Civic Intelligence

Manhattan Theatre Club Inc

EIN 23-7086643 • 501(c)3 • New York, NY

Profile

Mtc's work includes producing and developing new work on and off-broadway, nurturing artists throughout their careers, and positively impacting the lives of many through innovative education programs. We are committed to equity, diversity and inclusion in all of our work, both on and off the stage.

311 West 43rd StreetNew York, NY 10036

www.mtc-nyc.org

Siviq Scores

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

Liabilities / Assets

71st percentile

0.49x

Higher debt load relative to assets than 71% of similar nonprofits.

501(c)3 • $50M-$100M nonprofits • Source year 2024

Liabilities / Revenue

83rd percentile

1.66x

Higher debt load relative to revenue than 83% of similar nonprofits.

501(c)3 • $50M-$100M nonprofits • Source year 2024

Net Margin

10th percentile

-20%

Higher net margin than 10% of similar nonprofits.

501(c)3 • $50M-$100M nonprofits • Source year 2024

Top Officer Pay

73rd percentile

$569,693

Higher top officer pay than 73% of similar nonprofits.

Top officer pay equals 2.2% of source-year revenue.

501(c)3 • $50M-$100M nonprofits • Source year 2024

Asset Growth

17th percentile

-2.9%

Faster asset growth than 17% of similar nonprofits.

501(c)3 • $50M-$100M nonprofits • Annualized from 2023 to 2024

Revenue Growth

25th percentile

-2.0%

Faster revenue growth than 25% of similar nonprofits.

501(c)3 • $50M-$100M nonprofits • Annualized from 2023 to 2024

Assets

Down

$88,736,329

Down $2,681,925 (-2.9%) from 2023

Liabilities

Up

$43,703,131

Up $523,333 (+1.2%) from 2023

Net Assets

Down

$45,033,198

Down $3,205,258 (-6.6%) from 2023

Revenue

Down

$26,330,337

Down $547,543 (-2.0%) from 2023

Expenses

Up

$31,477,132

Up $2,940,520 (+10%) from 2023

Net Income

Down

-$5,146,795

Down $3,488,063 (-210%) from 2023

Trend Graphs

Balance Sheet Trend

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

$100M$50M$0Assets 2010: $39,485,199Liabilities 2010: $3,701,280Net Assets 2010: $35,783,9192010Assets 2011: $41,717,163Liabilities 2011: $4,989,751Net Assets 2011: $36,727,4122011Assets 2012: $41,113,948Liabilities 2012: $4,609,840Net Assets 2012: $36,504,1082012Assets 2013: $43,801,708Liabilities 2013: $5,034,123Net Assets 2013: $38,767,5852013Assets 2014: $44,391,353Liabilities 2014: $6,111,528Net Assets 2014: $38,279,8252014Assets 2015: $44,151,918Liabilities 2015: $6,434,528Net Assets 2015: $37,717,3902015Assets 2016: $43,360,915Liabilities 2016: $6,255,347Net Assets 2016: $37,105,5682016Assets 2017: $49,287,078Liabilities 2017: $8,221,706Net Assets 2017: $41,065,3722017Assets 2018: $40,628,048Liabilities 2018: $5,641,126Net Assets 2018: $34,986,9222018Assets 2019: $42,785,077Liabilities 2019: $6,457,587Net Assets 2019: $36,327,4902019Assets 2020: $50,385,714Liabilities 2020: $7,982,648Net Assets 2020: $42,403,0662020Assets 2021: $95,784,807Liabilities 2021: $46,158,403Net Assets 2021: $49,626,4042021Assets 2022: $86,929,772Liabilities 2022: $38,620,215Net Assets 2022: $48,309,5572022Assets 2023: $91,418,254Liabilities 2023: $43,179,798Net Assets 2023: $48,238,4562023Assets 2024: $88,736,329Liabilities 2024: $43,703,131Net Assets 2024: $45,033,1982024

