Civic Intelligence

Eagle Theatre Inc

EIN 30-0554729 • 501(c)3 • Hammonton, NJ

Profile

Eagle theatre is dedicated to telling meaningful stories through innovative, dynamic, and professional productions that advance the experience of live theatre on our mainstage, in our community engagement, and through educational opportunities.

PO Box 388 208 Vine StreetHammonton, NJ 08037

www.eagletheatre.org

Siviq Scores

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

Liabilities / Assets

96th percentile

1.61x

Higher debt load relative to assets than 96% of similar nonprofits.

501(c)3 • $500k-$1M nonprofits • Source year 2024

Liabilities / Revenue

98th percentile

5.23x

Higher debt load relative to revenue than 98% of similar nonprofits.

501(c)3 • $500k-$1M nonprofits • Source year 2024

Net Margin

30th percentile

-5.3%

Higher net margin than 30% of similar nonprofits.

501(c)3 • $500k-$1M nonprofits • Source year 2024

Top Officer Pay

Score unavailable

No value available

No filing with officer rows is available for this organization yet.

Asset Growth

21st percentile

-8.9%

Faster asset growth than 21% of similar nonprofits.

501(c)3 • $500k-$1M nonprofits • Annualized from 2021 to 2024

Revenue Growth

13th percentile

-26%

Faster revenue growth than 13% of similar nonprofits.

501(c)3 • $500k-$1M nonprofits • Annualized from 2021 to 2024

Assets

Down

$964,162

Down $60,997 (-6.0%) from 2023

Liabilities

Down

$1,553,979

Down $45,020 (-2.8%) from 2023

Net Assets

Down

-$589,817

Down $15,977 (-2.8%) from 2023

Revenue

Up

$296,913

Up $107,101 (+56%) from 2023

Expenses

Down

$312,595

Down $253,861 (-45%) from 2023

Net Income

Up

-$15,682

Up $360,962 (+96%) from 2023

Trend Graphs

Balance Sheet Trend

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

$2.0M$1.0M$0-$1.0MAssets 2013: $861,022Liabilities 2013: $620,344Net Assets 2013: $240,6782013Assets 2014: $895,503Liabilities 2014: $830,938Net Assets 2014: $64,5652014Assets 2015: $906,863Liabilities 2015: $1,050,094Net Assets 2015: -$143,2312015Assets 2016: $848,766Liabilities 2016: $1,099,978Net Assets 2016: -$251,2122016Assets 2017: $939,776Liabilities 2017: $1,162,651Net Assets 2017: -$222,8752017Assets 2018: $978,104Liabilities 2018: $1,190,837Net Assets 2018: -$212,7332018Assets 2019: $943,510Liabilities 2019: $1,110,561Net Assets 2019: -$167,0512019Assets 2020: $927,333Liabilities 2020: $1,177,891Net Assets 2020: -$250,5582020Assets 2021: $1,277,098Liabilities 2021: $1,320,656Net Assets 2021: -$43,5582021Assets 2022: $1,443,539Liabilities 2022: $1,640,735Net Assets 2022: -$197,1962022Assets 2023: $1,025,159Liabilities 2023: $1,598,999Net Assets 2023: -$573,8402023Assets 2024: $964,162Liabilities 2024: $1,553,979Net Assets 2024: -$589,8172024

Highlighted filing

2024

Assets$964,162
Liabilities$1,553,979
Net Assets-$589,817

Operations Trend

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

$1.5M$1.0M$500K$0-$500KRevenue 2013: $637,341Expenses 2013: $487,172Net Income 2013: $150,1692013Revenue 2014: $581,586Expenses 2014: $757,699Net Income 2014: -$176,1132014Revenue 2015: $809,325Expenses 2015: $1,017,118Net Income 2015: -$207,7932015Revenue 2016: $1,015,681Expenses 2016: $1,123,663Net Income 2016: -$107,9822016Revenue 2017: $870,401Expenses 2017: $842,064Net Income 2017: $28,3372017Revenue 2018: $835,141Expenses 2018: $824,999Net Income 2018: $10,1422018Revenue 2019: $885,903Expenses 2019: $840,221Net Income 2019: $45,6822019Revenue 2020: $193,227Expenses 2020: $276,733Net Income 2020: -$83,5062020Revenue 2021: $736,055Expenses 2021: $529,055Net Income 2021: $207,0002021Revenue 2022: $497,961Expenses 2022: $651,599Net Income 2022: -$153,6382022Revenue 2023: $189,812Expenses 2023: $566,456Net Income 2023: -$376,6442023Revenue 2024: $296,913Expenses 2024: $312,595Net Income 2024: -$15,6822024

Highlighted filing

2024

Revenue$296,913
Expenses$312,595
Net Income-$15,682

Filings

Latest Filing Detail
Jump To
Filing Snapshot
Filing Period
Jan 1, 2024 to Dec 31, 2024
Signed
Apr 29, 2025
Return Version
2024v5.2
Gross Receipts
$296,913
Mission and Program Overview

Mission

The eagle theatre is dedicated to redefining regional theatre through; innovation, enlightened production techniques, and the development of eclectric theatrics.

