WREATHS ACROSS AMERICA - GuideStar Profile
GuideStar
Charity Check Summary Report
as of April 24, 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:
Wreaths Across America
EIN:
20-8362270
Most recent IRS Publication 78:
April 2026
Verified with most recent Internal Revenue Bulletin:
April 20, 2026
IRS Business Master File details
Organization name:
WREATHS ACROSS AMERICA
EIN:
20-8362270
Most recent IRS BMF:
April 14, 2026
IRS subsection:
501(c)(3) Public Charity
Reason for non-private foundation status:
Section 509(a)(2) organization
WREATHS ACROSS AMERICA
Remember, Honor, Teach
Columbia Falls, ME
GuideStar Charity Check
WREATHS ACROSS AMERICA
EIN: 20-8362270
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Contributions tax deductible
info
as of April 2026
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IRS BMF 509(a)(2)
as of April 14, 2026
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View summary
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Charity Check report
Mission
The year long mission of Wreaths Across America is to Remember the fallen, Honor those that serve and Teach the next generation the value of freedom.
Ruling year
info
2018
Executive Director
Karen Worcester
Chief Financial Officer
Charemon Davis
Main address
4 Point St
Columbia Falls, ME 04623-5306 USA
Show more contact info
Contact Information
Contact
Karen Worcester
Primary contact phone: (207) 470-0967
[email protected]
Executive Director
Main office phone: (207) 470-0967
Physical Address
4 Point St
Columbia Falls, ME 04623-5306
Payment Address
PO Box 249 4 Point Street ,
Columbia Falls, ME 04623-0249
Donation Payable
Legal name of organization: WREATHS ACROSS AMERICA
EIN for payable organization: 20-8362270
EIN
20-8362270
Subject area
info
Youth services
Historic preservation
History museums
Education
Radio
Subject area
Youth services
Historic preservation
History museums
Education
Radio
Population served
Military personnel
Adults
Veterans
Children and youth
Ethnic and racial groups
Caregivers
Families
Parents
Widows and widowers
Academics
Emergency responders
Farmers
Retired people
Self-employed people
Population served
info
Military personnel
Adults
Veterans
Children and youth
Ethnic and racial groups
Show more populations served
NTEE code
info
Military/Veterans' Organizations (W30)
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
2024 Form 990 (provided by organization)
2023 Form 990
2023 Form 990 (provided by organization)
2022 Form 990
2022 Form 990
2022 Form 990
2022 Form 990 (provided by organization)
2021 Form 990
2021 Form 990 (provided by organization)
2020 Form 990
2020 Form 990 (provided by organization)
2019 Form 990
2019 Form 990 (provided by organization)
2018 Form 990
2018 Form 990 (provided by organization)
2017 Form 990
2014 Form 990
2014 Form 990 (provided by organization)
2013 Form 990
2013 Form 990
2013 Form 990 (provided by organization)
2012 Form 990
2011 Form 990
2011 Form 990 (provided by organization)
2010 Form 990
2009 Form 990
2008 Form 990
2007 Form 990
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Communication
Programs and results
Reports and documents
Download annual reports
2020 Annual Report
2016 Annual Report
Download other documents
2022 State of Maine Charitable Solicitations License
2023 State of Maine Charitable Solicitations License
2024 State of Maine Charitable Solicitations License
2025 State of Maine Charitable Solicitations License
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?
Nationwide Remembrance Ceremonies
Wreaths Across America coordinates grassroots efforts to organize, sponsor, and participate in simultaneous ceremonies all over the United States and beyond on one day each December. Many ceremonies include placing sponsored veterans' wreaths on the headstones of our nation's servicemembers. Each participating location through the Wreaths ACross America program - currently more than 3,700 -- receives 8 ceremonial veterans' wreaths to use during this program. One representing each branch of the military and a POW/MIA wreath. Volunteers are encouraged to include local veterans and military families in this free, open to ALL event designed to Remember, Honor and Teach.
Population(s) Served
Children and youth
Adults
Veterans
Emergency responders
TEACH Program
The TEACH program, which both shares established curriculum from like-minded organizations, and introduces new educational materials, focuses on character development and service projects for young people of all ages. The TEACH program serves as a conduit to share the established curriculum materials from partner organizations like The Unites States of America Vietnam War Commemoration, the American Rosie MovementTM, Random Acts of Kindness Foundation, The Congressional Medal of Honor Society, and IKEducation at the Eisenhower Foundation. Additionally, WAA has developed a Veterans’ Oral History Project for youth from 4th -12th grades that encourages young people to interview a veteran, service member, or Gold Star Family member to learn about the sacrifices our military make on behalf of our country. To learn more and download WAA’s TEACH materials, please visit www.wreathsacrossamerica.org/teach
Population(s) Served
Adults
Children and youth
Local Sponsorship Groups
Wreaths Across America believes in supporting the capacity of local organizations who do good work in their communities, including boy scouts, military organizations, church groups and others. Our local group sponsorship program helps groups earn money based on the numbers of wreaths they are able to sponsor.
Population(s) Served
Adults
Children and youth
Where we work
United States
Videos
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What is a Veteran's Wreath?
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What is Wreaths Across America?
Our results
SOURCE: Self-reported by organization
How does this organization measure their results? It's a hard question but an important one.
Evaluation documents
Download evaluation reports
Number of new cemetery locations each year
This metric is no longer tracked.
Totals By Year
Population(s) Served
Related Program
Nationwide Remembrance Ceremonies
Type of Metric
Output - describing our activities and reach
Direction of Success
Increasing
Context Notes
2015: 1108 total locations - of that 219 were new / 2014: 1000 total locations - of that 160 were new / 2013: 914 total locations - of that 168 were new.
Number of wreaths placed at veteran's gravestones
This metric is no longer tracked.
