Civic Intelligence

Blain Fire Company Inc.

990 • Fiscal year 2019 • EIN 23-2278241

Jan 01, 2019 to Dec 31, 2019 • Filed on Jun 10, 2020

PO Box 213Blain, PA 17006

(717) 536-3131

Siviq Scores

Precomputed percentiles for this filing year versus similar nonprofits in the same peer cohort.

Liabilities / Assets

15th percentile

0.00x

Tied with the lowest-debt nonprofits in its peer group.

2019 filings • 501(c)3 • $1M-$5M nonprofits • Source year 2019

Liabilities / Revenue

15th percentile

0.00x

Tied with the lowest-debt nonprofits in its peer group.

2019 filings • 501(c)3 • $1M-$5M nonprofits • Source year 2019

Net Margin

96th percentile

73%

Higher net margin than 96% of similar nonprofits.

2019 filings • 501(c)3 • $1M-$5M nonprofits • Source year 2019

Top Officer Pay

36th percentile

$0

Higher top officer pay than 36% of similar nonprofits.

Top officer pay equals 0.0% of source-year revenue.

2019 filings • 501(c)3 • $1M-$5M nonprofits • Source year 2019

Asset Growth

59th percentile

6.2%

Faster asset growth than 59% of similar nonprofits.

2019 filings • 501(c)3 • $1M-$5M nonprofits • Annualized from 2018 to 2019

Revenue Growth

93rd percentile

103%

Faster revenue growth than 93% of similar nonprofits.

2019 filings • 501(c)3 • $1M-$5M nonprofits • Annualized from 2018 to 2019

Assets

Up

$3,347,349

Up $196,901 (+6.2%) from 2018

Net Assets

Up

$3,347,349

Up $196,901 (+6.2%) from 2018

Liabilities

Flat

$0

Flat from 2018

Revenue

Up

$235,122

Up $119,482 (+103%) from 2018

Expenses

Down

$63,061

Down $43,705 (-41%) from 2018

Net Income

Up

$172,061

Up $163,187 (+1839%) from 2018

Historical Trend

Balance Sheet Trend

The highlighted filing sits inside the broader history for assets, liabilities, and net assets.

$6.0M$4.0M$2.0M$0Assets 2017: $2,961,201Liabilities 2017: $0Net Assets 2017: $2,961,2012017Assets 2018: $3,150,448Liabilities 2018: $0Net Assets 2018: $3,150,4482018Assets 2019: $3,347,349Liabilities 2019: $0Net Assets 2019: $3,347,3492019Assets 2020: $3,504,858Liabilities 2020: $0Net Assets 2020: $3,504,8582020Assets 2021: $4,162,016Liabilities 2021: $61,459Net Assets 2021: $4,100,5572021Assets 2022: $4,232,193Liabilities 2022: $49,849Net Assets 2022: $4,182,3442022Assets 2023: $4,207,216Liabilities 2023: $37,508Net Assets 2023: $4,169,7082023Assets 2024: $4,299,791Liabilities 2024: $25,252Net Assets 2024: $4,274,5392024

Highlighted filing

2019

Assets$3,347,349
Liabilities$0
Net Assets$3,347,349

Operations Trend

Revenue, expenses, and net income across loaded years, with this filing highlighted.

$300K$200K$100K$0-$100KRevenue 2017: $55,377Expenses 2017: $75,114Net Income 2017: -$19,7372017Revenue 2018: $115,640Expenses 2018: $106,766Net Income 2018: $8,8742018Revenue 2019: $235,122Expenses 2019: $63,061Net Income 2019: $172,0612019Revenue 2020: $205,434Expenses 2020: $47,925Net Income 2020: $157,5092020Revenue 2021: $187,902Expenses 2021: $53,259Net Income 2021: $134,6432021Revenue 2022: $204,377Expenses 2022: $102,907Net Income 2022: $101,4702022Revenue 2023: $202,794Expenses 2023: $99,298Net Income 2023: $103,4962023Revenue 2024: $293,781Expenses 2024: $190,521Net Income 2024: $103,2602024

Highlighted filing

2019

Revenue$235,122
Expenses$63,061
Net Income$172,061
Jump To
Filing Snapshot
Filing Period
Jan 1, 2019 to Dec 31, 2019
Signed
Jun 10, 2020
Return Version
2019v5.1
Gross Receipts
$329,757
Mission and Program Overview

Mission

A not for profit volunteer fire company

Balance Sheet Detail
LineBeginningEndChange
Assets
Investments in Publicly Traded Securities$425,547$463,476▲ $37,929
Savings and Temporary Cash Investments$52,347$108,294▲ $55,947
Cash and Non-Interest-Bearing Accounts$13,591$20,290▲ $6,699
Total Assets$3,150,448$3,347,349▲ $196,901
Other Assets Total$2,658,963$2,755,289▲ $96,326
Liabilities
Total Liabilities$0$0→ $0
Net Assets / Fund Balance
Net Assets Without Donor Restrictions$3,150,448$3,347,349▲ $196,901
Total Net Assets Fund Balance$3,150,448$3,347,349▲ $196,901
Total Liabilities and Net Assets / Fund Balance$3,150,448$3,347,349▲ $196,901

Asset Categories

AssetBook ValueDepreciationBasis
Other Assets Org$96,326--
Compensation and Service Providers

Board Members and Trustees

NameTitle
David CauffmanPresident
Michael WiseVice President
Virginia ReisingerSecretary
Wesley SmithTreasurer
Revenue and Support

Revenue Composition

Contributions and Grants
$56,830
Program Service Revenue
$2,215
Investment Income
$107,954
Other Revenue
$68,123
Change in Net Assets
$172,061
Expenses and Functional Allocation

