Civic Intelligence

Buhl Community Recreation Center

EIN 25-0981137 • 501(c)3 • Sharon, PA

Profile

The buhl community recreation center was established to provide quality recreational, social wellness and education programs for people of all ages in our communities.

28 North Pine AvenueSharon, PA 16146

www.buhlcommunityreccenter.com

Siviq Scores

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

Liabilities / Assets

50th percentile

0.18x

Higher debt load relative to assets than 50% of similar nonprofits.

501(c)3 • $10M-$25M nonprofits • Source year 2024

Liabilities / Revenue

80th percentile

0.96x

Higher debt load relative to revenue than 80% of similar nonprofits.

501(c)3 • $10M-$25M nonprofits • Source year 2024

Net Margin

35th percentile

-0.1%

Higher net margin than 35% of similar nonprofits.

501(c)3 • $10M-$25M nonprofits • Source year 2024

Top Officer Pay

37th percentile

$137,565

Higher top officer pay than 37% of similar nonprofits.

Top officer pay equals 6.9% of source-year revenue.

501(c)3 • $10M-$25M nonprofits • Source year 2024

Asset Growth

74th percentile

15%

Faster asset growth than 74% of similar nonprofits.

501(c)3 • $10M-$25M nonprofits • Annualized from 2022 to 2024

Revenue Growth

15th percentile

-15%

Faster revenue growth than 15% of similar nonprofits.

501(c)3 • $10M-$25M nonprofits • Annualized from 2022 to 2024

Assets

Up

$10,592,316

Up $2,515,884 (+31%) from 2022

Liabilities

Up

$1,895,801

Up $862,804 (+84%) from 2022

Net Assets

Up

$8,696,515

Up $1,653,080 (+23%) from 2022

Revenue

Down

$1,984,731

Down $777,589 (-28%) from 2022

Expenses

Up

$1,986,277

Up $253,412 (+15%) from 2022

Net Income

Down

-$1,546

Down $1,031,001 (-100%) from 2022

Trend Graphs

Balance Sheet Trend

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

$15M$10M$5.0M$0Assets 2010: $1,390,600Liabilities 2010: $13,827Net Assets 2010: $1,376,7732010Assets 2011: $1,288,883Liabilities 2011: $2,580Net Assets 2011: $1,286,3032011Assets 2012: $1,306,883Liabilities 2012: $23,190Net Assets 2012: $1,283,6932012Assets 2014: $1,221,197Liabilities 2014: $105,551Net Assets 2014: $1,115,6462014Assets 2015: $1,134,099Liabilities 2015: $103,241Net Assets 2015: $1,030,8582015Assets 2016: $1,160,023Liabilities 2016: $248,785Net Assets 2016: $911,2382016Assets 2018: $1,545,071Liabilities 2018: $299,029Net Assets 2018: $1,246,0422018Assets 2019: $1,967,834Liabilities 2019: $277,950Net Assets 2019: $1,689,8842019Assets 2021: $6,304,481Liabilities 2021: $180,080Net Assets 2021: $6,124,4012021Assets 2022: $8,076,432Liabilities 2022: $1,032,997Net Assets 2022: $7,043,4352022Assets 2024: $10,592,316Liabilities 2024: $1,895,801Net Assets 2024: $8,696,5152024

Highlighted filing

2024

Assets$10,592,316
Liabilities$1,895,801
Net Assets$8,696,515

Operations Trend

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

$4.0M$3.0M$2.0M$1.0M$0-$1.0MExpenses 2010: $770,0372010Expenses 2011: $883,2432011Expenses 2012: $881,3762012Revenue 2014: $857,063Expenses 2014: $981,668Net Income 2014: -$124,6052014Revenue 2015: $905,151Expenses 2015: $956,933Net Income 2015: -$51,7822015Revenue 2016: $916,413Expenses 2016: $1,037,328Net Income 2016: -$120,9152016Revenue 2018: $1,450,948Expenses 2018: $1,234,968Net Income 2018: $215,9802018Revenue 2019: $1,788,080Expenses 2019: $1,395,994Net Income 2019: $392,0862019Revenue 2021: $3,502,048Expenses 2021: $1,462,101Net Income 2021: $2,039,9472021Revenue 2022: $2,762,320Expenses 2022: $1,732,865Net Income 2022: $1,029,4552022Revenue 2024: $1,984,731Expenses 2024: $1,986,277Net Income 2024: -$1,5462024

