530003
3550 WILSHIRE BLVD 1660
LOS ANGELES, CA 90010
Tel: 213-639-3550
Paid Preparer
QUIGLEY & MIRON
EIN: 32-0530003
3550 WILSHIRE BLVD 1660
LOS ANGELES, CA 90010
Tel: 213-639-3550
Paid Preparer
QUIGLEY & MIRON
EIN: 32-0530003
3550 WILSHIRE BLVD 1660
LOS ANGELES, CA 90010
Tel: 213-639-3550
Paid Preparer
QUIGLEY & MIRON
EIN: 32-0530003
3580 WILSHIRE BLVD 1755
LOS ANGELES, CA 90010
Tel: 213-639-3550
Revenue & expenses
Balance sheet
Financial trends analysis
Glossary & formula definitions
LINDSAY WILDLIFE EXPERIENCE
Revenue & expenses
Fiscal Year:
Jul 01 - Jun 30
SOURCE: IRS Form 990
info
Fiscal year ending:
cloud_download
Download Data
2009
Revenue
Contributions
$1,331,002
Government Grants
$109,737
Program Services
$673,042
Investments
$110,044
Special Events
$13,649
Sales
$74,981
Other
$733
Total Revenue
$2,313,188
Expenses
Program Services
$1,611,695
Administration
$342,320
Fundraising
$460,002
Total Expenses
$2,414,017
Net Gain/Loss
($100,829)
Functional expenses
Accounting Fees
$6,525
Advertising & Promotion
$11,504
Information Technology Expenses
$10,286
Insurance Expenses
$71,254
Interest Expenses
$607
Investment Management Fees
$0
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2010
Revenue
Contributions
$2,352,249
Government Grants
$227,545
Program Services
$673,714
Investments
$110,019
Special Events
$17,916
Sales
$72,480
Other
$6,774
Total Revenue
$3,460,697
Expenses
Program Services
$1,558,768
Administration
$345,902
Fundraising
$361,943
Total Expenses
$2,266,613
Net Gain/Loss
$1,194,084
Functional expenses
Accounting Fees
$6,975
Advertising & Promotion
$16,800
Information Technology Expenses
$8,657
Insurance Expenses
$78,465
Interest Expenses
$172
Investment Management Fees
$0
Legal Fees
$0
Pension Plan Contributions
$9,000
Professional Fundraising Expenses
$0
2011
Revenue
Contributions
$1,190,948
Government Grants
$75,000
Program Services
$670,179
Investments
$132,891
Special Events
$30,518
Sales
$71,885
Other
$6,208
Total Revenue
$2,177,629
Expenses
Program Services
$1,596,374
Administration
$270,864
Fundraising
$354,849
Total Expenses
$2,222,087
Net Gain/Loss
($44,458)
Functional expenses
Accounting Fees
$7,250
Advertising & Promotion
$23,154
Information Technology Expenses
$7,089
Insurance Expenses
$83,250
Interest Expenses
$101
Investment Management Fees
$0
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2012
Revenue
Contributions
$1,477,586
Government Grants
$75,000
Program Services
$668,179
Investments
$120,521
Special Events
$21,751
Sales
$79,533
Other
$1,208
Total Revenue
$2,443,778
Expenses
Program Services
$1,652,861
Administration
$292,948
Fundraising
$319,396
Total Expenses
$2,265,205
Net Gain/Loss
$178,573
Functional expenses
Accounting Fees
$7,425
Advertising & Promotion
$16,467
Information Technology Expenses
$7,596
Insurance Expenses
$88,504
Interest Expenses
$29
Investment Management Fees
$0
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2013
Revenue
Contributions
$773,206
Government Grants
$75,000
Program Services
$622,317
Investments
$128,462
Special Events
$12,228
Sales
$96,743
Other
$15,437
Total Revenue
$1,723,393
Expenses
Program Services
$1,637,435
Administration
$352,625
Fundraising
$290,329
Total Expenses
$2,280,389
Net Gain/Loss
($556,996)
Functional expenses
Accounting Fees
$17,135
Advertising & Promotion
$16,957
Information Technology Expenses
$8,426
Insurance Expenses
$61,570
Interest Expenses
$0
Investment Management Fees
$0
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2014
Revenue
Contributions
$1,346,771
Government Grants
$84,997
Program Services
$700,329
Investments
$117,400
Special Events
$39,518
Sales
$100,745
Other
$7,009
Total Revenue
$2,396,769
Expenses
Program Services
$2,206,638
Administration
$363,193
Fundraising
$323,951
Total Expenses
$2,893,782
Net Gain/Loss
($497,013)
Functional expenses
Accounting Fees
$16,683
Advertising & Promotion
$10,455
Information Technology Expenses
$9,153
Insurance Expenses
$66,629
Interest Expenses
$0
Investment Management Fees
$0
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2015
Revenue
Contributions
$3,959,015
Government Grants
$63,308
Program Services
$453,363
Investments
$96,873
Special Events
$0
Sales
