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1997-1998 Annual Report

FINANCIAL SUMMARY

STATEMENTS OF FINANCIAL POSITION
(AUDITED)
Year ended June 30,
ASSETS 2002 2001 2000 1999
Cash and cash equivalents $ 160,787 $ 174,873 $ 82,946 $ 110,578
Accrued interest and dividends 4,065 55,610 48,520 70,597
Accounts receivable 47,500 40,682 50,130 23,275
Federal excise tax refund receivable 38,773
Prepaid excise tax 10,000 50,301 22,924
Prepaid pension cost 6,119 1,531
Investments 15,779,799 19,859,314 22,995,008 15,040,957
Deferred federal excise tax asset 2,899
Intangible pension asset 20,016 21,194
Furniture and equipment, net 6,672 10,012 8,807 7,091

TOTAL ASSETS $16,070,511 $20,211,986 $23,214,454 $15,254,029
LIABILITIES
Accounts payable $ 80,907 $ 12,723 $ 5,009
Unconditional grants payable 422,500 $ 33,000 506,778 436,300
Federal excise tax payable 2,544
Deferred federal excise tax liability 28,058 108,222 28,184
Accrued pension liability 103,445 30,638

TOTAL LIABILITIES 606,852 91,696 627,723 472,037
UNRESTRICTED NET ASSETS 15,463,659 20,120,290 22,586,731 14,781,992

TOTAL LIABILITIES AND UNRESTRICTED NET ASSETS $16,070,511 $20,211,986 $23,214,454 $15,254,029

 

STATEMENTS OF ACTIVITIES
(AUDITED)
Year ended June 30,
2002
2001
2000
1999
UNRESTRICTED SUPPORT AND REVENUE
Contributions $ 50,000 $ 50,000 $ 50,000
Grant administration fees 242,686 158,805 $ 130,630 65,995
Investment return (3,028,244) (1,286,008) 9,250,824 1,095,492
Interest on cash and cash equivalents 5,916 10,745 7,708 5,955
Other income, non-taxable 4,377    

TOTAL UNRESTRICTED SUPPORT AND REVENUE (2,725,265) (1,066,458) 9,389,162 1,217,442
EXPENSES
Program services
Program grants awarded 1,097,580 689,250 786,518 871,244
Program grants management 467,922 365,487 240,956 182,726

1,565,502 1,054,737 1,027,474 1,053,970
Management and general expense
General administration 120,928 101,430 120,401 104,781
Investment management 274,365 299,313 256,978 185,357
Federal excise tax (benefit) (29,429) (55,497) 179,570 24,373

365,864 345,246 556,949 314,511

TOTAL EXPENSES 1,931,366 1,399,983 1,584,423 1,368,481

CHANGE IN UNRESTRICTED NET ASSETS (4,656,631) (2,466,441) 7,804,739 (151,039)
UNRESTRICTED NET ASSETS
Beginning of year 20,120,290 22,586,731 14,781,992 14,933,031

End of year $15,463,659 $20,120,290 $22,586,731 $14,781,992
 
 

Note: The financial statements for 1999 and 2000 have been restated to reflect a change in the accounting for deferred excise tax. In addition, certain expenses in the 1999 and 2000 financial statements have been reclassified to conform to the 2001 and 2002 presentation.

 

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The Jenifer Altman Foundation, Thoreau Center for Sustainability, Presidio Building 1016, First Floor, P.O. Box 29209, San Francisco, CA 94129 USA. 415.561.2182 info@jaf.org