Civic Intelligence

The Village Repertory Company

EIN 30-0137284 • 501(c)3 • Charleston, SC

Profile

Regional theatre company that stages live performances on a continual basis. All revenue used to rent performance space and pay operating expenses.

PO Box 22012Charleston, SC 29413
Siviq Scores

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

Liabilities / Assets

95th percentile

1.35x

Higher debt load relative to assets than 95% of similar nonprofits.

501(c)3 • <$500k nonprofits • Source year 2024

Liabilities / Revenue

83rd percentile

0.11x

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

501(c)3 • <$500k nonprofits • Source year 2024

Net Margin

31st percentile

-9.6%

Higher net margin than 31% of similar nonprofits.

501(c)3 • <$500k nonprofits • Source year 2024

Top Officer Pay

81st percentile

$0

Higher top officer pay than 81% of similar nonprofits.

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

501(c)3 • <$500k nonprofits • Source year 2024

Asset Growth

14th percentile

-81%

Faster asset growth than 14% of similar nonprofits.

501(c)3 • <$500k nonprofits • Annualized from 2023 to 2024

Revenue Growth

72nd percentile

20%

Faster revenue growth than 72% of similar nonprofits.

501(c)3 • <$500k nonprofits • Annualized from 2023 to 2024

Assets

Down

$22,141

Down $94,075 (-81%) from 2023

Liabilities

Flat

$30,000

Flat from 2023

Net Assets

Down

-$7,859

Down $94,075 (-109%) from 2023

Revenue

Up

$266,897

Up $45,353 (+20%) from 2023

Expenses

Up

$292,387

Up $2,792 (+1.0%) from 2023

Net Income

Up

-$25,490

Up $42,561 (+63%) from 2023

Trend Graphs

Balance Sheet Trend

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

$400K$300K$200K$100K$0-$100KAssets 2019: $8,238Liabilities 2019: $0Net Assets 2019: $8,2382019Assets 2020: $120,506Liabilities 2020: $33,997Net Assets 2020: $86,5092020Assets 2021: $308,159Liabilities 2021: $33,997Net Assets 2021: $274,1622021Assets 2022: $190,207Liabilities 2022: $30,000Net Assets 2022: $160,2072022Assets 2023: $116,216Liabilities 2023: $30,000Net Assets 2023: $86,2162023Assets 2024: $22,141Liabilities 2024: $30,000Net Assets 2024: -$7,8592024

Highlighted filing

2024

Assets$22,141
Liabilities$30,000
Net Assets-$7,859

Operations Trend

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

$400K$200K$0-$200KRevenue 2019: $355,279Expenses 2019: $351,621Net Income 2019: $3,6582019Revenue 2020: $238,066Expenses 2020: $279,831Net Income 2020: -$41,7652020Revenue 2021: $313,171Expenses 2021: $260,174Net Income 2021: $52,9972021Revenue 2022: $230,874Expenses 2022: $213,839Net Income 2022: $17,0352022Revenue 2023: $221,544Expenses 2023: $289,595Net Income 2023: -$68,0512023Revenue 2024: $266,897Expenses 2024: $292,387Net Income 2024: -$25,4902024

Highlighted filing

2024

Revenue$266,897
Expenses$292,387
Net Income-$25,490

Filings

Latest Filing Detail
Jump To
Filing Snapshot
Filing Period
Jan 1, 2024 to Dec 31, 2024
Signed
May 9, 2025
Return Version
2024v5.1
Gross Receipts
$266,897
Mission and Program Overview

Mission

Regional theatre company that stages live performances on a continual basis. All revenue used to rent performance space and pay operating expenses.

Regional theatre company that stages live performances on a continual basis

Balance Sheet Detail
LineBeginningEndChange
Assets
Investments in Publicly Traded Securities$61,805--
Cash and Non-Interest-Bearing Accounts$54,411$22,141▼ $32,270
Pd in Cap Srpls Land Bldg Eqp Fund$3,666$3,666→ $0
Rtn Earn Endowment Incm Other Fnds$82,550$-11,525▼ $94,075
Total Assets$116,216$22,141▼ $94,075
Liabilities
Unsecured Notes Loans Payable$30,000$30,000→ $0
Total Liabilities$30,000$30,000→ $0
Net Assets / Fund Balance
Total Net Assets Fund Balance$86,216$-7,859▼ $94,075
Total Liabilities and Net Assets / Fund Balance$116,216$22,141▼ $94,075
Compensation and Service Providers

