Civic Intelligence

Hole in the Wall Gang Fund Inc

EIN 06-1157655 • 501(c)3 • New Haven, CT

Profile

The hole in the wall gang camp, in collaboration with its associated camps in the united states and abroad, provides children, adolescents and young adults with cancer and other serious illnesses and conditions a camping experience of the highest quality, while extending year-round support to those individuals and their families.

555 Long Wharf Drive FL 11New Haven, CT 06511

www.holeinthewallgang.org

Siviq Scores

Precomputed percentiles relative to similar nonprofits. These scores are descriptive rather than judgmental.

Liabilities / Assets

8th percentile

0.01x

Higher debt load relative to assets than 8% of similar nonprofits.

501(c)3 • $100M-$250M nonprofits • Source year 2024

Liabilities / Revenue

12th percentile

0.06x

Higher debt load relative to revenue than 12% of similar nonprofits.

501(c)3 • $100M-$250M nonprofits • Source year 2024

Net Margin

10th percentile

-16%

Higher net margin than 10% of similar nonprofits.

501(c)3 • $100M-$250M nonprofits • Source year 2024

Top Officer Pay

32nd percentile

$351,673

Higher top officer pay than 32% of similar nonprofits.

Top officer pay equals 2.0% of source-year revenue.

501(c)3 • $100M-$250M nonprofits • Source year 2024

Asset Growth

69th percentile

11%

Faster asset growth than 69% of similar nonprofits.

501(c)3 • $100M-$250M nonprofits • Annualized from 2023 to 2024

Revenue Growth

75th percentile

22%

Faster revenue growth than 75% of similar nonprofits.

501(c)3 • $100M-$250M nonprofits • Annualized from 2023 to 2024

Assets

Up

$164,776,524

Up $15,979,941 (+11%) from 2023

Liabilities

Down

$1,057,212

Down $306,462 (-22%) from 2023

Net Assets

Up

$163,719,312

Up $16,286,403 (+11%) from 2023

Revenue

Up

$17,752,405

Up $3,145,606 (+22%) from 2023

Expenses

Up

$20,659,407

Up $2,392,821 (+13%) from 2023

Net Income

Up

-$2,907,002

Up $752,785 (+21%) from 2023

Trend Graphs

Balance Sheet Trend

Grouped bars show assets, liabilities, and net assets across loaded filings.

$200M$150M$100M$50M$0Assets 2010: $64,930,391Liabilities 2010: $1,607,538Net Assets 2010: $63,322,8532010Assets 2011: $66,150,519Liabilities 2011: $1,428,962Net Assets 2011: $64,721,5572011Assets 2012: $73,568,036Liabilities 2012: $677,333Net Assets 2012: $72,890,7032012Assets 2013: $86,472,372Liabilities 2013: $483,504Net Assets 2013: $85,988,8682013Assets 2014: $91,623,939Liabilities 2014: $793,661Net Assets 2014: $90,830,2782014Assets 2015: $92,847,327Liabilities 2015: $1,687,968Net Assets 2015: $91,159,3592015Assets 2016: $94,381,619Liabilities 2016: $1,856,628Net Assets 2016: $92,524,9912016Assets 2017: $106,474,963Liabilities 2017: $1,370,194Net Assets 2017: $105,104,7692017Assets 2018: $105,268,188Liabilities 2018: $742,258Net Assets 2018: $104,525,9302018Assets 2019: $113,124,953Liabilities 2019: $890,914Net Assets 2019: $112,234,0392019Assets 2020: $124,250,176Liabilities 2020: $3,005,156Net Assets 2020: $121,245,0202020Assets 2021: $144,768,300Liabilities 2021: $790,827Net Assets 2021: $143,977,4732021Assets 2022: $145,567,447Liabilities 2022: $1,515,751Net Assets 2022: $144,051,6962022Assets 2023: $148,796,583Liabilities 2023: $1,363,674Net Assets 2023: $147,432,9092023Assets 2024: $164,776,524Liabilities 2024: $1,057,212Net Assets 2024: $163,719,3122024

Highlighted filing

2024

Assets$164,776,524
Liabilities$1,057,212
Net Assets$163,719,312

Operations Trend

Revenue, expenses, and net income by year, with the latest filing highlighted.