Totals By Year
Population(s) Served
Related Program
Nationwide Remembrance Ceremonies
Type of Metric
Output - describing our activities and reach
Direction of Success
Increasing
Context Notes
Each year in December wreaths are placed on veteran's gravestones. This is done to remember and honor our fallen heroes. Our goal is to cover as many gravestones as possible as it grows every year.
Number of new Sponsorship Groups each year
This metric is no longer tracked.
Totals By Year
Population(s) Served
Related Program
Local Sponsorship Groups
Type of Metric
Output - describing our activities and reach
Direction of Success
Increasing
Context Notes
We invite your group or organization to help us remember and honor our American heroes and teach the next generation, through raising funds to sponsor veterans wreaths.
Number of participants reporting greater issue awareness
This metric is no longer tracked.
Totals By Year
Population(s) Served
Related Program
Type of Metric
Output - describing our activities and reach
Direction of Success
Increasing
Context Notes
The metric shared here is the total number of media articles published in that year about Wreaths Across America's program. This metric include local, state and national media outlets and all mediums.
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?
Wreaths Across America’s yearlong mission is to Remember the fallen, Honor those that serve, and Teach the next generation the value of freedom. The organization’s primary goal is to share the stories of service, sacrifice, success, and courage of our nation’s active-duty military, veterans, Gold and Blue Star Families, and all those who have served. Through the sharing of these stories, all aspects of the mission are fulfilled.
Another goal of the mission to Remember, Honor, and Teach is to raise awareness and funds to support the sponsorship and placement of live, balsam veterans’ wreaths on the headstones of all U.S. servicemembers laid to rest at home and abroad.
What are the organization's key strategies for making this happen?
Wreaths Across America (WAA) utilizes a network of tens of thousands of dedicated volunteers across the country to share the mission within new communities and bring together people to share stories and learn how they too can participate on the local level.
Through a hyper-local approach to media outreach and connecting with volunteers, WAA has established strong relationships in small towns and communities across the country and worked diligently to provide resources and template materials for volunteers to share the mission locally and help get new people engaged.
In 2019 WAA launched the Mobile Education Exhibit (MEE), a museum on wheels that travels the country sharing the mission, collecting stories of service and success, and supporting the volunteers supporting the program in their local communities. This exhibit is also an official “Welcome Home” unit for our nation’s Vietnam War Veterans. Since hitting the road four years ago, WAA has welcomed home more than 3,000 veterans.
Additionally, through a focused-owned media strategy, WAA has honed it’s owned channels over the last 5+ years. This includes 24/7 internet radio station Wreaths Across America Radio, A Voice for America’s Veterans, which airs veteran-centric shows and content important to military familied, while highlighting the good work of the organization’s volunteers and partners. The monthly subscription-based newsletters and all the organization’s social media channels are curated to share stories focus on the mission and the people around the country making an impact. The reach and engaged communities across all these platforms has consistently grown more than 10% YoY.
How we listen
SOURCE: Self-reported by organization
Seeking feedback from people served makes programs more responsive and effective. Here’s how this organization is listening.
done
We demonstrated a willingness to learn more by reviewing resources about feedback practice.
done
We shared information about our current feedback practices.
How is your organization using feedback from the people you serve?
To identify and remedy poor client service experiences, To identify bright spots and enhance positive service experiences, To make fundamental changes to our programs and/or operations, To inform the development of new programs/projects, To strengthen relationships with the people we serve, , To understand people's needs and how we can help them achieve their goals
Which of the following feedback practices does your organization routinely carry out?
We collect feedback from the people we serve at least annually, We aim to collect feedback from as many people we serve as possible, We take steps to ensure people feel comfortable being honest with us, We engage the people who provide feedback in looking for ways we can improve in response, We act on the feedback we receive, We tell the people who gave us feedback how we acted on their feedback
What challenges does the organization face when collecting feedback?
