Civic Intelligence

Community Options Enterprises Inc

EIN 22-3303776 • 501(c)3 • Princeton, NJ

Profile

The mission of community options enterprises is to develop employment, entrepeneurial businesses and programs for persons with disabilities

16 Farber RoadPrinceton, NJ 08540

n/A

Siviq Scores

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

Liabilities / Assets

84th percentile

0.73x

Higher debt load relative to assets than 84% of similar nonprofits.

NTEE P • $10M-$25M nonprofits • Source year 2025

Liabilities / Revenue

81st percentile

0.81x

Higher debt load relative to revenue than 81% of similar nonprofits.

NTEE P • $10M-$25M nonprofits • Source year 2025

Net Margin

46th percentile

1.6%

Higher net margin than 46% of similar nonprofits.

NTEE P • $10M-$25M nonprofits • Source year 2025

Top Officer Pay

100th percentile

$2,609,137

Higher top officer pay than 100% of similar nonprofits.

Top officer pay equals 12.3% of source-year revenue.

NTEE P • $10M-$25M nonprofits • Source year 2025

Asset Growth

78th percentile

17%

Faster asset growth than 78% of similar nonprofits.

NTEE P • $10M-$25M nonprofits • Annualized from 2024 to 2025

Revenue Growth

38th percentile

2.8%

Faster revenue growth than 38% of similar nonprofits.

NTEE P • $10M-$25M nonprofits • Annualized from 2024 to 2025

Assets

Up

$23,423,426

Up $3,443,886 (+17%) from 2024

Liabilities

Up

$17,121,895

Up $3,096,418 (+22%) from 2024

Net Assets

Up

$6,301,531

Up $347,468 (+5.8%) from 2024

Revenue

Up

$21,245,053

Up $569,346 (+2.8%) from 2024

Expenses

Up

$20,897,585

Up $1,881,724 (+9.9%) from 2024

Net Income

Down

$347,468

Down $1,312,378 (-79%) from 2024

Trend Graphs

Balance Sheet Trend

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

$30M$20M$10M$0-$10MAssets 2010: $6,652,260Liabilities 2010: $7,439,997Net Assets 2010: -$787,7372010Assets 2011: $9,813,984Liabilities 2011: $11,167,815Net Assets 2011: -$1,353,8312011Assets 2012: $10,560,484Liabilities 2012: $12,243,183Net Assets 2012: -$1,682,6992012Assets 2013: $11,388,547Liabilities 2013: $13,235,656Net Assets 2013: -$1,847,1092013Assets 2014: $10,974,135Liabilities 2014: $12,427,325Net Assets 2014: -$1,453,1902014Assets 2015: $13,917,986Liabilities 2015: $15,253,805Net Assets 2015: -$1,335,8192015Assets 2016: $13,427,637Liabilities 2016: $15,239,692Net Assets 2016: -$1,812,0552016Assets 2017: $13,541,631Liabilities 2017: $15,673,436Net Assets 2017: -$2,131,8052017Assets 2018: $17,054,275Liabilities 2018: $16,625,884Net Assets 2018: $428,3912018Assets 2019: $16,655,771Liabilities 2019: $13,691,259Net Assets 2019: $2,964,5122019Assets 2020: $15,991,115Liabilities 2020: $13,822,195Net Assets 2020: $2,168,9202020Assets 2021: $15,270,435Liabilities 2021: $13,127,979Net Assets 2021: $2,142,4562021Assets 2022: $16,019,120Liabilities 2022: $11,807,342Net Assets 2022: $4,211,7782022Assets 2023: $25,104,575Liabilities 2023: $20,810,358Net Assets 2023: $4,294,2172023Assets 2024: $19,979,540Liabilities 2024: $14,025,477Net Assets 2024: $5,954,0632024Assets 2025: $23,423,426Liabilities 2025: $17,121,895Net Assets 2025: $6,301,5312025