$47,731
Other
$23,482
Total Revenue
$4,643,772
Expenses
Program Services
$1,759,692
Administration
$344,458
Fundraising
$372,380
Total Expenses
$2,476,530
Net Gain/Loss
$2,167,242
Functional expenses
Accounting Fees
$52,424
Advertising & Promotion
$19,289
Information Technology Expenses
$0
Insurance Expenses
$28,309
Interest Expenses
$0
Investment Management Fees
$0
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2016
Revenue
Contributions
$1,441,935
Government Grants
$75,000
Program Services
$504,091
Investments
$46,609
Special Events
$0
Sales
$84,447
Other
$14,543
Total Revenue
$2,166,625
Expenses
Program Services
$2,075,469
Administration
$371,677
Fundraising
$409,685
Total Expenses
$2,856,831
Net Gain/Loss
($690,206)
Functional expenses
Accounting Fees
$60,474
Advertising & Promotion
$50,985
Information Technology Expenses
$87,216
Insurance Expenses
$27,370
Interest Expenses
$278
Investment Management Fees
$0
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2017
Revenue
Contributions
$1,517,419
Government Grants
$75,000
Program Services
$456,469
Investments
$91,785
Special Events
$0
Sales
$63,197
Other
$14,451
Total Revenue
$2,218,321
Expenses
Program Services
$1,940,267
Administration
$395,402
Fundraising
$343,792
Total Expenses
$2,679,461
Net Gain/Loss
($461,140)
Functional expenses
Accounting Fees
$56,750
Advertising & Promotion
$32,248
Information Technology Expenses
$13,244
Insurance Expenses
$25,861
Interest Expenses
$0
Investment Management Fees
$10,356
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2018
Revenue
Contributions
$1,392,768
Government Grants
$82,561
Program Services
$567,485
Investments
$88,462
Special Events
$0
Sales
$72,688
Other
$14,147
Total Revenue
$2,218,111
Expenses
Program Services
$2,189,396
Administration
$423,050
Fundraising
$317,078
Total Expenses
$2,929,524
Net Gain/Loss
($711,413)
Functional expenses
Accounting Fees
$54,448
Advertising & Promotion
$39,431
Information Technology Expenses
$0
Insurance Expenses
$28,620
Interest Expenses
$0
Investment Management Fees
$10,806
Legal Fees
$0
Pension Plan Contributions
$6,284
Professional Fundraising Expenses
$0
2019
Revenue
Contributions
$1,399,347
Government Grants
$75,000
Program Services
$669,105
Investments
$245,255
Special Events
$0
Sales
$102,280
Other
$7,200
Total Revenue
$2,498,187
Expenses
Program Services
$2,270,534
Administration
$469,296
Fundraising
$324,516
Total Expenses
$3,064,346
Net Gain/Loss
($566,159)
Functional expenses
Accounting Fees
$59,150
Advertising & Promotion
$62,575
Information Technology Expenses
$0
Insurance Expenses
$33,543
Interest Expenses
$0
Investment Management Fees
$10,185
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2020
Revenue
Contributions
$2,951,646
Government Grants
$75,000
Program Services
$459,478
Investments
$76,292
Special Events
$0
Sales
$68,249
Other
$7,200
Total Revenue
$3,637,865
Expenses
Program Services
$2,311,488
Administration
$388,131
Fundraising
$405,894
Total Expenses
$3,105,513
Net Gain/Loss
$532,352
Functional expenses
Accounting Fees
$62,151
Advertising & Promotion
$19,769
Information Technology Expenses
$0
Insurance Expenses
$11,250
Interest Expenses
$0
Investment Management Fees
$0
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2021
Revenue
Contributions
$1,673,861
Government Grants
$1,117,747
Program Services
$132,809
Investments
$245,870
Special Events
$0
Sales
$19,474
Other
$3,600
Total Revenue
$3,193,361
Expenses
Program Services
$2,267,387
Administration
$586,955
Fundraising
$380,014
Total Expenses
$3,234,356
Net Gain/Loss
($40,995)
Functional expenses
Accounting Fees
$63,400
Advertising & Promotion
$6,678
Information Technology Expenses
$0
Insurance Expenses
$35,649
Interest Expenses
$0
Investment Management Fees
$8,451
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$25,200
2022
Revenue
Contributions
$1,966,660
Government Grants
$100,250
Program Services
$457,069
Investments
$114,355
Special Events
$0
Sales
$52,308
Other
$600
Total Revenue
$2,691,242
Expenses
Program Services
$2,215,031
Administration
$621,488
Fundraising
$320,831
Total Expenses
$3,157,350
Net Gain/Loss
($466,108)
Functional expenses
Accounting Fees
$65,900
Advertising & Promotion