Highlighted filing

2024

Revenue$1,984,731
Expenses$1,986,277
Net Income-$1,546

Filings

Balance SheetOperations
YearAssetsLiabilitiesNet AssetsRevenueExpensesNet Income
2024Facts available. Structured filing facts are available, but richer extracted sections are limited.$10.6$1.90$8.70$1.98$1.99$0.00
2022Facts available. Structured filing facts are available, but richer extracted sections are limited.$8.08$1.03$7.04$2.76$1.73$1.03
2021Facts available. Structured filing facts are available, but richer extracted sections are limited.$6.30$0.18$6.12$3.50$1.46$2.04
2019XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$1.97$0.28$1.69$1.79$1.40$0.39
2018XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$1.55$0.30$1.25$1.45$1.23$0.22
2016XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$1.16$0.25$0.91$0.92$1.04$0.12
2015XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$1.13$0.10$1.03$0.91$0.96$0.05
2014Detailed filing. Detailed filing data is available for this year.$1.22$0.11$1.12$0.86$0.98$0.12
2012Facts available. Structured filing facts are available, but richer extracted sections are limited.$1.31$0.02$1.28$0.88
2011Facts available. Structured filing facts are available, but richer extracted sections are limited.$1.29$0.00$1.29$0.88
2010Facts available. Structured filing facts are available, but richer extracted sections are limited.$1.39$0.01$1.38$0.77
Latest Filing Detail
Jump To
Filing Snapshot
Filing Period
Jan 1, 2024 to Dec 31, 2024
Signed
Nov 3, 2025
Return Version
2024v5.2
Gross Receipts
$2,002,951
Mission and Program Overview

Mission

The buhl community recreation center was established to provide quality recreational, social wellness and education programs for people of all ages in our communities.

The center provides a wide variety of recreational and educational programs. These programs which can be health, athletic, and arts and crafts, are designed for people of all ages.

Balance Sheet Detail
LineBeginningEndChange
Assets
Land, Buildings, and Equipment, Net$6,777,178$7,621,340▲ $844,162
Cash and Non-Interest-Bearing Accounts$726,416$1,058,074▲ $331,658
Investments in Publicly Traded Securities$464,664--
Pledges and Grants Receivable$818,912$34,200▼ $784,712
Accounts Receivable$32,784$12,302▼ $20,482
Prepaid Expenses and Deferred Charges$4,570$4,979▲ $409
Total Assets$10,238,241$10,592,316▲ $354,075
Other Assets Total$1,413,717$1,861,421▲ $447,704
Liabilities
Mortgage Notes Payable Secured by Investment Property$1,169,832$1,709,742▲ $539,910
Unsecured Notes Loans Payable$119,576$94,418▼ $25,158
Accounts Payable and Accrued Expenses$120,341$70,931▼ $49,410
Deferred Revenue$18,849$20,710▲ $1,861
Total Liabilities$1,428,598$1,895,801▲ $467,203
Net Assets / Fund Balance
Net Assets Without Donor Restrictions$8,499,966$8,283,916▼ $216,050
Net Assets With Donor Restrictions$309,677$412,599▲ $102,922
Total Net Assets Fund Balance$8,809,643$8,696,515▼ $113,128
Total Liabilities and Net Assets / Fund Balance$10,238,241$10,592,316▲ $354,075

Asset Categories

AssetBook ValueDepreciationBasis
Buildings$11,248,948-$11,248,948
Equipment$361,454-$361,454
Other Land Buildings$-3,989,062$3,989,062-
Other Assets Org$34,522--

Endowment Activity

PeriodBeginningContrib.Gain/LossOther UsesEnd
2024$1,662,073-▲ $113,014$8,288$1,766,799
2023$409,278$1,511,393▲ $310,223$77,277$2,126,737
2022$501,453-▼ $71,610-$409,278
2021$446,410-▲ $74,535-$501,453
2020$420,110-▲ $50,536-$446,410
Compensation and Service Providers

Employees

NameTitleFull / Part TimeBaseOtherTotal
Jason KmickExecutive DirectorFT$125,551$12,014$137,565

Board Members and Trustees

NameTitle
Dr Nancy HosickPresident
Gary GullaPresident
Amy WanchisnBoard Member
Brian ChurlikBoard Member
David GeorgeBoard Member
Doug PyleBoard Member
Dr Barry MarchettoBoard Member
Dr David WoodBoard Member
Dr George GarrowBoard Member
Ed StabileBoard Member
Eric HunterBoard Member
Frank EvansBoard Member
Greer HaydenBoard Member
Jack MonacoBoard Member
Julianne StefanikBoard Member
Laura MiklosBoard Member
Lew KachulisBoard Member
Maynonta JeffersonBoard Member
Rita ClementeBoard Member
Revenue and Support

Revenue Composition

Contributions and Grants
$728,809
Program Service Revenue
$1,201,796
Investment Income
$0
Other Revenue
$54,126
All Other Contributions
$724,209
Change in Net Assets
$-1,546

