Street Theatre Company
615-584-5654
Share page
PO Box 160979
Nashville, TN 37216
Organization Details

Fiscal Year

No current fiscal year information is available at this time.


Organizational Budgets and Other Documents

Street Theatre Company 2022 Budget 2022
STC Annual Budget 2021
STC Annual Budget 2019
STC Annual Budget 2018
STC Annual Budget 2017
Street Theatre 2016 Budget 2016
Street Theatre Company 2015 budget 2015
Street Theatre Company 2014 Budget 2014
Street Theatre Company 2013 Budget 2013
Street Theatre Company 2012 Budget 2012
Street Theatre Company 2011 Budget 2011
street theatre company 2010 budget 2010
street theatre company 2008 budget 2008

IRS Letter of Exemption

street theatre company irs ltr

Detailed Financials

Revenue and Expenses
Fiscal Year202220212020
Total Revenue $67,075.00$70,377.00
Total Expenses $65,994.00$39,189.00
Revenue Less Expenses ($-0.00)$1,081.00$31,188.00

Revenue Sources
Fiscal Year202220212020
Foundation and Corporation Contributions $5,000.00$0.00
Government - Federal $0.00$0.00
Government - State $18,569.00$0.00
Government - Local $10,405.00$0.00
Government - Unspecified $0.00$0.00
Contributions, Gifts, and Grants $13,973.00$50,676.00
Indirect Public Support $0.00$0.00
Earned Revenue $18,278.00$18,637.00
Investment Income, Net of Losses $0.00$0.00
Membership Dues $0.00$0.00
Special Events $0.00$1,064.00
Revenue In-Kind $0.00$0.00
Other $850.00$0.00

Expense Allocation
Fiscal Year202220212020
Program Expense $35,000.00$39,189.00
Administration Expense $30,994.00$0.00
Fundraising Expense $0.00$0.00
Total Revenue/Total Expenses 102%180%
Program Expense/Total Expenses 53%100%
Fundraising Expense/Contributed Revenue 0%0%

Top Funding Sources
Fiscal Year202220212020
Top Funding Source & Dollar Amount $0.00State Government Grant
$18,569.00
Contributions, Gifts and Grants
$50,676.00
Second Highest Funding Source & Dollar Amount $0.00Program Revenue
$18,278.00
Program Revenue
$18,637.00
Third Highest Funding Source & Dollar Amount $0.00Contributions, Gifts, and Grants
$13,973.00
Fundraising Events
$1,064.00

Assets and Liabilities
Fiscal Year202220212020
Total Assets $33,112.00$32,031.00
Current Assets $33,112.00$32,031.00
Long-Term Liabilities $0.00$0.00
Current Liabilities $0.00$0.00
Total Net Assets $33,112.00$32,031.00

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?

No

Solicitation Permit Info

State Charitable Solicitations Permit

Yes

Permit Expiration Month

June

Permit Expiration Year

2023

Form 990s

Street Theatre Compant 2021 990-EZ 2021
STC FORM 990 2020 2020
Street Theatre Company 990EZ 2019
Street Theatre Company 2018 990 2018
Street Theatre Company 2017 990 2017
Street Theatre Company 2016 990 2016
Street Theatre Company 2015 990 2015
2014 Street Theatre Company 990 2014
Street Theatre Company 2014 990 2014
Street Theatre Company 2013 990 2013
Street Theatre Company 2012 990 2012
Street Theatre Company 2011 990 2011
street theatre company 2010 990 2010
street theatre company 2009 990 2009
street theatre company 2008 990 2008
street theatre company 2007 990 2007

Audit Documents

No audit documents are available at this time

Foundation Staff Comments


Financial figures are taken from the 990EZ. 990 was prepared internally internally by the nonprofit. Comments provided by Nicole Rose 12/12/2022.