$7,809
Information Technology Expenses
$0
Insurance Expenses
$40,064
Interest Expenses
$0
Investment Management Fees
$10,053
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$115,600
2023
Revenue
Contributions
$2,611,743
Government Grants
$111,276
Program Services
$640,765
Investments
$114,616
Special Events
$0
Sales
$69,245
Other
$0
Total Revenue
$3,547,645
Expenses
Program Services
$2,581,667
Administration
$593,018
Fundraising
$258,955
Total Expenses
$3,433,640
Net Gain/Loss
$114,005
Functional expenses
Accounting Fees
$63,700
Advertising & Promotion
$10,103
Information Technology Expenses
$0
Insurance Expenses
$44,548
Interest Expenses
$0
Investment Management Fees
$9,249
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$50,000
2024
Revenue
Contributions
$2,597,678
Government Grants
$142,859
Program Services
$770,280
Investments
$191,883
Special Events
$0
Sales
$83,721
Other
$0
Total Revenue
$3,786,421
Expenses
Program Services
$2,697,745
Administration
$736,053
Fundraising
$213,206
Total Expenses
$3,647,004
Net Gain/Loss
$139,417
Functional expenses
Accounting Fees
$73,925
Advertising & Promotion
$6,769
Information Technology Expenses
$0
Insurance Expenses
$60,217
Interest Expenses
$0
Investment Management Fees
$9,753
Legal Fees
$0
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
LINDSAY WILDLIFE EXPERIENCE
Balance sheet
Fiscal Year:
Jul 01 - Jun 30
SOURCE: IRS Form 990
info
The balance sheet gives a snapshot of the financial health of an organization at a particular point in time.
An organization's total assets should generally exceed its total liabilities, or it cannot survive long,
but the types of assets and liabilities must also be considered. For instance, an organization's current assets
(cash, receivables, securities, etc.) should be sufficient to cover its current liabilities (payables, deferred revenue, current year loan, and note payments).
Otherwise, the organization may face solvency problems. On the other hand, an organization whose cash and equivalents greatly exceed its current
liabilities might not be putting its money to best use.
Fiscal year ending:
cloud_download
Download Data
2009
Assets
Jul 01, 2008
Jun 30, 2009
Change
Contributions
$1,331,002
Cash & Equivalents
$1,048,763
$808,323
($240,440)
Accounts Receivable
$56,638
$43,568
($13,070)
Pledges & Grants Receivable
$15,529
$256,371
$240,842
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$29,470
$31,687
$2,217
Investment, Securities
$698,668
$652,960
($45,708)
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,777,161
$1,630,049
($147,112)
Other
$55,916
$51,307
($4,609)
Total Assets
$3,682,145
$3,474,265
($207,880)
Liabilities
Jul 01, 2008
Jun 30, 2009
Change
Accounts Payable
$207,296
$168,784
($38,512)
Grants Payable
$0
$0
$0
Deferred Revenue
$43,694
$39,787
($3,907)
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$20,413
$6,434
($13,979)
Total Liabilities
$271,403
$215,005
($56,398)
Fund balance
Jul 01, 2008
Jun 30, 2009
Change
Temporarily Restricted Net Assets
$199,270
$436,901
$237,631
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$569,920
$807,551
$237,631
Unrestricted Net Assets
$2,840,822
$2,451,709
($389,113)
Net Assets
$3,410,742
$3,259,260
($151,482)
2010
Assets
Jul 01, 2009
Jun 30, 2010
Change
Contributions
$2,352,249
Cash & Equivalents
$1,048,454
$1,388,789
$340,335
Accounts Receivable
$43,568
$36,805
($6,763)
Pledges & Grants Receivable
$256,371
$1,165,026
$908,655
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$31,687
$40,034
$8,347
Investment, Securities
$412,829
$594,137
$181,308
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,630,049
$1,477,476
($152,573)
Other
$51,307
$57,005
$5,698
Total Assets
$3,474,265
$4,759,272
$1,285,007
Liabilities
Jul 01, 2009
Jun 30, 2010
Change
Accounts Payable
$168,784
$206,250
$37,466
Grants Payable
$0
$0
$0
Deferred Revenue
$39,787
$32,355
($7,432)
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$6,434
$4,229
($2,205)
Total Liabilities
$215,005
$242,834
$27,829
Fund balance
Jul 01, 2009
Jun 30, 2010
Change
Temporarily Restricted Net Assets
$436,901
$1,338,655
$901,754
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$807,551
$1,709,305