We don't have any major challenges to collecting feedback
Financials
WREATHS ACROSS AMERICA
Fiscal year: Jan 01 - Dec 31
Financial documents
Download audited financials
2024 Audit
2023 Annual Financial Statements
2022 Financial Statements for the18 Months ended December 31, 2022
2021 Audited Financial Report 6.30.2021
2020 Fiscal Year 2020
2019 WAA FYE 2019
2017 AuditedFinancialReport.July.1.2016 to June.30.2017.pdf
2014
2013 WAA.FYE.2013
2013
2012 WAA 2012 Final
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
0.43
Average of 0.37 over 10 years
Months of cash in 2024
info
SOURCE: IRS Form 990
1.3
Average of 1.1 over 10 years
Fringe rate in 2024
info
SOURCE: IRS Form 990
28%
Average of 23% 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
RHR Smith & Company
P.O. Box 463
Machias, ME 04654
Tel: 800-300-7708
Paid Preparer
RHR Smith and Commpany
EIN: 04-3383155
3 Old Orchard Road
Buxton, ME 04093
Tel: 800-300-7708
Paid Preparer
RHR Smith and Company
EIN: 04-3383155
3 Old Orchard Road
Buxton, ME 04093
Tel: 800-300-7708
Paid Preparer
RHR Smith and Company
3 Old Orchard Road
Buxton, ME 04093
Tel: 800-300-7708
Paid Preparer
RHR Smith & Company CPAs
3 Old Orchard Rd
Buxton, ME 04093
Tel: 207-929-4606
Paid Preparer
RHR Smith & Company
EIN: 04-3383155
3 Old Orchard Road
Buxton, ME 04093
Tel: 207-929-4606
Paid Preparer
Brantner Thibodeau & Assoc
EIN: 01-0535888
674 Mt Hope Avenue Suite 1
Bangor, ME 04401
Tel: 207-947-3325
Paid Preparer
Brantner Thibodeau & Assoc
EIN: 01-0535888
674 Mt Hope Avenue Suite 1
Bangor, ME 04401
Tel: 207-947-3325
Paid Preparer
RHR Smith & Company CPA's
3 Old Orchard Road
Buxton, ME 04093
Tel: 207-929-4606
Paid Preparer
RHR Smith & Company CPA's
3 Old Orchard Road
Buxton, ME 04093
Tel: 207-929-4606
Paid Preparer
RHR Smith & Company CPA's
EIN: 04-3383155
3 Old Orchard Road
Buxton, ME 04093
Tel: 207-929-4806
Paid Preparer
RHR Smith & Company CPA's
EIN: 04-3383155
3 Old Orchard Road
Buxton, ME 04093
Tel: 207-929-4606
Paid Preparer
RHR Smith & Company CPA's
EIN: 04-3383155
3 Old Orchard Road
Buxton, ME 04093
Tel: 207-929-4606
Paid Preparer
RHR Smith & Company CPA's
EIN: 04-3383155
3 Old Orchard Road
Buxton, ME 04093
Tel: 207-929-4606
Revenue & expenses
Balance sheet
Financial trends analysis
Glossary & formula definitions
WREATHS ACROSS AMERICA
Revenue & expenses
Fiscal Year:
Jan 01 - Dec 31
SOURCE: IRS Form 990
info
Fiscal year ending:
cloud_download
Download Data
2008
Revenue
Contributions
$14,651
Government Grants
$0
Program Services
$0
Investments
$0
Special Events
$0
Sales
$343,932
Other
$250
Total Revenue
$358,833
Expenses
Program Services
$264,149
Administration
$0
Fundraising
$0
Total Expenses
$264,149
Net Gain/Loss
$94,684
Functional expenses
Accounting Fees
$2,540
Advertising & Promotion
$0
Information Technology Expenses
$0
Insurance Expenses
$2,686
Interest Expenses
$0
Investment Management Fees
$0
Legal Fees
$2,866
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2009
Revenue
Contributions
$11,100
Government Grants
$0
Program Services
$1,649,198
Investments
$0
Special Events
$0
Sales
$8,509
Other
$13
Total Revenue
$1,668,820
Expenses
Program Services
$1,617,331
Administration
$0
Fundraising
$0
Total Expenses
$1,617,331
Net Gain/Loss
$51,489
Functional expenses
Accounting Fees
$2,973
Advertising & Promotion
$31,195
Information Technology Expenses
$13,529
Insurance Expenses
$2,792
Interest Expenses
$0
Investment Management Fees
$0
Legal Fees
$7,796
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2010
Revenue
Contributions
$2,811
Government Grants
$0
Program Services
$2,399,390
Investments
$0
Special Events
$0
Sales
$429
Other
$20,911
Total Revenue
$2,423,541
Expenses
Program Services
$2,428,452
Administration
$0
Fundraising
$0
Total Expenses
$2,428,452
Net Gain/Loss
($4,911)
Functional expenses
Accounting Fees
$2,675
Advertising & Promotion
$55,206
Information Technology Expenses
$0
Insurance Expenses
$2,141
Interest Expenses
$0
Investment Management Fees
$0
Legal Fees
$16,795
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2012
Revenue
Contributions
$0
Government Grants
$0
Program Services
$3,260,312
Investments
$0
Special Events
$7,401
Sales
($694,819)
Other
$0
Total Revenue
$2,572,894
Expenses
Program Services
$2,046,882
Administration
$206,124
Fundraising
$71,695
Total Expenses
$2,324,701
Net Gain/Loss
$248,193
Functional expenses
Accounting Fees
$7,553
Advertising & Promotion
$55,396
Information Technology Expenses
$21,888
Insurance Expenses
$8,218
Interest Expenses
$0
Investment Management Fees
$0
Legal Fees
$2,679
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2013
Revenue
Contributions
$0
Government Grants
$0
Program Services
$4,634,337
Investments
$0
Special Events
$0
Sales
$10,038
Other
$3,819
Total Revenue
$4,648,194
Expenses
Program Services
$4,308,109
Administration
$252,470
Fundraising
$70,316
Total Expenses
$4,630,895
Net Gain/Loss
$17,299
Functional expenses
Accounting Fees
$13,113
Advertising & Promotion
$70,677
Information Technology Expenses
$27,030