Highlighted filing

2024

Assets$88,736,329
Liabilities$43,703,131
Net Assets$45,033,198

Operations Trend

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

$40M$30M$20M$10M$0-$10MExpenses 2010: $20,037,6692010Expenses 2011: $19,591,2872011Expenses 2012: $22,717,7602012Expenses 2013: $23,650,0412013Revenue 2014: $25,453,968Expenses 2014: $27,194,122Net Income 2014: -$1,740,1542014Revenue 2015: $24,381,029Expenses 2015: $24,922,838Net Income 2015: -$541,8092015Revenue 2016: $24,928,802Expenses 2016: $25,127,676Net Income 2016: -$198,8742016Revenue 2017: $30,330,067Expenses 2017: $27,356,114Net Income 2017: $2,973,9532017Revenue 2018: $24,425,831Expenses 2018: $30,352,529Net Income 2018: -$5,926,6982018Revenue 2019: $30,391,147Expenses 2019: $28,823,916Net Income 2019: $1,567,2312019Revenue 2020: $28,775,048Expenses 2020: $22,257,485Net Income 2020: $6,517,5632020Revenue 2021: $15,978,594Expenses 2021: $9,664,654Net Income 2021: $6,313,9402021Revenue 2022: $28,652,146Expenses 2022: $27,620,027Net Income 2022: $1,032,1192022Revenue 2023: $26,877,880Expenses 2023: $28,536,612Net Income 2023: -$1,658,7322023Revenue 2024: $26,330,337Expenses 2024: $31,477,132Net Income 2024: -$5,146,7952024

Highlighted filing

2024

Revenue$26,330,337
Expenses$31,477,132
Net Income-$5,146,795

Filings

Balance SheetOperations
YearAssetsLiabilitiesNet AssetsRevenueExpensesNet Income
2024Detailed filing. Detailed filing data is available for this year.$88.7$43.7$45.0$26.3$31.5$5.15
2023Detailed filing. Detailed filing data is available for this year.$91.4$43.2$48.2$26.9$28.5$1.66
2022Detailed filing. Detailed filing data is available for this year.$86.9$38.6$48.3$28.7$27.6$1.03
2021Detailed filing. Detailed filing data is available for this year.$95.8$46.2$49.6$16.0$9.66$6.31
2020Detailed filing. Detailed filing data is available for this year.$50.4$7.98$42.4$28.8$22.3$6.52
2019Detailed filing. Detailed filing data is available for this year.$42.8$6.46$36.3$30.4$28.8$1.57
2018Detailed filing. Detailed filing data is available for this year.$40.6$5.64$35.0$24.4$30.4$5.93
2017Detailed filing. Detailed filing data is available for this year.$49.3$8.22$41.1$30.3$27.4$2.97
2016Detailed filing. Detailed filing data is available for this year.$43.4$6.26$37.1$24.9$25.1$0.20
2015Detailed filing. Detailed filing data is available for this year.$44.2$6.43$37.7$24.4$24.9$0.54
2014Detailed filing. Detailed filing data is available for this year.$44.4$6.11$38.3$25.5$27.2$1.74
2013Facts available. Structured filing facts are available, but richer extracted sections are limited.$43.8$5.03$38.8$23.7
2012Facts available. Structured filing facts are available, but richer extracted sections are limited.$41.1$4.61$36.5$22.7
2011Facts available. Structured filing facts are available, but richer extracted sections are limited.$41.7$4.99$36.7$19.6
2010Facts available. Structured filing facts are available, but richer extracted sections are limited.$39.5$3.70$35.8$20.0
Latest Filing Detail
Jump To
Filing Snapshot
Filing Period
Jul 1, 2023 to Jun 30, 2024
Signed
May 14, 2025
Return Version
2023v6.0
Gross Receipts
$32,851,070
Mission and Program Overview

Mission

Mtc's work includes producing and developing new work on and off-broadway, nurturing artists throughout their careers, and positively impacting the lives of many through innovative education programs. We are committed to equity, diversity and inclusion in all of our work, both on and off the stage.

Manhattan theatre club, inc. Is a leading producer of new works along with significant revivals.