Eagle theatre is dedicated to telling meaningful stories through innovative, dynamic, and professional productions that advance the experience of live theatre on our mainstage, in our community engagement, and through educational opportunities.

Balance Sheet Detail
LineBeginningEndChange
Assets
Land, Buildings, and Equipment, Net$961,963$948,801▼ $13,162
Cash and Non-Interest-Bearing Accounts$42,185$9,502▼ $32,683
Intangible Assets$4,431$3,830▼ $601
Pledges and Grants Receivable$8,125$689▼ $7,436
Total Assets$1,025,159$964,162▼ $60,997
Other Assets Total$8,455$1,340▼ $7,115
Liabilities
Unsecured Notes Loans Payable$1,576,134$1,519,650▼ $56,484
Accounts Payable and Accrued Expenses$4,089$32,641▲ $28,552
Deferred Revenue$18,776--
Other Liabilities-$1,688-
Total Liabilities$1,598,999$1,553,979▼ $45,020
Net Assets / Fund Balance
Net Assets With Donor Restrictions$134,820--
Net Assets Without Donor Restrictions$-708,660$-589,817▲ $118,843
Total Net Assets Fund Balance$-573,840$-589,817▼ $15,977
Total Liabilities and Net Assets / Fund Balance$1,025,159$964,162▼ $60,997

Asset Categories

AssetBook ValueDepreciationBasis
Buildings$820,645$206,260$1,026,905
Equipment$-11,680$229,574$217,894
Leasehold Improvements$87,471$19,409$106,880
Land$52,365-$52,365
Compensation and Service Providers

Board Members and Trustees

NameTitle
Patricia C MillerPresident
Patricia PalmieriVice-president
Kathy NotaroTrustee
Louise Gorham-beblettSecretary
Marion OneillTreasurer
Revenue and Support

Revenue Composition

Contributions and Grants
$171,060
Program Service Revenue
$125,853
Investment Income
$0
Other Revenue
$0
All Other Contributions
$36,205
Change in Net Assets
$-15,682

Audited Revenue Reconciliation

Revenue per Audited Statements
$296,913
Total Revenue per Audited Statements
$296,913
Total Revenue per Form 990
$296,913
Expenses and Functional Allocation

Major Expense Lines

Line ItemAmount
Other Expenses$243,221
Salaries, Compensation, and Employee Benefits$69,374
Grants and Similar Amounts Paid$0
Professional Fundraising Fees$0
Total Fundraising Expense$0

Functional Expense Allocation

Line ItemProgramManagementFundraisingTotal
All Other Expenses$33,358$33,493-$66,851
Other Salaries and Wages$41,202$22,700-$63,902
Depreciation Depletion$33,163$601-$33,764
Other Expenses$2,181$33,565-$33,565
Insurance-$32,364-$32,364
Interest-$26,400-$26,400
Advertising$2,144$5,682-$7,826
Information Technology-$5,797-$5,797
Fees for Services Legal-$5,693-$5,693
Payroll Taxes$5,430$42-$5,472
Fees for Services Accounting-$3,500-$3,500
Royalties$2,887--$2,887
Office Expenses-$733-$733
Total Functional Expenses$142,025$170,570$0$312,595

Audited Expense Reconciliation

Line ItemAmount
Expenses per Audited Statements$312,595
Total Expenses per Audited Statements$312,595
Total Expenses per Form 990$312,595
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
Debt and Bond Financing

Other Reported Liabilities

LiabilityAmount
Accrued Payroll Taxes$1,688
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
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
No

Governance Explanations

Form 990 governing body review Part VI line 11

Copy of return is provided to board members for review and approval prior to filing.

Conflict of interest policy compliance Part VI line 12C

All directors have a duty to disclose possible conflicts. The board determines if a conflict exists. If a conflict has been determined to exist, the member is informed of the decision and the appropriate disciplinary actions are taken.

Governing documents etc available to public Part VI line 19

Documents are available to the public with written request.