Insurance Expenses
$11,603
Interest Expenses
$208
Investment Management Fees
$0
Legal Fees
$1,776
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2014
Revenue
Contributions
$21,155
Government Grants
$0
Program Services
$6,599,557
Investments
$0
Special Events
$0
Sales
$28,909
Other
$0
Total Revenue
$6,649,621
Expenses
Program Services
$6,028,810
Administration
$418,206
Fundraising
$108,611
Total Expenses
$6,555,627
Net Gain/Loss
$93,994
Functional expenses
Accounting Fees
$12,679
Advertising & Promotion
$39,983
Information Technology Expenses
$27,470
Insurance Expenses
$0
Interest Expenses
$1,747
Investment Management Fees
$0
Legal Fees
$10,226
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2017
Revenue
Contributions
$138,358
Government Grants
$0
Program Services
$14,446,629
Investments
$6,900
Special Events
$0
Sales
$38,996
Other
$0
Total Revenue
$14,630,883
Expenses
Program Services
$11,953,819
Administration
$1,938,081
Fundraising
$138,986
Total Expenses
$14,030,886
Net Gain/Loss
$599,997
Functional expenses
Accounting Fees
$47,462
Advertising & Promotion
$96,571
Information Technology Expenses
$281,961
Insurance Expenses
$30,407
Interest Expenses
$5,113
Investment Management Fees
$0
Legal Fees
$8,997
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2018
Revenue
Contributions
$489,881
Government Grants
$0
Program Services
$18,312,763
Investments
$10,258
Special Events
$0
Sales
$86,410
Other
$0
Total Revenue
$18,899,312
Expenses
Program Services
$16,170,947
Administration
$2,266,377
Fundraising
$327,862
Total Expenses
$18,765,186
Net Gain/Loss
$134,126
Functional expenses
Accounting Fees
$75,100
Advertising & Promotion
$178,115
Information Technology Expenses
$215,410
Insurance Expenses
$34,110
Interest Expenses
$3,000
Investment Management Fees
$0
Legal Fees
$12,308
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2019
Revenue
Contributions
$589,567
Government Grants
$0
Program Services
$21,556,256
Investments
$4,433
Special Events
$0
Sales
$26,618
Other
$0
Total Revenue
$22,176,874
Expenses
Program Services
$19,848,333
Administration
$2,196,402
Fundraising
$490,132
Total Expenses
$22,534,867
Net Gain/Loss
($357,993)
Functional expenses
Accounting Fees
$39,800
Advertising & Promotion
$322,963
Information Technology Expenses
$441,322
Insurance Expenses
$46,328
Interest Expenses
$9,243
Investment Management Fees
$0
Legal Fees
$88,749
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2020
Revenue
Contributions
$763,363
Government Grants
$0
Program Services
$24,972,497
Investments
$5,495
Special Events
$0
Sales
$61,824
Other
$316,415
Total Revenue
$26,119,594
Expenses
Program Services
$23,785,887
Administration
$2,715,264
Fundraising
$702,452
Total Expenses
$27,203,603
Net Gain/Loss
($1,084,009)
Functional expenses
Accounting Fees
$9,200
Advertising & Promotion
$587,126
Information Technology Expenses
$510,754
Insurance Expenses
$59,793
Interest Expenses
$15,980
Investment Management Fees
$0
Legal Fees
$14,777
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2021
Revenue
Contributions
$366,317
Government Grants
$0
Program Services
$21,837,963
Investments
$5,701
Special Events
$0
Sales
$70,455
Other
$627
Total Revenue
$22,281,063
Expenses
Program Services
$18,833,534
Administration
$3,043,804
Fundraising
$614,982
Total Expenses
$22,492,320
Net Gain/Loss
($211,257)
Functional expenses
Accounting Fees
$6,000
Advertising & Promotion
$438,318
Information Technology Expenses
$747,798
Insurance Expenses
$47,322
Interest Expenses
$16,991
Investment Management Fees
$0
Legal Fees
$16,583
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2022
Revenue
Contributions
$854,682
Government Grants
$0
Program Services
$29,934,432
Investments
$5,767
Special Events
$0
Sales
$72,200
Other
$0
Total Revenue
$30,867,081
Expenses
Program Services
$26,767,129
Administration
$3,665,070
Fundraising
$843,396
Total Expenses
$31,275,595
Net Gain/Loss
($408,514)
Functional expenses
Accounting Fees
$1,000
Advertising & Promotion
$427,212
Information Technology Expenses
$1,018,417
Insurance Expenses
$63,842
Interest Expenses
$23,733
Investment Management Fees
$0
Legal Fees
$24,466
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2022
Revenue
Contributions
$554,797
Government Grants
$0
Program Services
$31,884,512
Investments
$16,866
Special Events
$0
Sales
$81,730
Other
$0
Total Revenue
$32,537,905
Expenses
Program Services
$27,408,914
Administration
$2,725,249
Fundraising
$503,356
Total Expenses
$30,637,519
Net Gain/Loss
$1,900,386
Functional expenses
Accounting Fees
$10,000
Advertising & Promotion
$390,978
Information Technology Expenses
$721,741
Insurance Expenses
$63,545
Interest Expenses
$7,925
Investment Management Fees
$0
Legal Fees
$12,300
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2023
Revenue
Contributions
$2,214,976
Government Grants
$0
Program Services
$37,841,873
Investments
$26,918
Special Events
$0
Sales
$89,522
Other
$22,389
Total Revenue
$40,195,678
Expenses
Program Services
$35,248,696
Administration
$4,705,127