Balance Sheet Detail
LineBeginningEndChange
Assets
Land, Buildings, and Equipment, Net$20,501,710$21,664,558▲ $1,162,848
Investments in Publicly Traded Securities$14,145,146$17,012,862▲ $2,867,716
Pledges and Grants Receivable$10,088,325$5,064,632▼ $5,023,693
Cash and Non-Interest-Bearing Accounts$4,267,679$3,460,405▼ $807,274
Savings and Temporary Cash Investments$2,961,075$1,879,113▼ $1,081,962
Accounts Receivable$1,776,229$1,587,244▼ $188,985
Investments Other Securities$265,637$265,637→ $0
Prepaid Expenses and Deferred Charges$332,419$208,239▼ $124,180
Other Notes and Loans Receivable, Net$0$0→ $0
Receivable From Disqualified Prsn$0$0→ $0
Receivables From Officers Etc$0$0→ $0
Investments Program Related$0$0→ $0
Intangible Assets$0$0→ $0
Inventories for Sale or Use$0$0→ $0
Loans From Officers Directors$0$0→ $0
Total Assets$91,418,254$88,736,329▼ $2,681,925
Other Assets Total$37,080,034$37,593,639▲ $513,605
Liabilities
Other Liabilities$39,176,748$39,107,493▼ $69,255
Deferred Revenue$2,675,717$3,106,004▲ $430,287
Accounts Payable and Accrued Expenses$1,327,333$1,489,634▲ $162,301
Grants Payable$0$0→ $0
Mortgage Notes Payable Secured by Investment Property$0$0→ $0
Unsecured Notes Loans Payable$0$0→ $0
Escrow Account Liability$0$0→ $0
Tax Exempt Bond Liabilities$0$0→ $0
Total Liabilities$43,179,798$43,703,131▲ $523,333
Net Assets / Fund Balance
Net Assets Without Donor Restrictions$36,336,044$35,785,806▼ $550,238
Net Assets With Donor Restrictions$11,902,412$9,247,392▼ $2,655,020
Total Net Assets Fund Balance$48,238,456$45,033,198▼ $3,205,258
Total Liabilities and Net Assets / Fund Balance$91,418,254$88,736,329▼ $2,681,925

Asset Categories

AssetBook ValueDepreciationBasis
Buildings$11,347,002$7,591,795$18,938,797
Leasehold Improvements$5,666,435$8,234,065$13,900,500
Land$3,064,351-$3,064,351
Other Land Buildings$1,455,139$337,511$1,792,650
Equipment$131,631$1,584,039$1,715,670
Other Assets Org$10,063--

Endowment Activity

PeriodBeginningContrib.Gain/LossOther UsesEnd
2023$1,759,324-▲ $195,959$42,183$1,913,100
2022$1,664,458-▲ $130,082$35,216$1,759,324
2021$1,800,843-▼ $99,993$36,392$1,664,458
2020$1,674,713-▲ $185,860$59,730$1,800,843
2019$1,762,953-▲ $53,492$141,732$1,674,713
Compensation and Service Providers

Employees

NameTitleFull / Part TimeBaseOtherTotal
Carolyn MeadowArtistic DirectorFT$541,648$28,045$569,693
Barry GroveExec. Producer Thru 06/2023FT$209,754$146,286$356,040
Lynne S RandallDirector of DevelopmentFT$170,700$68,406$239,106
Chris JenningsExec. Director as of 06/2023FT$175,629$52,929$228,558
Matthew D SvigalsDirector of FinanceFT$142,589$62,829$205,418
Amy G LoeDirector of Artistic OperationsFT$146,708$56,690$203,398
Jeffrey W DodsonMaster ElectricianFT$158,779$33,586$192,365
Debra a Waxman-pillaDirector of MarketingFT$138,113$47,244$185,357
Matthew W KrawiecGeneral ManagerFT$152,301$5,324$157,625
Nicole C Hunter SchwabArtistic ProducerFT$149,715$1,892$151,607
Judy TateDirector/teaching Artist-$12,774-$12,774