Filing and Contact Details

Filer

Filer Name
Eagle Theatre Inc
EIN
30-0554729
In Care Of
% JAMES DONIO
Phone
6097045012
Address
PO BOX 388 208 VINE STREET, HAMMONTON, NJ 08037

Signing Officer

Name
James Donio
Title
President
Phone
6097045012
Signed
2025-04-29
Discuss with paid preparer
No

Organization Details

Formed
2008
Legal Domicile
Nj
Voting Board Members
7
Independent Board Members
7
Employees
12

Preparer

Firm
Celona Berchick & Associates
Address
609 Lakeside Drive, Southampton, PA 18966
Preparer
Frank Celona
Phone
2159539711
Supplemental Narrative

Additional Explanations

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

Line 9 - other changes in net assets prior period adjustment ($295)

List of other expenses Part IX line 24E

Other program expenses: concession & merchandise $3,438 miscellaneous 29,920 ---------- total 33,358 other management & general exps: bank charges 238 cc charges 14,152 dues and fees 7,976

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IRS990ScheduleA/GiftsGrantsContrisRcvd509Grp/CurrentTaxYearMinus3YearsAmt0679733
IRS990ScheduleA/GiftsGrantsContrisRcvd509Grp/CurrentTaxYearMinus4YearsAmt0151363
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IRS990ScheduleD/EquipmentGrp/BookValueAmt0-11680
IRS990ScheduleD/EquipmentGrp/DepreciationAmt0229574
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IRS990ScheduleD/OtherLiabilitiesOrgGrp/Desc0ACCRUED PAYROLL TAXES
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IRS990ScheduleD/TotalBookValueLandBuildingsAmt0948801
IRS990ScheduleD/TotalExpensesPerForm990Amt0312595
IRS990ScheduleD/TotalLiabilityAmt01688
IRS990ScheduleD/TotalRevenuePerForm990Amt0296913
IRS990ScheduleD/TotalRevEtcAuditedFinclStmtAmt0296913
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IRS990ScheduleO/SupplementalInformationDetail/ExplanationTxt0COPY OF RETURN IS PROVIDED TO BOARD MEMBERS FOR REVIEW AND APPROVAL PRIOR TO FILING.
IRS990ScheduleO/SupplementalInformationDetail/ExplanationTxt1ALL DIRECTORS HAVE A DUTY TO DISCLOSE POSSIBLE CONFLICTS. THE BOARD DETERMINES IF A CONFLICT EXISTS. IF A CONFLICT HAS BEEN DETERMINED TO EXIST, THE MEMBER IS INFORMED OF THE DECISION AND THE APPROPRIATE DISCIPLINARY ACTIONS ARE TAKEN.
IRS990ScheduleO/SupplementalInformationDetail/ExplanationTxt2DOCUMENTS ARE AVAILABLE TO THE PUBLIC WITH WRITTEN REQUEST.
IRS990ScheduleO/SupplementalInformationDetail/ExplanationTxt3LINE 9 - OTHER CHANGES IN NET ASSETS PRIOR PERIOD ADJUSTMENT ($295)
IRS990ScheduleO/SupplementalInformationDetail/ExplanationTxt4OTHER PROGRAM EXPENSES: CONCESSION & MERCHANDISE $3,438 MISCELLANEOUS 29,920 ---------- TOTAL 33,358 OTHER MANAGEMENT & GENERAL EXPS: BANK CHARGES 238 CC CHARGES 14,152 DUES AND FEES 7,976
IRS990ScheduleO/SupplementalInformationDetail/FormAndLineReferenceDesc0Form 990 governing body review Part VI line 11
IRS990ScheduleO/SupplementalInformationDetail/FormAndLineReferenceDesc1Conflict of interest policy compliance Part VI line 12c
IRS990ScheduleO/SupplementalInformationDetail/FormAndLineReferenceDesc2Governing documents etc available to public Part VI line 19
IRS990ScheduleO/SupplementalInformationDetail/FormAndLineReferenceDesc3Explanation of other changes in net assets or fund balances Part XI line 9
IRS990ScheduleO/SupplementalInformationDetail/FormAndLineReferenceDesc4List of other expenses Part IX line 24e
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IRS990/WebsiteAddressTxt0WWW.EAGLETHEATRE.ORG
IRS990/WhistleblowerPolicyInd0true
ReturnHeader/BuildTS02025-03-06 01:10:19Z
ReturnHeader/BusinessOfficerGrp/DiscussWithPaidPreparerInd0false
ReturnHeader/BusinessOfficerGrp/PersonNm0JAMES DONIO
ReturnHeader/BusinessOfficerGrp/PersonTitleTxt0PRESIDENT
ReturnHeader/BusinessOfficerGrp/PhoneNum06097045012
ReturnHeader/BusinessOfficerGrp/SignatureDt02025-04-29
ReturnHeader/Filer/BusinessName/BusinessNameLine1Txt0EAGLE THEATRE INC
ReturnHeader/Filer/BusinessNameControlTxt0EAGL
ReturnHeader/Filer/EIN0300554729
ReturnHeader/Filer/InCareOfNm0% JAMES DONIO
ReturnHeader/Filer/PhoneNum06097045012
ReturnHeader/Filer/USAddress/AddressLine1Txt0PO BOX 388 208 VINE STREET
ReturnHeader/Filer/USAddress/CityNm0HAMMONTON
ReturnHeader/Filer/USAddress/StateAbbreviationCd0NJ

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