$30M$20M$10M$0-$10MExpenses 2010: $9,352,0632010Expenses 2011: $9,519,9202011Expenses 2012: $9,720,1622012Revenue 2013: $12,644,734Expenses 2013: $10,678,714Net Income 2013: $1,966,0202013Revenue 2014: $12,462,682Expenses 2014: $12,622,527Net Income 2014: -$159,8452014Revenue 2015: $15,626,200Expenses 2015: $13,405,049Net Income 2015: $2,221,1512015Revenue 2016: $13,487,261Expenses 2016: $13,823,018Net Income 2016: -$335,7572016Revenue 2017: $16,920,315Expenses 2017: $13,254,529Net Income 2017: $3,665,7862017Revenue 2018: $14,594,520Expenses 2018: $13,444,340Net Income 2018: $1,150,1802018Revenue 2019: $14,396,305Expenses 2019: $14,535,822Net Income 2019: -$139,5172019Revenue 2020: $17,617,353Expenses 2020: $12,554,973Net Income 2020: $5,062,3802020Revenue 2021: $20,451,093Expenses 2021: $12,791,560Net Income 2021: $7,659,5332021Revenue 2022: $29,148,853Expenses 2022: $16,386,537Net Income 2022: $12,762,3162022Revenue 2023: $14,606,799Expenses 2023: $18,266,586Net Income 2023: -$3,659,7872023Revenue 2024: $17,752,405Expenses 2024: $20,659,407Net Income 2024: -$2,907,0022024

Highlighted filing

2024

Revenue$17,752,405
Expenses$20,659,407
Net Income-$2,907,002

Filings

Balance SheetOperations
YearAssetsLiabilitiesNet AssetsRevenueExpensesNet Income
2024Facts available. Structured filing facts are available, but richer extracted sections are limited.$165$1.06$164$17.8$20.7$2.91
2023Detailed filing. Detailed filing data is available for this year.$149$1.36$147$14.6$18.3$3.66
2022XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$146$1.52$144$29.1$16.4$12.8
2021Facts available. Structured filing facts are available, but richer extracted sections are limited.$145$0.79$144$20.5$12.8$7.66
2020XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$124$3.01$121$17.6$12.6$5.06
2019XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$113$0.89$112$14.4$14.5$0.14
2018XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$105$0.74$105$14.6$13.4$1.15
2017Detailed filing. Detailed filing data is available for this year.$106$1.37$105$16.9$13.3$3.67
2016Import issue. A filing source exists for this year, but detailed import did not complete cleanly.$94.4$1.86$92.5$13.5$13.8$0.34
2015Detailed filing. Detailed filing data is available for this year.$92.8$1.69$91.2$15.6$13.4$2.22
2014Detailed filing. Detailed filing data is available for this year.$91.6$0.79$90.8$12.5$12.6$0.16
2013Facts available. Structured filing facts are available, but richer extracted sections are limited.$86.5$0.48$86.0$12.6$10.7$1.97
2012Facts available. Structured filing facts are available, but richer extracted sections are limited.$73.6$0.68$72.9$9.72
2011Facts available. Structured filing facts are available, but richer extracted sections are limited.$66.2$1.43$64.7$9.52
2010Facts available. Structured filing facts are available, but richer extracted sections are limited.$64.9$1.61$63.3$9.35
Latest Filing Detail
Jump To
Filing Snapshot
Filing Period
Dec 1, 2023 to Nov 30, 2024
Signed
Jul 24, 2025
Return Version
2023v6.0
Gross Receipts
$52,813,020
Mission and Program Overview

Mission

The hole in the wall gang camp, in collaboration with its associated camps in the united states and abroad, provides children, adolescents and young adults with cancer and other serious illnesses and conditions a camping experience of the highest quality, while extending year-round support to those individuals and their families.

To provide residential camping experiences for children, adolescents and young adults with cancer and other serious illnesses. To provide year-round support and programs for those individuals, their families, and their caregivers. To provide assistance to other organizations with similar missions.