Board Members and Trustees

Highest Paid Contractors

ContractorServicesLocationCompensation
Serino CoyneAdvertising437 MADISON AVEnue, New York, NY 10022$2,846,699
Production Resource GroupSet Design/rentals50 Meadowlands Pkwy Unit A, Secaucus, NJ 07094$678,218
DCM IncTelemarketingPO BOX 4707, Sunnyside, NY 11104$505,248
Empire Technical FabricationSet Design90 NEWARK POMPTON TURNPIKE, Wayne, NJ 07470$419,585
mood mediamedia & music2100 S IH 35 Frontage Rd Suite 201, Austin, TX 78704$353,200
Revenue and Support

Revenue Composition

Contributions and Grants
$7,251,020
Program Service Revenue
$18,773,344
Investment Income
$305,973
Other Revenue
$0
All Other Contributions
$6,008,861
Change in Net Assets
$-5,146,795

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 Traded25$359,503Fair Market Value (FMV)
Total Noncash Contributions25$359,503-

Audited Revenue Reconciliation

Revenue per Audited Statements
$26,286,818
Revenue Not Reported on Financial Statements
$43,519
Revenue Not Reported on Form 990
$1,979,889
Total Revenue per Audited Statements
$28,266,707
Total Revenue per Form 990
$26,330,337
Expenses and Functional Allocation

Major Expense Lines

Line ItemAmount
Other Expenses$16,276,270
Salaries, Compensation, and Employee Benefits$14,693,924
Total Fundraising Expense$2,967,388
Professional Fundraising Fees$506,938
Grants and Similar Amounts Paid$0

Functional Expense Allocation

Line ItemProgramManagementFundraisingTotal
Other Salaries and Wages$8,643,723$563,362$804,909$10,011,994
Advertising$4,163,909-$531,722$4,695,631
Occupancy$2,414,816$317,999$308,978$3,041,793
Other Employee Benefits$1,537,790$156,037$201,015$1,894,842
Depreciation Depletion$1,317,761$119,075$79,383$1,516,219
Current Officers, Directors, Trustees, and Key Employees$765,974$249,239$221,989$1,237,202
Payroll Taxes$933,370$69,391$85,880$1,088,641
Royalties$681,333--$681,333
Travel$493,313$19,703$34,919$547,935
Fees for Services Professional Fundraising--$506,938$506,938
Pension Plan Contributions$461,245--$461,245
Fees for Services Other$215,944$128,029$24,939$368,912
All Other Expenses$124,069$187,607$40,197$351,873
Insurance$221,214$44,243$29,495$294,952
Office Expenses$124,996$18,425$28,862$172,283
Fees for Services Legal$58,367$71,968-$130,335
Information Technology$54,580$21,832$32,748$109,160
Fees for Services Accounting-$102,412-$102,412
Other Expenses$102,033$20,461$35,414$102,033
Fees for Service Investment Mgmnt Fees-$43,519-$43,519
Total Functional Expenses$26,376,442$2,133,302$2,967,388$31,477,132

Audited Expense Reconciliation

Line ItemAmount
Total Expenses per Form 990$31,477,132
Total Expenses per Audited Statements$31,463,364
Expenses per Audited Statements$31,309,709
Expenses Not Reported on Financial Statements$167,423
Expenses Not Reported on Form 990$153,655
Other Expense Adjustments$123,904
Fundraising, Events, and Gaming
Fundraising activities
Yes
Gaming activities
No
Professional fundraiser used
Yes

Fundraising and Gaming Totals

Line ItemAmount
Fundraising Direct Expenses$570,884
Fundraising Gross Income$570,884
Professional Fundraising Fees$506,938
Gaming Direct Expenses$0
Gaming Gross Income$0

Fundraising Events

EventGross ReceiptsGross RevenueDirect ExpensesNet Income
Spring Gala$1,290,210$439,570$162,781$276,789
Winter Gala$384,633$131,314$123,590$7,724
Total Events$1,674,843$570,884$570,884-
Political and Lobbying Activity
Political campaign activity
No
Lobbying activity
Yes
Subject to proxy tax
No
Insider Transactions and Loans

Interested-Person Transactions

Interested PartyRelationshipDescriptionShared RevenueAmount
Equity League Health PensionOfficer - TrusteePayments Made by MtcNo$311,302
Boneaubryan-brownvendorFamily RelationshipNo$152,861

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 Liabilities$39,107,493
Governance and Compliance

Governance Checklist

Compiled or reviewed by an accountant
No
Annual disclosure for covered persons
Yes
Audit committee
Yes
Business relationship with 35% controlled entity
Yes
Business relationship with family members
Yes
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 11

A draft of form 990 is sent to the full board of directors and officers for review and approval.