Audited Revenue Reconciliation

Revenue per Audited Statements
$1,984,731
Revenue Not Reported on Financial Statements
$0
Revenue Not Reported on Form 990
$122,946
Total Revenue per Audited Statements
$2,107,677
Total Revenue per Form 990
$1,984,731
Expenses and Functional Allocation

Major Expense Lines

Line ItemAmount
Salaries, Compensation, and Employee Benefits$1,048,151
Other Expenses$938,126
Total Fundraising Expense$13,498
Grants and Similar Amounts Paid$0
Professional Fundraising Fees$0

Functional Expense Allocation

Line ItemProgramManagementFundraisingTotal
Other Salaries and Wages$543,042$260,307-$803,349
Depreciation Depletion$259,417--$259,417
Occupancy$161,764--$161,764
Current Officers, Directors, Trustees, and Key Employees$93,545$44,020-$137,565
All Other Expenses$57,662$26,013-$83,675
Payroll Taxes$47,091$22,772-$69,863
Insurance$66,003--$66,003
Fees for Services Accounting-$50,436-$50,436
Other Employee Benefits$24,530$11,544-$36,074
Other Expenses$31,608$19,062-$31,608
Advertising--$13,498$13,498
Interest$1,500--$1,500
Pension Plan Contributions$884$416-$1,300
Total Functional Expenses$1,538,209$434,570$13,498$1,986,277

Audited Expense Reconciliation

Line ItemAmount
Total Expenses per Audited Statements$2,004,497
Expenses per Audited Statements$1,986,277
Total Expenses per Form 990$1,986,277
Expenses Not Reported on Form 990$18,220
Expenses Not Reported on Financial Statements$0
Fundraising, Events, and Gaming
Fundraising activities
Yes
Gaming activities
No
Professional fundraiser used
No

Fundraising and Gaming Totals

Line ItemAmount
Fundraising Gross Income$55,606
Fundraising Direct Expenses$18,220
Professional Fundraising Fees$0

Fundraising Events

EventGross ReceiptsGross RevenueDirect ExpensesNet Income
Evans Dinner$38,738$38,738$8,954$29,784
Candy Bar Sales$6,114$6,114$4,043$2,071
Total Events$55,606$55,606$18,220$37,386
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
No
Annual disclosure for covered persons
Yes
Audit committee
No
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
No
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

A copy of form 990 is provided to the executive director to review with the board of the directors before it is filed.

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

Board members are required to disclose any conflicts prior to discussion of the topic

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

The compensation of the executive director is determined by an independent vote by the board of directors

Form 990, Part VI, Section C, Line 19

Upon request to executive director at center office

Filing and Contact Details

Filer

Filer Name
Buhl Community Recreation Center
EIN
25-0981137
Phone
7249813700
Address
28 NORTH PINE AVENUE, SHARON, PA 16146

Signing Officer

Name
Jason Kmick
Title
Executive Director
Phone
7249813700
Signed
2025-11-03
Discuss with paid preparer
Yes

Organization Details

Principal Officer
Jason Kmick
Formed
1903
Legal Domicile
Pa
Voting Board Members
19
Independent Board Members
19
Employees
125
Volunteers
29

Preparer

Firm
Mcgill Power Bell & Assoc Llp
Address
10 WOODLAND CENTER DRIVE, GROVE CITY, PA 16127
Preparer
Bruce a Lawrence
Phone
7244587490
Supplemental Narrative

Additional Explanations

FORM 990, PART XI, LINE 9:

Prior period adjustment to adjust endowment balance -216,308.

Financial Statement Notes

PART X, LINE 2:

Based upon the statutes of limitation, the federal form 990 information returns could be subjected to examination by the taxing authorities for three years from the date of filing including extensions. There were no interest or penalties incurred related to tax reporting for the year ended december 31, 2024. The centers would be liable for any unrelated business net income tax deficiencies noted during such audits. Management is not aware of any material items of non-compliance or adjustments which would result in an assessment of tax liabilities. As of the date of the financial statements, there were no such audits in process or scheduled.

PART XI, LINE 2D - OTHER ADJUSTMENTS:

FUNDRAISING EXPENSES

PART XII, LINE 2D - OTHER ADJUSTMENTS:

FUNDRAISING EXPENSES

Part XI Line 2D

Fundraising expenses reported on page 9 line 8b

Part XII Line 2D

Fundraising expenses reported on page 9 line 8b

Raw XML AppendixShowing 400 of 595 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/ActivityOrMissionDesc0THE CENTER PROVIDES A WIDE VARIETY OF RECREATIONAL AND EDUCATIONAL PROGRAMS. THESE PROGRAMS WHICH CAN BE HEALTH, ATHLETIC, AND ARTS AND CRAFTS, ARE DESIGNED FOR PEOPLE OF ALL AGES.
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