Fundraising
$1,099,711
Total Expenses
$41,053,534
Net Gain/Loss
($857,856)
Functional expenses
Accounting Fees
$5,626
Advertising & Promotion
$456,583
Information Technology Expenses
$1,158,579
Insurance Expenses
$97,153
Interest Expenses
$53,810
Investment Management Fees
$0
Legal Fees
$49,871
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
2024
Revenue
Contributions
$2,434,152
Government Grants
$0
Program Services
$39,945,397
Investments
$66,308
Special Events
$12,192
Sales
$85,674
Other
$0
Total Revenue
$42,543,723
Expenses
Program Services
$37,302,581
Administration
$5,234,360
Fundraising
$1,397,625
Total Expenses
$43,934,566
Net Gain/Loss
($1,390,843)
Functional expenses
Accounting Fees
$11,800
Advertising & Promotion
$573,340
Information Technology Expenses
$1,217,255
Insurance Expenses
$124,818
Interest Expenses
$44,950
Investment Management Fees
$0
Legal Fees
$50,295
Pension Plan Contributions
$0
Professional Fundraising Expenses
$0
WREATHS ACROSS AMERICA
Balance sheet
Fiscal Year:
Jan 01 - Dec 31
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:
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2008
Assets
Jan 01, 2008
Dec 31, 2008
Change
Contributions
$14,651
Cash & Equivalents
$107,974
$164,496
$56,522
Accounts Receivable
$0
$0
$0
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$114,254
$92,000
($22,254)
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$0
$0
$0
Other
$0
$0
$0
Total Assets
$222,228
$256,496
$34,268
Liabilities
Jan 01, 2008
Dec 31, 2008
Change
Accounts Payable
$189,485
$122,564
($66,921)
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
$6,505
$6,505
Total Liabilities
$189,485
$129,069
($60,416)
Fund balance
Jan 01, 2008
Dec 31, 2008
Change
Temporarily Restricted Net Assets
$0
$0
$0
Permanently Restricted Net Assets
$0
$0
$0
Total Restricted Net Assets
$0
$0
$0
Unrestricted Net Assets
$32,743
$127,427
$94,684
Net Assets
$32,743
$127,427
$94,684
2009
Assets
Jan 01, 2009
Dec 31, 2009
Change
Contributions
$11,100
Cash & Equivalents
$164,496
$395,960
$231,464
Accounts Receivable
$0
$0
$0
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$92,000
$76,160
($15,840)
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$0
$0
$0
Other
$0
$865
$865
Total Assets
$256,496
$472,985
$216,489
Liabilities
Jan 01, 2009
Dec 31, 2009
Change
Accounts Payable
$122,564
$247,851
$125,287
Grants Payable
$0
$0
$0
Deferred Revenue
$0
$0
$0
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$6,505
$12,829
$6,324
Total Liabilities
$129,069
$260,680
$131,611
Fund balance
Jan 01, 2009
Dec 31, 2009
Change
Temporarily Restricted Net Assets
$0
$0
$0
Permanently Restricted Net Assets
$0
$0
$0
Total Restricted Net Assets
$0
$0
$0
Unrestricted Net Assets
$127,427
$212,305
$84,878
Net Assets
$127,427
$212,305
$84,878
2010
Assets
Jan 01, 2010
Dec 31, 2010
Change
Contributions
$2,811
Cash & Equivalents
$395,960
$131,900
($264,060)
Accounts Receivable
$0
$0
$0
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$76,160
$77,593
$1,433
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$0
$0
$0
Other
$865
$15,543
$14,678
Total Assets
$472,985
$225,036
($247,949)
Liabilities
Jan 01, 2010
Dec 31, 2010
Change
Accounts Payable
$247,851
$7,283
($240,568)
Grants Payable
$0
$0
$0
Deferred Revenue
$0
$0
$0
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$12,829
$10,359
($2,470)
Total Liabilities
$260,680
$17,642
($243,038)
Fund balance
Jan 01, 2010
Dec 31, 2010
Change
Temporarily Restricted Net Assets
$0
$0
$0
Permanently Restricted Net Assets
$0
$0
$0
Total Restricted Net Assets
$0
$0
$0
Unrestricted Net Assets
$212,305
$207,394
($4,911)
Net Assets
$212,305
$207,394
($4,911)
2012
Assets
Jul 01, 2011
Jun 30, 2012
Change
Contributions
$0
Cash & Equivalents
$47,852
$143,814
$95,962
Accounts Receivable
$0
$0
$0
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$77,503
$67,606
($9,897)
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$21,846
$17,477
($4,369)
Other
$15,738
$406
($15,332)
Total Assets
$162,939
$229,303
$66,364
Liabilities
Jul 01, 2011
Jun 30, 2012
Change
Accounts Payable
$18,341
$12,817
($5,524)
Grants Payable
$0
$0
$0
Deferred Revenue
$0
$51,418
$51,418
Loans and Notes
$0
$0
$0
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$8,655
$0
($8,655)
Total Liabilities
$26,996
$64,235
$37,239
Fund balance
Jul 01, 2011
Jun 30, 2012
Change
Temporarily Restricted Net Assets
$0
$0
$0
Permanently Restricted Net Assets
$0
$0
$0
Total Restricted Net Assets
$0
$0
$0
Unrestricted Net Assets
$135,943
$165,068
$29,125
Net Assets
$135,943
$165,068
$29,125
2013
Assets
Jul 01, 2012
Jun 30, 2013
Change
Contributions
$0
Cash & Equivalents
$143,814
$168,745
$24,931
Accounts Receivable
$406
$3,256
$2,850
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$67,606
$75,465
$7,859
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$17,477
$46,959
$29,482
Other
$0
$39,408
$39,408
Total Assets
$229,303
$333,833
$104,530
Liabilities
Jul 01, 2012
Jun 30, 2013
Change
Accounts Payable
$12,817
$248,274
$235,457
Grants Payable
$0
$0
$0