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

Board members and officers are requested to complete annual certifications to represent adherence to the conflict of interest policy.

Form 990, Part VI, Section B, Line 15

Executive salaries are reviewed and set by the compensation committee of the board of directors using data comparing salaries to similar non-profits in new york city and to theatres of comparative size nationally. Salaries for other officers and key employees are set using comparative data for other non-profit theatres of similar size locally and throughout the country.

Form 990, Part VI, Section C, Line 19

Form 990 is available on guidestar.org. Full audited financial statements are available upon request and are posted on the mtcs website and the new york state charities bureau website.

Filing and Contact Details

Filer

Filer Name
Manhattan Theatre Club Inc
EIN
23-7086643
In Care Of
% CHRIS JENNNINGS
Phone
2123993000
Address
311 WEST 43RD STREET, NEW YORK, NY 10036

Signing Officer

Name
Chris Jennings
Title
Executive Director
Phone
2123993000
Signed
2025-05-14
Discuss with paid preparer
Yes

Organization Details

Principal Officer
Chris Jennings
Formed
1970
Legal Domicile
Ny
Voting Board Members
36
Independent Board Members
33
Employees
997
Volunteers
666

Preparer

Firm
Withumsmithbrown Pc
Address
1411 BROADWAY 9TH FLOOR, NEW YORK, NY 10018
Preparer
Lara Waldner Holderbaum CPA
Phone
2127519100
Supplemental Narrative

Additional Explanations

Form 990, Part XII, Line 2C

The audit committee assumes responsibility for the oversight of the audit.

Financial Statement Notes

Part V, Line 4

The endowment funds are intended to provide long term stability to mtcw ith annual funds from investment income to fund ongoing operations. The principal of these funds came from designated donations and is permanently restricted. The investment earnings on these funds are governed by the grant terms.

Part X, Line 2

The organization believes that it has appropriate support for any tax positions taken, and as such, does not have any uncertain tax positions that are material to the consolidated financial statements. There are no income tax related penalties and interest included in these consolidated financial statements.

PART XII, LINEs 2D & 4B - OTHER ADJUSTMENTS

Eliminate consolidation of mtc productions, inc. Income of $123,904 and expenses of $115,303 (ein 13-3636769) form 1120 filed separately.

Raw XML AppendixShowing 400 of 1,185 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/Desc0Manhattan Theatre Club's mission since 1972 has been to develop and present new work in a dynamic, supportive environment; to identify and collaborate with the most exciting new as well as accomplished artists; and to produce a diverse repertoire of innovative, entertaining, and thought-provoking plays and musicals by American and international writers. Since 1989, MTC Education, which uses the power of live theatre and playwriting to awaken minds, ignite imaginations, open hearts, and change lives, has also been an important part of our work. In the year ending June 30, 2024, Manhattan Theatre Club ("MTC") produced a robust slate of plays which were attended by 188,360 audience members: the world premiere of "Jaja's African Hair Braiding" by Jocelyn Bioh; the Broadway premiere of "Prayer for the French Republic" by Joshua Harmon, and the Broadway premiere of "Mary Jane" by Herzog at the Samuel J. Friedman Theatre on Broadway; and the New York premiere of "Poor Yella Rednecks" by Qui Nguyen, and the world premiere of "Brooklyn Laundry" by John Patrick Shanley Off-Broadway at NY City Center Stage I. In the same year, MTC commissioned 11 new plays, held 29 developmental readings and workshops, continued institutional work towards becoming an anti-racist organization, and reached 2,925 students and lifelong learners, many of whom were experiencing live theatre for the first time, through the portfolio of programs run by MTC Education.
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