Taller San Jose Hope Builders

Profile Not Current (Last updated: Jan 09, 2026 )

Current Fiscal Year

Fiscal Year Start Date: July 1, 2024

Fiscal Year End Date: June 30, 2025

Projected Revenue: $4,302,529

Projected Expense: $5,535,473

Revenue vs. Expense ($)
Expense Breakdown: 2024 (%)
Administration Expense 1.4%
Program Expense 69.7%
Fundraising Expense 14.2%
Expense Breakdown: 2023 (%)
Administration Expense 16.5%
Program Expense 67.8%
Fundraising Expense 15.7%
Expense Breakdown: 2022 (%)
Administration Expense 12.5%
Program Expense 72.2%
Fundraising Expense 15.2%

990 Tax Form Newest 990 Year opens each June

Tax Year 2024 Form 990 (Fiscal Year ending in 2024)
Tax Year 2023 Form 990 (Fiscal Year ending in 2023) Download
Tax Year 2022 Form 990 (Fiscal Year ending in 2022) Download
Tax Year 2021 Form 990 (Fiscal Year ending in 2021) Download

Prior Three Years Total Revenue and Expense Totals

Fiscal Year 2024 2023 2022
Total Revenue $5,056,217 $5,201,462 $3,656,769
Total Expenses $5,401,384 $4,082,182 $3,712,677

Prior Three Years Revenue Sources

Fiscal Year 2024 2023 2022
Foundation and Corporation Contributions - $3,045,573 $1,949,460
Government Contributions $423,790 $809,727 $1,008,811
Federal - - -
State - - -
Local - - -
Unspecified - - -
Individual Contributions - - -
Indirect Public Support - - -
Earned Revenue $164,463 $278,241 $186,321
Investment Income, Net of Losses $102,471 $274,483 $344,780
Membership Dues - - -
Special Events - $786,915 $855,505
Revenue In-Kind $17,000 $6,523 $1,452
Other Revenue $10,075 $542,101 $694,241

Prior Three Years Expense Allocations by Type

Fiscal Year 2024 2023 2022
Program Expense $3,765,228 $2,766,585 $2,682,052
Administration Expense $76,020 $673,028 $465,839
Fundraising Expense $766,970 $642,569 $564,786
Payments to Affiliates - - -
Total Revenue/Total Expenses 0.94 1.27 0.98
Program Expense/Total Expenses 70% 68% 72%
Fundraising Expense/Total Revenue 15% 12% 15%

Prior Three Years Assets and Liabilities

Fiscal Year 2024 2023 2022
Total Assets $8,516,472 $8,726,043 $6,910,967
Current Assets $2,429,228 $5,087,246 $3,449,289
Long-Term Liabilities $299,541 - -
Current Liabilities $519,616 $979,193 $269,088
Total Net Assets $7,697,315 $7,746,850 $6,635,895

Short Term Solvency

Fiscal Year 2024 2023 2022
Current Assets/Current Liabilities 4.68 5.20 12.82

Long Term Solvency

Fiscal Year 2024 2023 2022
Long Term Liabilities/Total Assets 4% - -

Endowment/Capital Campaigns

Endowment Value: $3,147,140

Spending Policy: -

Percentage: -

Are you currently in a Capital Campaign? No

CONTACT

Taller San Jose Hope Builders

801 N Broadway
Santa Ana, CA 92701

csheehan@tsjhopebuilders.org

Phone: 714-543-5105#112

www.tsjhopebuilders.org