$901,754
Unrestricted Net Assets
$2,451,709
$2,807,133
$355,424
Net Assets
$3,259,260
$4,516,438
$1,257,178
2011
Assets
Jul 01, 2010
Jun 30, 2011
Change
Contributions
$1,190,948
Cash & Equivalents
$1,388,789
$1,201,868
($186,921)
Accounts Receivable
$36,805
$23,765
($13,040)
Pledges & Grants Receivable
$1,165,026
$1,073,831
($91,195)
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$40,034
$37,778
($2,256)
Investment, Securities
$594,137
$713,804
$119,667
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,477,476
$1,720,621
$243,145
Other
$57,005
$62,000
$4,995
Total Assets
$4,759,272
$4,833,667
$74,395
Liabilities
Jul 01, 2010
Jun 30, 2011
Change
Accounts Payable
$206,250
$245,123
$38,873
Grants Payable
$0
$0
$0
Deferred Revenue
$32,355
$28,826
($3,529)
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$4,229
$1,953
($2,276)
Total Liabilities
$242,834
$275,902
$33,068
Fund balance
Jul 01, 2010
Jun 30, 2011
Change
Temporarily Restricted Net Assets
$1,338,655
$1,304,898
-$33,757
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$1,709,305
$1,675,548
($33,757)
Unrestricted Net Assets
$2,807,133
$2,882,217
$75,084
Net Assets
$4,516,438
$4,557,765
$41,327
2012
Assets
Jul 01, 2011
Jun 30, 2012
Change
Contributions
$1,477,586
Cash & Equivalents
$1,201,868
$1,276,135
$74,267
Accounts Receivable
$23,765
$34,157
$10,392
Pledges & Grants Receivable
$1,073,831
$838,504
($235,327)
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$37,778
$47,254
$9,476
Investment, Securities
$713,804
$761,396
$47,592
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,720,621
$1,896,439
$175,818
Other
$62,000
$61,277
($723)
Total Assets
$4,833,667
$4,915,162
$81,495
Liabilities
Jul 01, 2011
Jun 30, 2012
Change
Accounts Payable
$245,123
$173,700
($71,423)
Grants Payable
$0
$0
$0
Deferred Revenue
$28,826
$29,874
$1,048
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$1,953
$0
($1,953)
Total Liabilities
$275,902
$203,574
($72,328)
Fund balance
Jul 01, 2011
Jun 30, 2012
Change
Temporarily Restricted Net Assets
$1,304,898
$1,181,726
-$123,172
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$1,675,548
$1,552,376
($123,172)
Unrestricted Net Assets
$2,882,217
$3,159,212
$276,995
Net Assets
$4,557,765
$4,711,588
$153,823
2013
Assets
Jul 01, 2012
Jun 30, 2013
Change
Contributions
$773,206
Cash & Equivalents
$1,276,135
$651,264
($624,871)
Accounts Receivable
$34,157
$29,862
($4,295)
Pledges & Grants Receivable
$838,504
$827,150
($11,354)
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$47,254
$58,235
$10,981
Investment, Securities
$761,396
$832,862
$71,466
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,896,439
$1,951,705
$55,266
Other
$61,277
$49,554
($11,723)
Total Assets
$4,915,162
$4,400,632
($514,530)
Liabilities
Jul 01, 2012
Jun 30, 2013
Change
Accounts Payable
$173,700
$146,052
($27,648)
Grants Payable
$0
$0
$0
Deferred Revenue
$29,874
$56,911
$27,037
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$203,574
$202,963
($611)
Fund balance
Jul 01, 2012
Jun 30, 2013
Change
Temporarily Restricted Net Assets
$1,181,726
$1,000,976
-$180,750
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$1,552,376
$1,371,626
($180,750)
Unrestricted Net Assets
$3,159,212
$2,826,043
($333,169)
Net Assets
$4,711,588
$4,197,669
($513,919)
2014
Assets
Jul 01, 2013
Jun 30, 2014
Change
Contributions
$1,346,771
Cash & Equivalents
$651,264
$776,206
$124,942
Accounts Receivable
$29,862
$15,902
($13,960)
Pledges & Grants Receivable
$827,150
$353,331
($473,819)
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$58,235
$55,656
($2,579)
Investment, Securities
$832,862
$916,402
$83,540
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,951,705
$1,812,918
($138,787)
Other
$49,554
$47,014
($2,540)
Total Assets
$4,400,632
$3,977,429
($423,203)
Liabilities
Jul 01, 2013
Jun 30, 2014
Change
Accounts Payable
$146,052
$172,556
$26,504
Grants Payable
$0
$0
$0
Deferred Revenue
$56,911
$52,346
($4,565)
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$202,963
$224,902
$21,939
Fund balance
Jul 01, 2013
Jun 30, 2014
Change
Temporarily Restricted Net Assets
$1,000,976
$487,205
-$513,771
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$1,371,626