Balance Sheet Detail
LineBeginningEndChange
Assets
Investments Other Securities$76,785,809$87,511,536▲ $10,725,727
Investments in Publicly Traded Securities$33,632,076$38,343,086▲ $4,711,010
Land, Buildings, and Equipment, Net$34,770,971$33,289,186▼ $1,481,785
Pledges and Grants Receivable$1,167,527$3,130,260▲ $1,962,733
Savings and Temporary Cash Investments$1,387,822$1,710,153▲ $322,331
Prepaid Expenses and Deferred Charges$427,300$410,723▼ $16,577
Cash and Non-Interest-Bearing Accounts$102,505$117,778▲ $15,273
Loans From Officers Directors$4,167$0▼ $4,167
Total Assets$148,796,583$164,776,524▲ $15,979,941
Other Assets Total$522,573$263,802▼ $258,771
Liabilities
Accounts Payable and Accrued Expenses$812,029$757,310▼ $54,719
Other Liabilities$547,478$299,902▼ $247,576
Total Liabilities$1,363,674$1,057,212▼ $306,462
Net Assets / Fund Balance
Net Assets Without Donor Restrictions$143,113,103$157,055,143▲ $13,942,040
Net Assets With Donor Restrictions$4,319,806$6,664,169▲ $2,344,363
Total Net Assets Fund Balance$147,432,909$163,719,312▲ $16,286,403
Total Liabilities and Net Assets / Fund Balance$148,796,583$164,776,524▲ $15,979,941

Asset Categories

AssetBook ValueDepreciationBasis
Buildings$25,932,783$25,936,959$51,869,742
Land$5,223,475-$5,223,475
Other Land Buildings$1,822,323$2,549,860$4,372,183
Equipment$310,605$668,069$978,674
Leasehold Improvements$0$530,819$530,819
Other Securities$14,864,620--

Endowment Activity

PeriodBeginningContrib.Gain/LossOther UsesEnd
2023$3,098,212$29,520▲ $528,589$122,513$3,533,808
2022$2,877,653$29,625▲ $310,203$119,269$3,098,212
2021$3,463,391$22,250▼ $413,338$194,650$2,877,653
2020$3,049,910$24,100▲ $389,381-$3,463,391
2019$2,669,373$75,730▲ $379,503$74,696$3,049,910
Compensation and Service Providers

Employees

NameTitleFull / Part TimeBaseOtherTotal
James CantonCEOFT$295,417$56,256$351,673
Robin FarrellChief Development OfficerFT$191,697$26,276$217,973
Padraig BarryChief Strategy OfficerFT$164,442$25,287$189,729
Charlene CurryChief Hr OfficerFT$161,352$24,082$185,434
James TakamiCFOFT$167,495$4,045$171,540
Hilary AxtmayerChief Program OfficerFT$130,353$40,512$170,865
David Nelson MdMedical DirectorPT$134,500$9,415$143,915
Jennifer WeeksDirector of Special EventsFT$112,500$20,662$133,162
Emily RingDirector of NursingFT$119,942$8,396$128,338
Krista Selnau CamardaDirector of Major and Planned GiftsFT$108,304$15,320$123,624

Board Members and Trustees

NameTitle
Raymond LamontagneChair Until 11/24
Jeffrey H HorstmanCo-chair From 11/24
Gregory P BrousseauVice Chair/treasurer From 11/24
Lynn FuscoVice-chair/treas. Until 11/24 Co-chair From 11/24
Adam C JedDirector
Allison E Picott JdDirector
Andy CrowleyDirector
Bonnie FerroDirector
Bradley CooperDirector
Bridget MoynahanDirector
Christina HornerDirector
Daniel R KailDirector
Gary Kupfer MdDirector
James NaughtonDirector
Jay LevineDirector
Khaled F AlhegelanDirector
Kingdar PrussienDirector
Matt SheeleighDirector
Melissa S NewmanDirector
Patrick J NicholsDirector
Paula a Johnson MdDirector
Peter B SchottlandDirector
Richard M Kayne MdDirector
Sandy KoufaxDirector
Stefani a LidestriDirector
Steven Choi MdDirector
Ursula L GwynneDirector
Ana VillafaneDirector From 11/24
Erin RodliffDirector From 11/24
Sean a RamalhoDirector Until 4/24
Terry CoughlinSecretary

Highest Paid Contractors

ContractorServicesLocationCompensation
Premier Building Services LLCCommercial Building Contractor465 LIBERTY HIGHWAY, Putnam, CT 06260$175,614
Revenue and Support

Revenue Composition

Contributions and Grants
$15,421,058
Program Service Revenue
$0
Investment Income
$2,988,193
Other Revenue
$-656,846
All Other Contributions
$10,508,210
Change in Net Assets
$-2,907,002

Noncash Contribution Practices

Property subject to holding requirements
No
Reviewed unusual noncash gifts
Yes
Third parties used for noncash contributions
No