Highlighted filing

2025

Assets$23,423,426
Liabilities$17,121,895
Net Assets$6,301,531

Operations Trend

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

$30M$20M$10M$0-$10MExpenses 2010: $5,729,0702010Expenses 2011: $6,315,5432011Revenue 2012: $6,768,974Expenses 2012: $7,097,842Net Income 2012: -$328,8682012Expenses 2013: $7,421,1202013Revenue 2014: $8,474,127Expenses 2014: $8,080,208Net Income 2014: $393,9192014Revenue 2015: $9,098,010Expenses 2015: $8,980,639Net Income 2015: $117,3712015Revenue 2016: $8,130,787Expenses 2016: $8,607,023Net Income 2016: -$476,2362016Revenue 2017: $9,959,759Expenses 2017: $10,279,509Net Income 2017: -$319,7502017Revenue 2018: $14,736,787Expenses 2018: $12,176,591Net Income 2018: $2,560,1962018Revenue 2019: $16,766,069Expenses 2019: $14,229,948Net Income 2019: $2,536,1212019Revenue 2020: $13,109,544Expenses 2020: $13,905,136Net Income 2020: -$795,5922020Revenue 2021: $12,603,152Expenses 2021: $12,629,616Net Income 2021: -$26,4642021Revenue 2022: $15,996,095Expenses 2022: $13,926,773Net Income 2022: $2,069,3222022Revenue 2023: $16,950,920Expenses 2023: $16,868,478Net Income 2023: $82,4422023Revenue 2024: $20,675,707Expenses 2024: $19,015,861Net Income 2024: $1,659,8462024Revenue 2025: $21,245,053Expenses 2025: $20,897,585Net Income 2025: $347,4682025

Highlighted filing

2025

Revenue$21,245,053
Expenses$20,897,585
Net Income$347,468

Filings

Balance SheetOperations
YearAssetsLiabilitiesNet AssetsRevenueExpensesNet Income
2025Detailed filing. Detailed filing data is available for this year.$23.4$17.1$6.30$21.2$20.9$0.35
2024XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$20.0$14.0$5.95$20.7$19.0$1.66
2023XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$25.1$20.8$4.29$17.0$16.9$0.08
2022Facts available. Structured filing facts are available, but richer extracted sections are limited.$16.0$11.8$4.21$16.0$13.9$2.07
2021XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$15.3$13.1$2.14$12.6$12.6$0.03
2020XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$16.0$13.8$2.17$13.1$13.9$0.80
2019XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$16.7$13.7$2.96$16.8$14.2$2.54
2018XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$17.1$16.6$0.43$14.7$12.2$2.56
2017XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$13.5$15.7$2.13$9.96$10.3$0.32
2016Detailed filing. Detailed filing data is available for this year.$13.4$15.2$1.81$8.13$8.61$0.48
2015Detailed filing. Detailed filing data is available for this year.$13.9$15.3$1.34$9.10$8.98$0.12
2014Detailed filing. Detailed filing data is available for this year.$11.0$12.4$1.45$8.47$8.08$0.39
2013Facts available. Structured filing facts are available, but richer extracted sections are limited.$11.4$13.2$1.85$7.42
2012Summary only. Only limited summary data is available for this year.$10.6$12.2$1.68$6.77$7.10$0.33
2011Facts available. Structured filing facts are available, but richer extracted sections are limited.$9.81$11.2$1.35$6.32
2010Facts available. Structured filing facts are available, but richer extracted sections are limited.$6.65$7.44$0.79$5.73
Latest Filing Detail
Jump To
Filing Snapshot
Filing Period
Jul 1, 2024 to Jun 30, 2025
Signed
May 15, 2026
Return Version
2024v5.2
Gross Receipts
$21,245,053
Mission and Program Overview

Mission

To develop entrepreneurial businesses employing persons with disabilities within a supported employment paradigm and to train persons with disabilities to be placed into competitive employment and day supports while managing commercial buildings enhancing employment opportunities. Presents of mind is a speciality store with cyber applications utilizing inventory for mission advancement.

To develop businesses & manage buildings to enhance employment options for persons with disabilities. To train persons with disabilities to be placed into competitive employment.

