Walden's Puddle
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615-559-9453
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P.O. Box 641
Joelton, TN 37080
Organization Details

Fiscal Year

Fiscal Year Start

01/01/2024

Fiscal Year End

12/31/2024

Projected Revenue

$480,000.00

Projected Expenses

$480,700.00

Organizational Budgets and Other Documents

Walden's Puddle 2024
Walden's Puddle 2023 Budget 2023
Walden's Puddle 2022 Budget 2022
Walden's Puddle 2021 Budget 2021
Walden's Puddle 2020 Budget 2020
Waden's Puddle 2019 Budget 2019
Waden's Puddle 2018 Budget 2018
Walden's Puddle 2017 Budget 2017
Walden's Puddle 2016 Budget 2016
Walden's Puddle 2015 Budget 2015
Walden's Puddle 2014 Budget 2014
Walden's Puddle 2012 Budget 2012
Walden's Puddle 2011 Budget 2011
walden's puddle 2009 budget 2009
walden's puddle 2006 budget 2006
walden's puddle 2005 budget 2005

IRS Letter of Exemption

walden's puddle irs ltr

Detailed Financials

Revenue and Expenses
Fiscal Year202320222021
Total Revenue $602,617.00$625,710.00
Total Expenses $523,127.00$562,296.00
Revenue Less Expenses ($-0.00)$79,490.00$63,414.00

Revenue Sources
Fiscal Year202320222021
Foundation and Corporation Contributions $0.00$0.00
Government - Federal $0.00$0.00
Government - State $0.00$0.00
Government - Local $0.00$0.00
Government - Unspecified $0.00$49,662.00
Contributions, Gifts, and Grants $559,252.00$474,755.00
Indirect Public Support $0.00$0.00
Earned Revenue $0.00$0.00
Investment Income, Net of Losses $12,272.00$35,943.00
Membership Dues $0.00$0.00
Special Events $0.00$0.00
Revenue In-Kind $31,093.00$29,735.00
Other $0.00$35,615.00

Expense Allocation
Fiscal Year202320222021
Program Expense $508,809.00$544,394.00
Administration Expense $14,318.00$17,902.00
Fundraising Expense $0.00$0.00
Total Revenue/Total Expenses 115%111%
Program Expense/Total Expenses 97%97%
Fundraising Expense/Contributed Revenue 0%0%

Top Funding Sources
Fiscal Year202320222021
Top Funding Source & Dollar Amount $0.00Contributions, Gifts, and Grants
$559,252.00
Contributions, Gifts, and Grants
$474,755.00
Second Highest Funding Source & Dollar Amount $0.00Noncash Contributions
$31,093.00
Government Grants
$49,662.00
Third Highest Funding Source & Dollar Amount $0.00Investment Income
$12,272.00
Investment Income
$35,943.00

Assets and Liabilities
Fiscal Year202320222021
Total Assets $1,303,660.00$1,313,618.00
Current Assets $492,657.00$399,083.00
Long-Term Liabilities $0.00$0.00
Current Liabilities $0.00$0.00
Total Net Assets $1,303,660.00$1,313,618.00

Endowment Info

Do you have an endowment?

No

Capital Campaign Info

Are you currently in a Capital Campaign?

No

Do you anticipate a campaign in the next 5 years?

Yes

Solicitation Permit Info

State Charitable Solicitations Permit

Under Extension

Form 990s

Walden's Puddle 2022 2022
Walden's Puddle 2021 990 2021
Walden's Puddle 2020 990 2020
Walden's Puddle 2019 990 2019
Walden's Puddle 2018 990 2018
Walden's Puddle 2017 990 2017
Walden's Puddle 2016 990 2016
Walden's Puddle 990 2015 2015
Walden's Puddle 2014 990 2014
Walden's Puddle 2013 990 2013
Walden's Puddle 2012 990 2012
Walden's Puddle 2011 990 2011
Walden's Puddle 2010 990 2010
Walden's Puddle 2009 990 2009
walden's puddle 2008 990 2008
walden's puddle 2007 990 2007
walden's puddle 2006 990 2006
walden's puddle 2005 990 2005
walden's puddle 2004 990 2004
walden's puddle 2003 990 2003

Audit Documents

WP Audited Financials 2022
Audited Financials 2017
Reason for Lack of Audit 2010

CEO/Executive Director/Board Comments


We cannot charge for educational programs, nor do we receive state/federal funding, instead obtaining our funding through private donations and foundation grants, which we are doing successfully. We also actively fundraise and taking advantage of online fundraising opportunities like iGive and others. Furthermore, we are trying to establish positive relationships with both new and our previous donors that have supported us throughout the years.

Foundation Staff Comments


Financial figures taken from the 990. Financial documents prepared by Blankenship CPA Group PLLC. Comments provided by Nicole Rose 01/10/2024.