Board Members and Trustees

NameTitle
Jay DannerPresident
Brian TutnerVice President
Liz ButlerSecretary
Kyle DownsTreasurer
Revenue and Support

Revenue Composition

Contributions and Grants
$175,601
Program Service Revenue
$51,296
Investment Income
$40,000
Other Revenue
$0
All Other Contributions
$167,213
Change in Net Assets
$-25,490
Expenses and Functional Allocation

Major Expense Lines

Line ItemAmount
Other Expenses$292,387
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
Fees for Services Management-$170,700-$170,700
Occupancy$53,118--$53,118
Travel-$5,280-$5,280
Office Expenses-$3,499-$3,499
Other Expenses$50,520$2,788-$2,788
Advertising$2,373--$2,373
Fees for Services Accounting-$2,011-$2,011
Information Technology-$1,967-$1,967
Total Functional Expenses$106,011$186,376$0$292,387
Fundraising, Events, and Gaming
Fundraising activities
No
Gaming activities
No
Professional fundraiser used
No

Fundraising and Gaming Totals

Line ItemAmount
Professional Fundraising Fees$0
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
Backup withholding compliance
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
No
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
Yes

Governance Explanations

Part VI Line 11B

Form 990 is reviewed at board meeting

Part VI Line 15A or B

NO COMPENSATION PAID

Part VI Line 19

UPON REQUEST

Filing and Contact Details

Filer

Filer Name
The Village Repertory Company
EIN
30-0137284
In Care Of
% DAVID REINWALD
Phone
8435141941
Address
PO BOX 22012, CHARLESTON, SC 29413

Signing Officer

Name
David Reinwald
Title
Vice President
Phone
8435141941
Signed
2025-05-09
Discuss with paid preparer
Yes

Organization Details

Principal Officer
Jay Danner
Formed
2006
Legal Domicile
Sc
Voting Board Members
4
Independent Board Members
4
Employees
0

Preparer

Firm
James M Ward CPA
Address
2207 HARTNETT BLVD, ISLE OF PALMS, SC 29451
Preparer
James M Ward
Phone
8438866218
Supplemental Narrative

Additional Explanations

Part V Line 3B

NOT APPLICABLE

Part V Line 14B

NOT APPLICABLE

Raw XML Appendix337 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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ReturnHeader/Filer/InCareOfNm0% DAVID REINWALD
ReturnHeader/Filer/PhoneNum08435141941
ReturnHeader/Filer/USAddress/AddressLine1Txt0PO BOX 22012
ReturnHeader/Filer/USAddress/CityNm0CHARLESTON
ReturnHeader/Filer/USAddress/StateAbbreviationCd0SC
ReturnHeader/Filer/USAddress/ZIPCd029413
ReturnHeader/IRSResponsiblePrtyInfoCurrInd0true
ReturnHeader/PreparerFirmGrp/PreparerFirmEIN0263468214
ReturnHeader/PreparerFirmGrp/PreparerFirmName/BusinessNameLine1Txt0JAMES M WARD CPA
ReturnHeader/PreparerFirmGrp/PreparerUSAddress/AddressLine1Txt02207 HARTNETT BLVD
ReturnHeader/PreparerFirmGrp/PreparerUSAddress/CityNm0ISLE OF PALMS
ReturnHeader/PreparerFirmGrp/PreparerUSAddress/StateAbbreviationCd0SC
ReturnHeader/PreparerFirmGrp/PreparerUSAddress/ZIPCd029451
ReturnHeader/PreparerPersonGrp/PhoneNum08438866218
ReturnHeader/PreparerPersonGrp/PreparationDt02025-05-09
ReturnHeader/PreparerPersonGrp/PreparerPersonNm0JAMES M WARD
ReturnHeader/PreparerPersonGrp/SelfEmployedInd0X
ReturnHeader/ReturnTs02025-05-09T12:20:25-05:00
ReturnHeader/ReturnTypeCd0990
ReturnHeader/TaxPeriodBeginDt02024-01-01
ReturnHeader/TaxPeriodEndDt02024-12-31
ReturnHeader/TaxYr02024

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