Balance Sheet Detail
LineBeginningEndChange
Assets
Land, Buildings, and Equipment, Net$14,471,809$13,968,707▼ $503,102
Cash and Non-Interest-Bearing Accounts$2,130,383$5,082,340▲ $2,951,957
Accounts Receivable$1,459,386$1,273,507▼ $185,879
Pledges and Grants Receivable$195,417$229,660▲ $34,243
Prepaid Expenses and Deferred Charges$115,671$195,103▲ $79,432
Inventories for Sale or Use$137,090$191,749▲ $54,659
Savings and Temporary Cash Investments$0$0→ $0
Other Notes and Loans Receivable, Net$0$0→ $0
Receivable From Disqualified Prsn$0$0→ $0
Receivables From Officers Etc$0$0→ $0
Investments Other Securities$0$0→ $0
Investments Program Related$0$0→ $0
Investments in Publicly Traded Securities$0$0→ $0
Intangible Assets$0$0→ $0
Loans From Officers Directors$0$0→ $0
Total Assets$19,979,540$23,423,426▲ $3,443,886
Other Assets Total$1,469,784$2,482,360▲ $1,012,576
Liabilities
Mortgage Notes Payable Secured by Investment Property$9,739,613$13,128,173▲ $3,388,560
Other Liabilities$3,430,465$3,076,140▼ $354,325
Accounts Payable and Accrued Expenses$768,435$879,432▲ $110,997
Grants Payable$64,915$25,000▼ $39,915
Deferred Revenue$22,049$13,150▼ $8,899
Unsecured Notes Loans Payable$0$0→ $0
Escrow Account Liability$0$0→ $0
Tax Exempt Bond Liabilities$0$0→ $0
Total Liabilities$14,025,477$17,121,895▲ $3,096,418
Net Assets / Fund Balance
Net Assets Without Donor Restrictions$5,954,063$6,301,531▲ $347,468
Net Assets With Donor Restrictions$0$0→ $0
Total Net Assets Fund Balance$5,954,063$6,301,531▲ $347,468
Total Liabilities and Net Assets / Fund Balance$19,979,540$23,423,426▲ $3,443,886

Asset Categories

AssetBook ValueDepreciationBasis
Buildings$10,337,551$7,444,329$17,781,880
Land$3,555,163-$3,555,163
Equipment$0$828,324$828,324
Other Land Buildings$75,993-$75,993
Other Assets Org$12,698--
Compensation and Service Providers

Employees

NameTitleFull / Part TimeBaseOtherTotal
Ayesha PatrickState DirectorFT$180,610$56,353$236,963
Geraldina CasalasproManaging DirectorFT$138,298$55,056$193,354
Andrew ParkManaging DirectorFT$133,957$54,259$188,216
Karima BoydExecutive DirectorFT$111,528$21,889$133,417
Diane LakomskiRegistered NurseFT$103,156$7,500$110,656

Board Members and Trustees

NameTitle
Phil LianChairman
Robert StackCEO/president
Alec TaylorTrustee
Craig RothenbergTrustee
Cynthia GassaroTrustee
Daniel SurtzTrustee
Gail GordonTrustee
Reginald Jenkins JrTrustee
Svetlana Repic-qiraTrustee
Wei-han ZhouTrustee
John PassalarisTrustee - Past
David SweeneyChief Financial Officer
Courtney EidelSecretary

Highest Paid Contractors

ContractorServicesLocationCompensation
Enterprise Fm TrustFleet Mgmnt Services1550 NJ-23 STE 101, Wayne, NJ 07470$1,131,092
Banctec Bpo Remittance ProcessingPayment Processing2701 E GRAUWYLER RD, Irving, TX 15223$172,046
Wb Mason Co INCConstruction300 PROSPECT PLAINS RD, Cranbury, NJ 08512$126,637
Revenue and Support

Revenue Composition

Contributions and Grants
$1,192,731
Program Service Revenue
$19,755,324
Investment Income
$2,084
Other Revenue
$294,914
All Other Contributions
$153,445
Change in Net Assets
$347,468
Expenses and Functional Allocation

Major Expense Lines

Line ItemAmount
Salaries, Compensation, and Employee Benefits$13,019,061
Other Expenses$7,550,409
Grants and Similar Amounts Paid$328,115
Professional Fundraising Fees$0
Total Fundraising Expense$0

Functional Expense Allocation

Line ItemProgramManagementFundraisingTotal
Other Salaries and Wages$9,071,801$872,748-$9,944,549
Office Expenses$2,968,267$286,797-$3,255,064
Depreciation Depletion-$1,614,022-$1,614,022
Occupancy$1,233,029$115,100-$1,348,129
Other Employee Benefits$1,168,793$111,735-$1,280,528
Current Officers, Directors, Trustees, and Key Employees$812,293$47,276-$859,569
Payroll Taxes$764,349$71,350-$835,699
Other Expenses$352,510$15,615-$352,510
Grants to Domestic Individuals$328,115--$328,115
Insurance$250,872$23,417-$274,289
Fees for Services Other$142,409$13,294-$155,703
Travel$139,354$13,008-$152,362
Interest$132,156$12,336-$144,492
Pension Plan Contributions$90,288$8,428-$98,716
Fees for Services Legal$41,225$3,848-$45,073
Advertising$19,854$1,853-$21,707
Fees for Services Accounting$3,805$355-$4,160
Total Functional Expenses$17,686,403$3,211,182$0$20,897,585
Fundraising, Events, and Gaming
Fundraising activities
No
Gaming activities
No
Professional fundraiser used
No