$857,855
($513,771)
Unrestricted Net Assets
$2,826,043
$2,894,672
$68,629
Net Assets
$4,197,669
$3,752,527
($445,142)
2015
Assets
Jul 01, 2014
Jun 30, 2015
Change
Contributions
$3,959,015
Cash & Equivalents
$776,206
$363,970
($412,236)
Accounts Receivable
$15,902
$4,404
($11,498)
Pledges & Grants Receivable
$353,331
$3,111,478
$2,758,147
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$55,656
$51,769
($3,887)
Investment, Securities
$916,402
$770,901
($145,501)
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,812,918
$1,772,061
($40,857)
Other
$47,014
$23,592
($23,422)
Total Assets
$3,977,429
$6,098,175
$2,120,746
Liabilities
Jul 01, 2014
Jun 30, 2015
Change
Accounts Payable
$172,556
$137,494
($35,062)
Grants Payable
$0
$0
$0
Deferred Revenue
$52,346
$24,199
($28,147)
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$224,902
$161,693
($63,209)
Fund balance
Jul 01, 2014
Jun 30, 2015
Change
Temporarily Restricted Net Assets
$487,205
$3,258,923
$2,771,718
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$857,855
$3,629,573
$2,771,718
Unrestricted Net Assets
$2,894,672
$2,306,909
($587,763)
Net Assets
$3,752,527
$5,936,482
$2,183,955
2016
Assets
Jul 01, 2015
Jun 30, 2016
Change
Contributions
$1,441,935
Cash & Equivalents
$365,832
$1,978,771
$1,612,939
Accounts Receivable
$4,404
$0
($4,404)
Pledges & Grants Receivable
$3,111,478
$29,396
($3,082,082)
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$51,769
$61,796
$10,027
Investment, Securities
$769,039
$1,454,068
$685,029
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,772,061
$1,958,935
$186,874
Other
$23,592
$18,427
($5,165)
Total Assets
$6,098,175
$5,501,393
($596,782)
Liabilities
Jul 01, 2015
Jun 30, 2016
Change
Accounts Payable
$137,494
$168,004
$30,510
Grants Payable
$0
$0
$0
Deferred Revenue
$24,199
$11,348
($12,851)
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$161,693
$179,352
$17,659
Fund balance
Jul 01, 2015
Jun 30, 2016
Change
Temporarily Restricted Net Assets
$3,258,923
$217,484
-$3,041,439
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$3,629,573
$588,134
($3,041,439)
Unrestricted Net Assets
$2,306,909
$4,733,907
$2,426,998
Net Assets
$5,936,482
$5,322,041
($614,441)
2017
Assets
Jul 01, 2016
Jun 30, 2017
Change
Contributions
$1,517,419
Cash & Equivalents
$1,978,771
$916,313
($1,062,458)
Accounts Receivable
$0
$0
$0
Pledges & Grants Receivable
$29,396
$42,400
$13,004
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$61,796
$39,291
($22,505)
Investment, Securities
$1,454,068
$2,329,558
$875,490
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,958,935
$1,854,379
($104,556)
Other
$18,427
$11,560
($6,867)
Total Assets
$5,501,393
$5,193,501
($307,892)
Liabilities
Jul 01, 2016
Jun 30, 2017
Change
Accounts Payable
$168,004
$204,680
$36,676
Grants Payable
$0
$0
$0
Deferred Revenue
$11,348
$4,148
($7,200)
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$179,352
$208,828
$29,476
Fund balance
Jul 01, 2016
Jun 30, 2017
Change
Temporarily Restricted Net Assets
$217,484
$298,632
$81,148
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$588,134
$669,282
$81,148
Unrestricted Net Assets
$4,733,907
$4,315,391
($418,516)
Net Assets
$5,322,041
$4,984,673
($337,368)
2018
Assets
Jul 01, 2017
Jun 30, 2018
Change
Contributions
$1,392,768
Cash & Equivalents
$916,313
$548,583
($367,730)
Accounts Receivable
$0
$0
$0
Pledges & Grants Receivable
$42,400
$39,580
($2,820)
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$39,291
$38,659
($632)
Investment, Securities
$2,329,558
$2,318,306
($11,252)
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,854,379
$1,692,819
($161,560)
Other
$11,560
$17,889
$6,329
Total Assets
$5,193,501
$4,655,836
($537,665)
Liabilities
Jul 01, 2017
Jun 30, 2018
Change
Accounts Payable
$204,680
$211,381
$6,701
Grants Payable
$0
$0
$0
Deferred Revenue
$4,148
$600
($3,548)
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$208,828
$211,981
$3,153
Fund balance
Jul 01, 2017
Jun 30, 2018
Change
Temporarily Restricted Net Assets
$298,632
$195,668
-$102,964
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$669,282
$566,318
($102,964)
Unrestricted Net Assets
$4,315,391
$3,877,537
($437,854)
Net Assets