Deferred Revenue
$51,418
$79,908
$28,490
Loans and Notes
$0
$49,263
$49,263
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$64,235
$377,445
$313,210
Fund balance
Jul 01, 2012
Jun 30, 2013
Change
Temporarily Restricted Net Assets
$0
$0
$0
Permanently Restricted Net Assets
$0
$0
$0
Total Restricted Net Assets
$0
$0
$0
Unrestricted Net Assets
$165,068
($43,612)
($208,680)
Net Assets
$165,068
($43,612)
($208,680)
2014
Assets
Jul 01, 2013
Jun 30, 2014
Change
Contributions
$21,155
Cash & Equivalents
$168,745
$445,402
$276,657
Accounts Receivable
$3,256
$15,726
$12,470
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$75,465
$47,425
($28,040)
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$46,959
$99,871
$52,912
Other
$39,408
$0
($39,408)
Total Assets
$333,833
$608,424
$274,591
Liabilities
Jul 01, 2013
Jun 30, 2014
Change
Accounts Payable
$248,274
$1,382
($246,892)
Grants Payable
$0
$0
$0
Deferred Revenue
$79,908
$466,040
$386,132
Loans and Notes
$49,263
$90,620
$41,357
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$377,445
$558,042
$180,597
Fund balance
Jul 01, 2013
Jun 30, 2014
Change
Temporarily Restricted Net Assets
$0
$0
$0
Permanently Restricted Net Assets
$0
$0
$0
Total Restricted Net Assets
$0
$0
$0
Unrestricted Net Assets
($43,612)
$50,382
$93,994
Net Assets
($43,612)
$50,382
$93,994
2017
Assets
Jul 01, 2016
Jun 30, 2017
Change
Contributions
$138,358
Cash & Equivalents
$565,982
$1,889,607
$1,323,625
Accounts Receivable
$27,576
$1,320
($26,256)
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$30,500
$55,446
$24,946
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$412,474
$723,424
$310,950
Other
$0
$961,050
$961,050
Total Assets
$1,036,532
$3,630,847
$2,594,315
Liabilities
Jul 01, 2016
Jun 30, 2017
Change
Accounts Payable
$47,958
$41,575
($6,383)
Grants Payable
$0
$0
$0
Deferred Revenue
$1,302,660
$3,303,250
$2,000,590
Loans and Notes
$261,149
$261,260
$111
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$1,611,767
$3,606,085
$1,994,318
Fund balance
Jul 01, 2016
Jun 30, 2017
Change
Temporarily Restricted Net Assets
$0
$0
$0
Permanently Restricted Net Assets
$0
$0
$0
Total Restricted Net Assets
$0
$0
$0
Unrestricted Net Assets
($575,235)
$24,762
$599,997
Net Assets
($575,235)
$24,762
$599,997
2018
Assets
Jul 01, 2017
Jun 30, 2018
Change
Contributions
$489,881
Cash & Equivalents
$1,889,607
$1,580,948
($308,659)
Accounts Receivable
$1,320
$71,000
$69,680
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$55,446
$67,252
$11,806
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$723,424
$1,442,716
$719,292
Other
$961,050
$660,783
($300,267)
Total Assets
$3,630,847
$3,822,699
$191,852
Liabilities
Jul 01, 2017
Jun 30, 2018
Change
Accounts Payable
$41,575
$61,632
$20,057
Grants Payable
$0
$0
$0
Deferred Revenue
$3,303,250
$3,373,750
$70,500
Loans and Notes
$261,260
$213,779
($47,481)
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$3,606,085
$3,649,161
$43,076
Fund balance
Jul 01, 2017
Jun 30, 2018
Change
Temporarily Restricted Net Assets
$0
$0
$0
Permanently Restricted Net Assets
$0
$0
$0
Total Restricted Net Assets
$0
$0
$0
Unrestricted Net Assets
$24,762
$173,538
$148,776
Net Assets
$24,762
$173,538
$148,776
2019
Assets
Jul 01, 2018
Jun 30, 2019
Change
Contributions
$589,567
Cash & Equivalents
$1,580,948
$2,236,608
$655,660
Accounts Receivable
$71,000
$0
($71,000)
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$67,252
$142,415
$75,163
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,442,716
$1,682,853
$240,137
Other
$660,783
$1,136,935
$476,152
Total Assets
$3,822,699
$5,198,811
$1,376,112
Liabilities
Jul 01, 2018
Jun 30, 2019
Change
Accounts Payable
$61,632
$275,724
$214,092
Grants Payable
$0
$0
$0
Deferred Revenue
$3,373,750
$4,718,850
$1,345,100
Loans and Notes
$213,779
$412,147
$198,368
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$3,649,161
$5,406,721
$1,757,560
Fund balance
Jul 01, 2018
Jun 30, 2019
Change
Temporarily Restricted Net Assets
$0
$15,000
$15,000
Permanently Restricted Net Assets
$0
$0
$0
Total Restricted Net Assets
$0
$15,000
$15,000
Unrestricted Net Assets
$173,538
($222,910)
($396,448)
Net Assets
$173,538
($207,910)
($381,448)
2020
Assets
Jul 01, 2019
Jun 30, 2020
Change
Contributions
$763,363
Cash & Equivalents
$2,236,608
$902,746
($1,333,862)
Accounts Receivable
$0
$30,380
$30,380
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$142,415
$480,500
$338,085
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,682,853
$1,566,554
($116,299)
Other
$1,136,935
$1,246,000
$109,065
Total Assets
$5,198,811
$4,226,180
($972,631)
Liabilities
Jul 01, 2019
Jun 30, 2020
Change
Accounts Payable
$275,724
$194,100
($81,624)
Grants Payable
$0
$0
$0
Deferred Revenue
$4,718,850
$4,980,000
$261,150
Loans and Notes
$412,147
$326,069
($86,078)
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$5,406,721
$5,500,169
$93,448
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
$15,000
$0
($15,000)
Unrestricted Net Assets
($222,910)
($1,273,989)
($1,051,079)
Net Assets
($207,910)