Fundraising and Gaming Totals

Line ItemAmount
Fundraising Direct Expenses$0
Fundraising Gross Income$0
Gaming Direct Expenses$0
Gaming Gross Income$0
Professional Fundraising Fees$0
Political and Lobbying Activity
Political campaign activity
No
Lobbying activity
No
Subject to proxy tax
No
Insider Transactions and Loans

Loans and Receivables

Line ItemBeginningEndChange
Loans from Officers, Directors, Trustees, and Key Employees$0$0→ $0
Receivables from Disqualified Persons$0$0→ $0
Receivables from Officers, Directors, Trustees, and Key Employees$0$0→ $0
Debt and Bond Financing

Other Reported Liabilities

LiabilityAmount
Lease Liability$2,462,341
Due to Related Party$553,420
Security Deposits$60,379
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
No
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
Yes
Key decisions subject to board approval
No
Management duties delegated
No

Governance Explanations

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

990 draft is distributed to each member of its governing body (the finance committee) for review. Subsequently, management obtains approval confirmation from each member of the finance committee and then the final 990 is filed. In addition, the full board is also given a copy of the 990 once the finance committee has reviewed and approved.

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

On an annual basis, the policy is reviewed and all board members are asked to disclose any conflicts. All conflict forms for the board are reviewed and discussed and documented conclusions are in the board minutes.

Form 990, Part VI, Section B, Line 15A & B

Once every three years the board hires a third party consultant to overlook the compensation of the ceo and cfo. Based on this evaluation compensation is approved. Salary increases for employees (other than the ceo and cfo) are determined by the president/ceo or his designee. Salary increases are not automatic but will be based on merit as indicated by a review of performance evaluations, accomplishments, attendance, disciplinary records, and other documentary factors, including available funding, and are at the sole discretion of the ceo.

Form 990, Part VI, Section C, Line 19

The organization makes its governing documents and financial statements available to the public upon request.

Filing and Contact Details

Filer

Filer Name
Community Options Enterprises Inc
EIN
22-3303776
In Care Of
% DAVID SWEENEY
Phone
6099519900
Address
16 Farber Road, Princeton, NJ 08540

Signing Officer

Name
David Sweeney
Title
CFO
Phone
6099519900
Signed
2026-05-15
Discuss with paid preparer
Yes

Organization Details

Principal Officer
David Sweeney
Formed
1995
Legal Domicile
Nj
Voting Board Members
11
Independent Board Members
7
Employees
421
Volunteers
16

Preparer

Firm
Withumsmithbrown Pc
Address
1835 MARKET STREET SUITE 1710, PHILADELPHIA, PA 19103-2945
Preparer
Eric M Strauss
Phone
2155462140
Supplemental Narrative

Financial Statement Notes

Schedule D, Part X, Line 2

Community options, inc. And affiliates is exempt from federal income taxes under section 501(c)(3) of the internal revenue code. Community options, inc. And affiliates are subject to certain taxes, including unrelated business income and excessive compensation. There were no unrelated business income at june 30, 2025 and 2024. The organization had excise taxes included in these combined financial statements which amounted to $285,679 and $37,546 for the years ended june 30, 2025 and 2024, respectively. The organization adopted the accounting pronouncement related to uncertain tax positions effective july 1, 2009. Management has determined that there are no uncertain tax positions at the organization as of the date of the adoption or at june 30, 2025 and 2024. In addition, there are no income tax related penalties and interest reported by the organization for the periods in question.

Raw XML AppendixShowing 400 of 1,004 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.

Path#Value
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IRS990/ActivityOrMissionDesc0TO DEVELOP BUSINESSES & MANAGE BUILDINGS TO ENHANCE EMPLOYMENT OPTIONS FOR PERSONS WITH DISABILITIES. TO TRAIN PERSONS WITH DISABILITIES TO BE PLACED INTO COMPETITIVE EMPLOYMENT.
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