$4,984,673
$4,443,855
($540,818)
2019
Assets
Jul 01, 2018
Jun 30, 2019
Change
Contributions
$1,399,347
Cash & Equivalents
$548,583
$280,871
($267,712)
Accounts Receivable
$0
$0
$0
Pledges & Grants Receivable
$39,580
$75,015
$35,435
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$38,659
$33,402
($5,257)
Investment, Securities
$2,318,306
$2,061,939
($256,367)
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,692,819
$1,533,285
($159,534)
Other
$17,889
$1,696,960
$1,679,071
Total Assets
$4,655,836
$5,681,472
$1,025,636
Liabilities
Jul 01, 2018
Jun 30, 2019
Change
Accounts Payable
$211,381
$132,345
($79,036)
Grants Payable
$0
$0
$0
Deferred Revenue
$600
$600
$0
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$211,981
$132,945
($79,036)
Fund balance
Jul 01, 2018
Jun 30, 2019
Change
Temporarily Restricted Net Assets
$195,668
$2,320,849
$2,125,181
Permanently Restricted Net Assets
$370,650
$370,650
$0
Total Restricted Net Assets
$566,318
$2,691,499
$2,125,181
Unrestricted Net Assets
$3,877,537
$2,857,028
($1,020,509)
Net Assets
$4,443,855
$5,548,527
$1,104,672
2020
Assets
Jul 01, 2019
Jun 30, 2020
Change
Contributions
$2,951,646
Cash & Equivalents
$280,871
$1,467,548
$1,186,677
Accounts Receivable
$0
$0
$0
Pledges & Grants Receivable
$75,015
$78,712
$3,697
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$33,402
$29,754
($3,648)
Investment, Securities
$2,061,939
$1,963,431
($98,508)
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,533,285
$1,439,335
($93,950)
Other
$1,696,960
$1,298,384
($398,576)
Total Assets
$5,681,472
$6,277,164
$595,692
Liabilities
Jul 01, 2019
Jun 30, 2020
Change
Accounts Payable
$132,345
$126,518
($5,827)
Grants Payable
$0
$0
$0
Deferred Revenue
$600
$347,825
$347,225
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$132,945
$474,343
$341,398
Fund balance
Jul 01, 2019
Jun 30, 2020
Change
Temporarily Restricted Net Assets
N/A
N/A
N/A
Permanently Restricted Net Assets
N/A
N/A
N/A
Total Restricted Net Assets
$2,691,499
$2,336,039
($355,460)
Unrestricted Net Assets
$2,857,028
$3,466,782
$609,754
Net Assets
$5,548,527
$5,802,821
$254,294
2021
Assets
Jul 01, 2020
Jun 30, 2021
Change
Contributions
$1,673,861
Cash & Equivalents
$1,467,548
$483,107
($984,441)
Accounts Receivable
$0
$21,030
$21,030
Pledges & Grants Receivable
$78,712
$888,176
$809,464
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$29,754
$26,793
($2,961)
Investment, Securities
$1,963,431
$2,439,262
$475,831
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,451,102
$1,260,930
($190,172)
Other
$1,298,384
$889,493
($408,891)
Total Assets
$6,288,931
$6,008,791
($280,140)
Liabilities
Jul 01, 2020
Jun 30, 2021
Change
Accounts Payable
$126,518
$159,380
$32,862
Grants Payable
$0
$0
$0
Deferred Revenue
$600
$600
$0
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$127,118
$159,980
$32,862
Fund balance
Jul 01, 2020
Jun 30, 2021
Change
Temporarily Restricted Net Assets
N/A
N/A
N/A
Permanently Restricted Net Assets
N/A
N/A
N/A
Total Restricted Net Assets
$2,336,039
$2,385,105
$49,066
Unrestricted Net Assets
$3,825,774
$3,463,706
($362,068)
Net Assets
$6,161,813
$5,848,811
($313,002)
2022
Assets
Jul 01, 2021
Jun 30, 2022
Change
Contributions
$1,966,660
Cash & Equivalents
$483,107
$486,665
$3,558
Accounts Receivable
$21,030
$0
($21,030)
Pledges & Grants Receivable
$888,176
$723,178
($164,998)
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$26,793
$14,798
($11,995)
Investment, Securities
$2,439,262
$2,017,040
($422,222)
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,260,930
$1,114,900
($146,030)
Other
$889,493
$7,181,140
$6,291,647
Total Assets
$6,008,791
$11,537,721
$5,528,930
Liabilities
Jul 01, 2021
Jun 30, 2022
Change
Accounts Payable
$159,380
$146,117
($13,263)
Grants Payable
$0
$0
$0
Deferred Revenue
$600
$0
($600)
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$159,980
$146,117
($13,863)
Fund balance
Jul 01, 2021
Jun 30, 2022
Change
Temporarily Restricted Net Assets
N/A
N/A
N/A
Permanently Restricted Net Assets
N/A
N/A
N/A
Total Restricted Net Assets
$2,385,105
$8,662,427
$6,277,322
Unrestricted Net Assets
$3,463,706
$2,729,177
($734,529)
Net Assets
$5,848,811
$11,391,604
$5,542,793
2023
Assets