Major Expense Lines

Line ItemAmount
Other Expenses$63,061
Grants and Similar Amounts Paid$0
Professional Fundraising Fees$0
Salaries, Compensation, and Employee Benefits$0
Total Fundraising Expense$0

Functional Expense Allocation

Line ItemProgramManagementFundraisingTotal
Other Expenses$18,561$1,603-$20,164
Insurance$16,714--$16,714
All Other Expenses$1,109--$1,109
Office Expenses$574--$574
Fees for Services Management$300--$300
Total Functional Expenses$38,382$24,679$0$63,061
Fundraising, Events, and Gaming
Fundraising activities
Yes
Gaming activities
No
Professional fundraiser used
No

Fundraising and Gaming Totals

Line ItemAmount
Fundraising Gross Income$131,005
Fundraising Direct Expenses$94,635
Gaming Gross Income$920
Professional Fundraising Fees$0

Fundraising Events

EventGross ReceiptsGross RevenueDirect ExpensesNet Income
Consign Sale$65,544$65,544$55,820$9,724
Seafood Meal$29,532$29,532$23,631$5,901
Total Events$95,076$95,076$79,451$15,625
Political and Lobbying Activity
Political campaign activity
No
Lobbying activity
No
Subject to proxy tax
No
Governance and Compliance

Governance Checklist

Compiled or reviewed by an accountant
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
No
Other officer compensation reviewed
No
Conflict-of-interest policy
No
Audited financial statements prepared
No
Key decisions subject to board approval
Yes
Management duties delegated
No

Governance Explanations

Members or stockholder classes and rights Part VI line 6

Officers are elected by members of the fire company

Member election for additional members Part VI line 7A

Officers are elected by majority of members

Governing body decisions Part VI line 7B

All decisions are by a majority vote of membership

Form 990 governing body review Part VI line 11

Independent auditor reviews books annually

Governing documents etc available to public Part VI line 19

Secretarys report and treasurer reports are open to the public for review

Filing and Contact Details

Filer

Filer Name
Blain Fire Company Inc
EIN
23-2278241
Address
PO BOX 213, BLAIN, PA 17006

Signing Officer

Name
Wes Smith
Title
Treasurer
Phone
7175363131
Signed
2020-06-10
Discuss with paid preparer
No

Organization Details

Principal Officer
David Cauffman
Formed
1945
Legal Domicile
Pa
Voting Board Members
64
Independent Board Members
0
Employees
0
Volunteers
64

Preparer

Firm
RH2 Inc
Address
PO Box 912, Loysville, PA 17047
Preparer
Brad Gill
Phone
7177893995
Supplemental Narrative

Additional Explanations

Explanation of other changes in net assets or fund balances Part XI line 9

Difference of adjustments from book cash flow to income tax financials

Raw XML Appendix382 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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IRS990ScheduleO/SupplementalInformationDetail/ExplanationTxt0OFFICERS ARE ELECTED BY MEMBERS OF THE FIRE COMPANY
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IRS990ScheduleO/SupplementalInformationDetail/ExplanationTxt2ALL DECISIONS ARE BY A MAJORITY VOTE OF MEMBERSHIP
IRS990ScheduleO/SupplementalInformationDetail/ExplanationTxt3INDEPENDENT AUDITOR REVIEWS BOOKS ANNUALLY
IRS990ScheduleO/SupplementalInformationDetail/ExplanationTxt4SECRETARYS REPORT AND TREASURER REPORTS ARE OPEN TO THE PUBLIC FOR REVIEW
IRS990ScheduleO/SupplementalInformationDetail/ExplanationTxt5DIFFERENCE OF ADJUSTMENTS FROM BOOK CASH FLOW TO INCOME TAX FINANCIALS
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IRS990ScheduleO/SupplementalInformationDetail/FormAndLineReferenceDesc5Explanation of other changes in net assets or fund balances Part XI line 9
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ReturnHeader/BuildTS02021-01-29 14:40:06Z
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ReturnHeader/BusinessOfficerGrp/PersonNm0WES SMITH
ReturnHeader/BusinessOfficerGrp/PersonTitleTxt0TREASURER
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ReturnHeader/BusinessOfficerGrp/SignatureDt02020-06-10
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ReturnHeader/FilingSecurityInformation/FederalOriginalSubmissionIdDt02020-08-24
ReturnHeader/FilingSecurityInformation/FilingLicenseTypeCd0P
ReturnHeader/FilingSecurityInformation/IPAddress/IPv4AddressTxt063.157.223.42
ReturnHeader/FilingSecurityInformation/IPDt02020-08-24
ReturnHeader/FilingSecurityInformation/IPTm014:41:27
ReturnHeader/PreparerFirmGrp/PreparerFirmEIN0800256138
ReturnHeader/PreparerFirmGrp/PreparerFirmName/BusinessNameLine1Txt0RH2 Inc
ReturnHeader/PreparerFirmGrp/PreparerUSAddress/AddressLine1Txt0PO Box 912
ReturnHeader/PreparerFirmGrp/PreparerUSAddress/CityNm0Loysville
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ReturnHeader/PreparerPersonGrp/PhoneNum07177893995
ReturnHeader/PreparerPersonGrp/PreparationDt02020-08-24
ReturnHeader/PreparerPersonGrp/PreparerPersonNm0BRAD GILL
ReturnHeader/ReturnTs02020-08-24T14:40:40-04:00
ReturnHeader/ReturnTypeCd0990
ReturnHeader/TaxPeriodBeginDt02019-01-01
ReturnHeader/TaxPeriodEndDt02019-12-31
ReturnHeader/TaxYr02019

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