($1,273,989)
($1,066,079)
2021
Assets
Jul 01, 2020
Jun 30, 2021
Change
Contributions
$366,317
Cash & Equivalents
$902,746
$2,251,711
$1,348,965
Accounts Receivable
$30,380
$29,330
($1,050)
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$480,500
$245,015
($235,485)
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,566,554
$1,888,327
$321,773
Other
$1,246,000
$1,330,689
$84,689
Total Assets
$4,226,180
$5,745,072
$1,518,892
Liabilities
Jul 01, 2020
Jun 30, 2021
Change
Accounts Payable
$194,100
$283,652
$89,552
Grants Payable
$0
$0
$0
Deferred Revenue
$4,980,000
$6,400,000
$1,420,000
Loans and Notes
$326,069
$558,405
$232,336
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$5,500,169
$7,242,057
$1,741,888
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
$0
$0
$0
Unrestricted Net Assets
($1,273,989)
($1,496,985)
($222,996)
Net Assets
($1,273,989)
($1,496,985)
($222,996)
2022
Assets
Jul 01, 2021
Jun 30, 2022
Change
Contributions
$854,682
Cash & Equivalents
$2,251,711
$1,289,367
($962,344)
Accounts Receivable
$29,330
$11,442
($17,888)
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$245,015
$323,149
$78,134
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$1,888,327
$2,498,377
$610,050
Other
$1,330,689
$1,765,521
$434,832
Total Assets
$5,745,072
$5,907,858
$162,786
Liabilities
Jul 01, 2021
Jun 30, 2022
Change
Accounts Payable
$283,652
$162,433
($121,219)
Grants Payable
$0
$0
$0
Deferred Revenue
$6,400,000
$7,200,000
$800,000
Loans and Notes
$558,405
$460,578
($97,827)
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$7,242,057
$7,823,011
$580,954
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
$0
$249,000
$249,000
Unrestricted Net Assets
($1,496,985)
($2,164,155)
($667,170)
Net Assets
($1,496,985)
($1,915,155)
($418,170)
2022
Assets
Jul 01, 2022
Dec 31, 2022
Change
Contributions
$554,797
Cash & Equivalents
$1,289,367
$4,539,152
$3,249,785
Accounts Receivable
$11,442
$699,659
$688,217
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$323,149
$171,633
($151,516)
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$2,498,377
$3,086,388
$588,011
Other
$1,785,521
$116,286
($1,669,235)
Total Assets
$5,907,856
$8,613,118
$2,705,262
Liabilities
Jul 01, 2022
Dec 31, 2022
Change
Accounts Payable
$162,433
$4,365,504
$4,203,071
Grants Payable
$0
$0
$0
Deferred Revenue
$7,200,000
$3,847,060
($3,352,940)
Loans and Notes
$460,578
$407,818
($52,760)
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$7,823,011
$8,620,382
$797,371
Fund balance
Jul 01, 2022
Dec 31, 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
$249,000
$175,000
($74,000)
Unrestricted Net Assets
($2,164,155)
($182,264)
$1,981,891
Net Assets
($1,915,155)
($7,264)
$1,907,891
2023
Assets
Jan 01, 2023
Dec 31, 2023
Change
Contributions
$2,214,976
Cash & Equivalents
$4,539,152
$7,608,883
$3,069,731
Accounts Receivable
$699,659
$174,044
($525,615)
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$171,633
$280,931
$109,298
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$3,086,388
$3,682,324
$595,936
Other
$116,286
$255,489
$139,203
Total Assets
$8,613,118
$12,001,671
$3,388,553
Liabilities
Jan 01, 2023
Dec 31, 2023
Change
Accounts Payable
$4,365,504
$8,588,671
$4,223,167
Grants Payable
$0
$0
$0
Deferred Revenue
$3,847,060
$4,016,465
$169,405
Loans and Notes
$407,818
$571,566
$163,748
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$8,620,382
$13,176,702
$4,556,320
Fund balance
Jan 01, 2023
Dec 31, 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
$175,000
$600,000
$425,000
Unrestricted Net Assets
($182,264)
($1,775,031)
($1,592,767)
Net Assets
($7,264)
($1,175,031)
($1,167,767)
2024
Assets
Jan 01, 2024
Dec 31, 2024
Change
Contributions
$2,434,152
Cash & Equivalents
$7,608,883
$4,630,284
($2,978,599)
Accounts Receivable
$174,044
$957,923
$783,879
Pledges & Grants Receivable
$0
$0
$0
Receivable, Other
$0
$0
$0
Inventories for Sale or Use
$280,931
$291,224
$10,293
Investment, Securities
$0
$0
$0
Investment, Other
$0
$0
$0
Fixed Assets
(LBE - Depreciation)
$3,682,324
$4,253,661
$571,337
Other
$255,489
$340,571
$85,082
Total Assets
$12,001,671
$10,473,663
($1,528,008)
Liabilities
Jan 01, 2024
Dec 31, 2024
Change
Accounts Payable
$8,588,671
$7,811,774
($776,897)
Grants Payable
$0
$0
$0
Deferred Revenue
$4,016,465
$4,691,465
$675,000
Loans and Notes
$571,566
$599,146
$27,580
Tax-Exempt Bond Liabilities
$0
$0
$0
Other
$0
$0
$0
Total Liabilities
$13,176,702
$13,102,385
($74,317)
Fund balance
Jan 01, 2024
Dec 31, 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
$600,000
$450,000
($150,000)
Unrestricted Net Assets
($1,775,031)
($3,078,722)
($1,303,691)
Net Assets
($1,175,031)
($2,628,722)
($1,453,691)
WREATHS ACROSS AMERICA
Financial trends analysis
Glossary & formula definitions
Fiscal Year:
Jan 01 - Dec 31
SOURCE: IRS Form 990
info
This snapshot of WREATHS ACROSS AMERICA’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
* This organization changed its fiscal year accounting
period in 2022. Please refer to its 2022 990s for more information.