Jul 01, 2022
Jun 30, 2023
Change
Contributions
$2,611,743
Cash & Equivalents
$486,665
$214,886
($271,779)
Accounts Receivable
$0
$0
$0
Pledges & Grants Receivable
$723,178
$1,111,129
$387,951
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$14,798
$22,546
$7,748
Investment, Securities
$2,017,040
$2,178,464
$161,424
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,114,900
$1,225,735
$110,835
Other
$7,181,140
$7,069,863
($111,277)
Total Assets
$11,537,721
$11,822,623
$284,902
Liabilities
Jul 01, 2022
Jun 30, 2023
Change
Accounts Payable
$146,117
$336,331
$190,214
Grants Payable
$0
$0
$0
Deferred Revenue
$0
$0
$0
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$146,117
$336,331
$190,214
Fund balance
Jul 01, 2022
Jun 30, 2023
Change
Temporarily Restricted Net Assets
N/A
N/A
N/A
Permanently Restricted Net Assets
N/A
N/A
N/A
Total Restricted Net Assets
$8,662,427
$9,000,439
$338,012
Unrestricted Net Assets
$2,729,177
$2,485,853
($243,324)
Net Assets
$11,391,604
$11,486,292
$94,688
2024
Assets
Jul 01, 2023
Jun 30, 2024
Change
Contributions
$2,597,678
Cash & Equivalents
$214,886
$341,149
$126,263
Accounts Receivable
$0
$0
$0
Pledges & Grants Receivable
$1,111,129
$1,867,135
$756,006
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$22,546
$36,703
$14,157
Investment, Securities
$2,178,464
$1,895,059
($283,405)
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,225,735
$1,149,118
($76,617)
Other
$7,069,863
$6,974,864
($94,999)
Total Assets
$11,822,623
$12,264,028
$441,405
Liabilities
Jul 01, 2023
Jun 30, 2024
Change
Accounts Payable
$336,331
$233,187
($103,144)
Grants Payable
$0
$0
$0
Deferred Revenue
$0
$0
$0
Loans and Notes
$0
$400,000
$400,000
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$336,331
$633,187
$296,856
Fund balance
Jul 01, 2023
Jun 30, 2024
Change
Temporarily Restricted Net Assets
N/A
N/A
N/A
Permanently Restricted Net Assets
N/A
N/A
N/A
Total Restricted Net Assets
$9,000,439
$9,976,202
$975,763
Unrestricted Net Assets
$2,485,853
$1,654,639
($831,214)
Net Assets
$11,486,292
$11,630,841
$144,549
LINDSAY WILDLIFE EXPERIENCE
Financial trends analysis
Glossary & formula definitions
Fiscal Year:
Jul 01 - Jun 30
SOURCE: IRS Form 990
info
This snapshot of LINDSAY WILDLIFE EXPERIENCE’s financial trends
applies Nonprofit Finance Fund® analysis to data hosted by
GuideStar. While it highlights the data that matter most,
remember that context is key – numbers only tell part of any story.
Created in partnership with
Fiscal year: Jul 01 - Jun 30
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Business model indicators
Profitability
info
2020
2021
2022
2023
2024
Unrestricted surplus (deficit) before depreciation
$818,514
-$164,676
-$580,810
-$92,558
-$668,462
As % of expenses
28.3%
-5.4%
-19.3%
-2.8%
-19.2%
Unrestricted surplus (deficit) after depreciation
$609,754
-$362,068
-$734,529
-$243,324
-$831,214
As % of expenses
19.6%
-11.2%
-23.3%
-7.1%
-22.8%
Revenue composition
info
Total revenue (unrestricted & restricted)
$3,637,865
$3,193,361
$2,691,242
$3,547,645
$3,786,421
Total revenue, % change over prior year
45.6%
-12.2%
-15.7%
31.8%
6.7%
Program services revenue
12.6%
4.2%
17.0%
18.1%
20.3%
Membership dues
5.9%
2.6%
7.2%
5.6%
6.2%
Investment income
1.2%
1.7%
2.1%
1.6%
1.7%
Government grants
2.1%
35.0%
3.7%
3.1%
3.8%
All other grants and contributions
75.2%
49.8%
65.9%
68.1%
62.4%
Other revenue
3.0%
6.8%
4.1%
3.6%
5.6%
Expense composition
info
Total expenses before depreciation
$2,896,753
$3,036,964
$3,003,631
$3,282,874
$3,484,252
Total expenses, % change over prior year
1.3%
4.8%
-1.1%
9.3%
6.1%
Personnel
69.3%
75.0%
69.4%
67.9%
70.1%
Professional fees
11.4%
10.9%
12.3%
10.3%
7.6%
Occupancy
6.3%
5.8%
8.8%
7.9%
9.5%
Interest
0.0%
0.0%
0.0%
0.0%
0.0%
Pass-through
0.0%
0.0%
0.0%
0.0%
0.0%
All other expenses
13.0%
8.4%
9.5%
13.8%
12.8%
Full cost components (estimated)
info
2020
2021
2022
2023
2024
Total expenses (after depreciation)
$3,105,513
$3,234,356
$3,157,350
$3,433,640
$3,647,004
One month of savings
$241,396
$253,080
$250,303
$273,573
$290,354
Debt principal payment
$0
$0
$0
$0
$0
Fixed asset additions
$0
$0
$0
$261,601
$0
Total full costs (estimated)
$3,346,909
$3,487,436
$3,407,653