Noncash Contributions

Contribution TypeContribution CountReported AmountValuation Method
Securities Publicly Traded16$281,289Fair Market Value (FMV)
Total Noncash Contributions16$281,289-

Audited Revenue Reconciliation

Revenue per Audited Statements
$17,624,541
Revenue Not Reported on Financial Statements
$127,864
Revenue Not Reported on Form 990
$19,193,405
Total Revenue per Audited Statements
$36,817,946
Total Revenue per Form 990
$17,752,405
Expenses and Functional Allocation

Major Expense Lines

Line ItemAmount
Salaries, Compensation, and Employee Benefits$11,937,164
Other Expenses$8,472,243
Total Fundraising Expense$4,226,789
Grants and Similar Amounts Paid$250,000
Professional Fundraising Fees$0

Functional Expense Allocation

Line ItemProgramManagementFundraisingTotal
Other Salaries and Wages$5,808,896$289,701$2,052,614$8,151,211
Depreciation Depletion$2,272,257$31,919-$2,304,176
Other Employee Benefits$966,632$79,698$434,357$1,480,687
Current Officers, Directors, Trustees, and Key Employees$427,263$583,265$243,917$1,254,445
Fees for Services Other$325,283$97,329$340,690$763,302
Payroll Taxes$453,291$55,707$162,631$671,629
Travel$414,311$21,886$175,482$611,679
Information Technology$231,845$82,924$264,816$579,585
Office Expenses$249,079$83,280$120,837$453,196
Insurance$442,822--$442,822
Occupancy$270,689$91,262$30,795$392,746
Pension Plan Contributions$263,920$12,475$102,797$379,192
Other Expenses$321,105$4,546$265,258$321,105
Grants to Domestic Orgs$250,000--$250,000
Fees for Service Investment Mgmnt Fees-$127,864-$127,864
Fees for Services Accounting-$118,730-$118,730
All Other Expenses$31,833$21,793$29,457$83,083
Fees for Services Legal$61,407$6,079$3,138$70,624
Total Functional Expenses$14,724,160$1,708,458$4,226,789$20,659,407

Audited Expense Reconciliation

Line ItemAmount
Total Expenses per Form 990$20,659,407
Expenses per Audited Statements$20,531,543
Total Expenses per Audited Statements$20,531,543
Expenses Not Reported on Financial Statements$127,864
Expenses Not Reported on Form 990$0
International Activity

Grant and Assistance Recipients

RecipientLocationCategoryPurposeAmount
Double H RanchLake Luzerne, NY501(c)(3)Operating Assistance$250,000

International Summary

Offices
0
Employees
0
Spending
$2,132,000

International Compliance

Activity in boycott countries
No
Foreign corporation ownership
Yes
Foreign partnership interest
Yes
Interest in foreign trust
No
Passive foreign investment company interest
Yes
Transfers to foreign corporations
Yes

International Activities

RegionActivityServicesOfficesEmployeesSpending
Central America and the Caribbean - Antigua & Barbuda, Aruba, Bahamas,Investments-00$2,132,000
Fundraising, Events, and Gaming
Fundraising activities
Yes
Gaming activities
No
Professional fundraiser used
No

Fundraising and Gaming Totals

Line ItemAmount
Fundraising Direct Expenses$1,142,181
Fundraising Gross Income$485,335
Professional Fundraising Fees$0

Fundraising Events

EventGross ReceiptsGross RevenueDirect ExpensesNet Income
Beantown Bash$1,798,088$179,808$274,644$-94,836
Big Apple Ny$1,784,034$178,403$357,667$-179,264
Total Events$5,398,183$485,335$1,142,181$-656,846
Political and Lobbying Activity
Political campaign activity
No
Lobbying activity
No
Subject to proxy tax
No
Insider Transactions and Loans

Interested-Person Transactions

Interested PartyRelationshipDescriptionShared RevenueAmount
-Lynn Fusco Is an Officer of Fusco Harbour Associates & Co-chair of the FundTHE FUND PAID RENT FOR OFFICE SPACE OF $123,180 DURING THE YEAR ENDED NOVEMBER 30, 2024 TO FUSCO HARBOUR ASSOCIATES, AN OFFICER OF WHICH IS A MEMBER OF THE FUND'S BOARD OF DIRECTORS.No$123,180