Fiscal year: Jan 01 - Dec 31
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Business model indicators
Profitability
info
2020
2021
2022
2023
2024
Unrestricted surplus (deficit) before depreciation
-$97,094
$445,100
-$46,825
-$972,369
-$458,483
As % of expenses
-0.4%
2.0%
-0.2%
-2.4%
-1.1%
Unrestricted surplus (deficit) after depreciation
-$1,051,079
-$222,996
-$667,170
-$1,592,767
-$1,303,691
As % of expenses
-3.9%
-1.0%
-2.1%
-3.9%
-3.0%
Revenue composition
info
Total revenue (unrestricted & restricted)
$26,119,594
$22,281,063
$30,867,081
$40,195,678
$42,543,723
Total revenue, % change over prior year
17.8%
-14.7%
38.5%
30.2%
5.8%
Program services revenue
95.6%
98.0%
97.0%
94.1%
93.9%
Membership dues
0.0%
0.0%
0.0%
0.0%
0.0%
Investment income
0.0%
0.0%
0.0%
0.1%
0.1%
Government grants
0.0%
0.0%
0.0%
0.0%
0.0%
All other grants and contributions
2.9%
1.6%
2.8%
5.5%
5.8%
Other revenue
1.4%
0.3%
0.2%
0.3%
0.3%
Expense composition
info
Total expenses before depreciation
$26,249,618
$21,824,224
$30,655,250
$40,433,136
$43,089,358
Total expenses, % change over prior year
21.0%
-16.9%
40.5%
31.9%
6.6%
Personnel
7.2%
10.1%
8.8%
10.4%
11.5%
Professional fees
1.2%
2.2%
1.5%
1.1%
1.1%
Occupancy
0.3%
0.3%
0.3%
0.3%
0.3%
Interest
0.1%
0.1%
0.1%
0.1%
0.1%
Pass-through
0.0%
0.0%
0.0%
0.0%
0.0%
All other expenses
91.3%
87.3%
89.3%
88.2%
87.0%
Full cost components (estimated)
info
2020
2021
2022
2023
2024
Total expenses (after depreciation)
$27,203,603
$22,492,320
$31,275,595
$41,053,534
$43,934,566
One month of savings
$2,187,468
$1,818,685
$2,554,604
$3,369,428
$3,590,780
Debt principal payment
$86,078
$0
$97,827
$0
$0
Fixed asset additions
$0
$989,869
$1,230,395
$1,216,334
$1,416,545
Total full costs (estimated)
$29,477,149
$25,300,874
$35,158,421
$45,639,296
$48,941,891
Capital structure indicators
Liquidity
info
2020
2021
2022
2023
2024
Months of cash
0.4
1.2
0.5
2.3
1.3
Months of cash and investments
0.4
1.2
0.5
2.3
1.3
Months of estimated liquid unrestricted net assets
-1.1
-1.6
-1.6
-1.5
-1.9
Balance sheet composition
info
2020
2021
2022
2023
2024
Cash
$902,746
$2,251,711
$1,289,367
$7,608,883
$4,630,284
Investments
$0
$0
$0
$0
$0
Receivables
$30,380
$29,330
$11,442
$174,044
$957,923
Gross land, buildings, equipment (LBE)
$4,262,986
$5,252,854
$1,330,669
$8,557,855
$9,863,714
Accumulated depreciation (as a % of LBE)
63.3%
64.1%
134.2%
57.0%
56.9%
Liabilities (as a % of assets)
130.1%
126.1%
132.4%
109.8%
125.1%
Unrestricted net assets
-$1,273,989
-$1,496,985
-$2,164,155
-$1,775,031
-$3,078,722
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
$0
$0
$249,000
$600,000
$450,000
Total net assets
-$1,273,989
-$1,496,985
-$1,915,155
-$1,175,031
-$2,628,722
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
Executive Director
Karen Worcester
Chief Financial Officer
Charemon Davis
Number of employees
Source: IRS Form 990
Officers, directors, trustees, and key employees
Highest paid employees
Board of directors
WREATHS ACROSS AMERICA
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
WREATHS ACROSS AMERICA
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
WREATHS ACROSS AMERICA
Board of directors
as of

04/06/2026
SOURCE: Self-reported by organization
Board of directors data
the most recent year of board of directors data for this organization
Board co-chair
Wayne Hanson
Wreaths Across America
Term: 2024 - 2025
Board co-chair
Michael
Edgecomb
Wreaths Across America
Term: 2024 - 2025
Dan Leclair
Wreaths Across America
Dan Mead
Wreaths Across America
David Russen
Wreaths Across America
Debbie Sparks
Wreaths Across America
Graig Morin
Wreaths Across America
Jenny Lovering
Director
Wreaths Across America
Karen Difendorf
Wreaths Across America
Kevin Haley
Wreaths Across America
Lorna Harris
Wreaths Across America
Michael Edgecomb
Wreaths Across America
Nate Lewis
Wreaths Across America
Pamela Slaven-Lee
Wreaths Across America
Patrick Simmons
Wreaths Across America
Randy Lewer
Wreaths Across America
Renee Worcester
Wreaths Across America
Ron Sailor
Wreaths Across America
Sarah Worcester
Wreaths Across America
Wayne Hanson
Wreaths Across America
Board leadership practices
SOURCE: Self-reported by organization
GuideStar worked with BoardSource, the national leader
in nonprofit board leadership and governance, to create this section.
Board orientation and education
Does the board conduct a formal orientation for new board members and require all board members to sign a written agreement regarding their roles, responsibilities, and expectations?
yes
CEO oversight
Has the board conducted a formal, written assessment of the chief executive within the past year ?
yes
Ethics and transparency
Have the board and senior staff reviewed the conflict-of-interest policy and completed and signed disclosure statements in the past year?
yes
Board composition
Does the board ensure an inclusive board member recruitment process that results in diversity of thought and leadership?
yes
Board performance
Has the board conducted a formal, written self-assessment of its performance within the past three years?
yes
Organizational demographics
info
Candid has made improvements to the race and ethnicity options.
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
The organization's co-leader identifies as:
Race & ethnicity
White/Caucasian/European
Gender identity
Female
Race & ethnicity
Gender identity
Transgender Identity
Sexual orientation
Disability
Contractors
Fundraisers
Contractors
Fiscal year ending
There are no fundraisers recorded for this organization.
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Email contact information
Financial trends metrics for five most recent years 2024, 2023, 2022, 2022, 2021*
Financial statements for 2024, 2023, 2022, 2021, 2020
Letter of Determination
Form 1023 / 1024
Officer and/or Employee data for 2024, 2023, 2022, 2022, 2021
Contractor and/or Paid Preparer data for 2024, 2023, 2022
Board of Directors data for 2026
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