$3,968,814
$3,937,358
Capital structure indicators
Liquidity
info
2020
2021
2022
2023
2024
Months of cash
6.1
1.9
1.9
0.8
1.2
Months of cash and investments
14.2
11.5
10.0
8.7
7.7
Months of estimated liquid unrestricted net assets
8.4
8.7
6.4
4.6
2.9
Balance sheet composition
info
2020
2021
2022
2023
2024
Cash
$1,467,548
$483,107
$486,665
$214,886
$341,149
Investments
$1,963,431
$2,439,262
$2,017,040
$2,178,464
$1,895,059
Receivables
$78,712
$909,206
$723,178
$1,111,129
$1,867,135
Gross land, buildings, equipment (LBE)
$5,280,241
$5,293,028
$5,300,717
$5,562,318
$5,648,453
Accumulated depreciation (as a % of LBE)
72.7%
76.2%
79.0%
78.0%
79.7%
Liabilities (as a % of assets)
7.6%
2.7%
1.3%
2.8%
5.2%
Unrestricted net assets
$3,466,782
$3,463,706
$2,729,177
$2,485,853
$1,654,639
Temporarily restricted net assets
N/A
N/A
N/A
N/A
N/A
Permanently restricted net assets
N/A
N/A
N/A
N/A
N/A
Total restricted net assets
$2,336,039
$2,385,105
$8,662,427
$9,000,439
$9,976,202
Total net assets
$5,802,821
$5,848,811
$11,391,604
$11,486,292
$11,630,841
Key data checks
Key data checks
info
2020
2021
2022
2023
2024
Material data errors
No
No
No
No
No
Operations
The people, governance practices, and partners that make the organization tick.
Documents
Letter of Determination
Form 1023/1024 is not available for this organization
Executive Director
Karen Deshayes
Number of employees
Source: IRS Form 990
Officers, directors, trustees, and key employees
Highest paid employees
Board of directors
LINDSAY WILDLIFE EXPERIENCE
Officers, directors, trustees, and key employees
SOURCE: IRS Form 990
Compensation
Other
Related
Show data for fiscal year
Compensation data
up to 5 most recent years of officer and director compensation data for this organization
LINDSAY WILDLIFE EXPERIENCE
Highest paid employees
SOURCE: IRS Form 990
Compensation
Other
Related
Show data for fiscal year
Compensation data
up to 5 most recent years of highest paid employee data for this organization
LINDSAY WILDLIFE EXPERIENCE
Board of directors
as of
08/06/2024
SOURCE: Self-reported by organization
Board of directors data
the most recent year of board of directors data for this organization
Board chair
Janet Kozlowski
Andre Shevchuck
BPM
Scott Rhoades
Dyann Blaine
Matthew Berner
Doug Griffith
Murray Ross
Anne Partman
Marathon Petroleum
Andrew Gregor
Kathy Hemmenway
Carl Taibl
Irene Melitas
Janet Kozlowski
Abbott Laboratories
Organizational demographics
SOURCE: Self-reported; last updated 8/6/2024
info
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Who works and leads organizations that serve our diverse communities?
Candid partnered with CHANGE Philanthropy on this demographic section.
Leadership
The organization's leader identifies as:
Race & ethnicity
White/Caucasian/European
Gender identity
Female, Not transgender
Sexual orientation
Heterosexual or Straight
Disability status
Person without a disability
Race & ethnicity
Gender identity
Transgender Identity
Sexual orientation
Disability
Contractors
Fundraisers
Contractors
Fiscal year ending
Professional fundraisers
Fiscal year ending
SOURCE: IRS Form 990 Schedule G
Solicitation activities
Mail solicitations
Internet and email solicitations
Solicitations of non-government grants
Solicitations of government grants
Special fundraising events
In-person solicitations
Mail solicitations
Internet and email solicitations
Solicitations of non-government grants
Solicitations of government grants
Special fundraising events
In-person solicitations
Mail solicitations
Internet and email solicitations
Solicitations of non-government grants
Solicitations of government grants
Special fundraising events
In-person solicitations
Special fundraising events
Gross receipts from fundraising
Retained by organization
Paid to fundraiser
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Financial trends metrics for five most recent years 2024, 2023, 2022, 2021, 2020*
Financial statements for 2023, 2022, 2014, 2013, 2011
Letter of Determination
Officer and/or Employee data for 2024, 2023, 2022, 2021, 2020
Contractor and/or Paid Preparer data for 2024, 2023, 2022
Board of Directors data for 2024
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