Loans and Receivables

Line ItemBeginningEndChange
Loans from Officers, Directors, Trustees, and Key Employees$4,167$0▼ $4,167
Debt and Bond Financing

Other Reported Liabilities

LiabilityAmount
Operating Lease Liabilities$299,902
Governance and Compliance

Governance Checklist

Compiled or reviewed by an accountant
No
Annual disclosure for covered persons
Yes
Audit committee
Yes
Backup withholding compliance
Yes
Business relationship with 35% controlled entity
Yes
Business relationship with family members
No
Business relationship with organization members
No
Material changes to governing documents
No
Compensation from other sources disclosed
No
CEO compensation reviewed
Yes
Other officer compensation reviewed
Yes
Conflict-of-interest policy
Yes
Audited financial statements prepared
No
Key decisions subject to board approval
No
Management duties delegated
No

Governance Explanations

Form 990, Part VI, Section B, Line 11B

The organization shares the draft 990 with board members and asks them to respond with any questions, suggestions, or proposed changes before the return is filed with the irs.

Form 990, Part VI, Section B, Line 12C

All members of the board of directors are required annually to complete the conflict of interest policy form and submit it to the ceo. The ceo and cfo review the completed forms to determine if any conflicts of interest exist.

Form 990, Part VI, Section B, Line 15

The compensation and personnel committee of the board of directors performs an annual performance appraisal of the ceo. The committee utilizes information from non-profit research organizations, information from their respective employments, and information from other non-profit boards on which they serve to evaluate the ceo's compensation. This process is also utilized to evaluate the compensation for the cdo, cfo, cpo, chro, and medical director, which also includes contemporaneous substantiation of the deliberation and decision.

Form 990, Part VI, Section C, Line 19

The organization makes its governing documents, conflict of interest policy, and financial statements available to the public by providing copies upon written request and by making the documents available for inspection at its office in new haven, ct. The audited financial statements and irs form 990 are also available on the organization's website.

Filing and Contact Details

Filer

Filer Name
Hole in the Wall Gang Fund Inc
EIN
06-1157655
Phone
2037720522
Address
555 LONG WHARF DRIVE FL 11, NEW HAVEN, CT 06511
Doing Business As
The Hole in the Wall Gang Camp

Signing Officer

Name
James Canton
Title
Chief Executive Officer
Phone
2037720522
Signed
2025-07-24
Discuss with paid preparer
Yes

Organization Details

Principal Officer
James Canton
Formed
1985
Legal Domicile
Ct
Voting Board Members
31
Independent Board Members
31
Employees
159
Volunteers
3,650

Preparer

Firm
Cbiz Advisors LLC
Address
53 STATE STREET, BOSTON, MA 02109
Preparer
Douglas Farrington
Phone
6178075000
Supplemental Narrative

Financial Statement Notes

PART V, LINE 4:

The endowment funds are intended to provide resources to support the camp's mission, primarily to support the activities of the summer programs.

PART X, LINE 2:

The fund is a not-for-profit fund under the nonstock corporation act of the state of connecticut and is exempt from income tax under section 501(c)(3) of the internal revenue code (the code). Contributions to the fund are tax-deductible within the limitations prescribed by the code. The fund has been classified as a fund that is not a private foundation and has been designated as a publicly supported fund under the applicable sections of the code. Income, that is not related to exempt purposes, less applicable deductions, is subject to federal and state corporate income taxes. The fund had no unrelated business income for the years ended november 30, 2024 and 2023. The fund performed an evaluation of uncertainty in income taxes for the year ended november 30, 2024, and determined that there were no matters that would require recognition in the financial statements or that may have any effect on its tax-exempt status. As of november 30, 2024, the statute of limitations for certain tax years, remained open with the u.s. Federal jurisdiction and/or the various states and local jurisdictions in which the fund files tax returns, however, no examinations were pending or in progress. It is the fund's policy to recognize interest and penalties related to uncertainty in income taxes, if any, in interest and/or income tax expense. As of november 30, 2024, the fund had no accruals for interest and/or penalties.

Raw XML AppendixShowing 400 of 981 raw XML fields

This appendix keeps the raw XML leaves available for debugging and edge-case review. The human report above is the primary experience.

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IRS990/Form990PartVIISectionAGrp/TitleTxt36CHIEF PROGRAM OFFICER
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IRS990/Form990PartVIISectionAGrp/TitleTxt38DIRECTOR OF SPECIAL EVENTS
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