Civic Intelligence

Ready Set Ride Therapeutic Recreation Facility

990EZ • Fiscal year 2020 • EIN 36-4414446

Jan 01, 2020 to Dec 31, 2020 • Filed on Feb 12, 2021

PO Box 1113Plainfield, IL 60544

(815) 439-3659

Siviq Scores

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

Liabilities / Assets

59th percentile

0.01x

Higher debt load relative to assets than 59% of similar nonprofits.

2020 filings • 501(c)3 • <$500k nonprofits • Source year 2020

Liabilities / Revenue

62nd percentile

0.01x

Higher debt load relative to revenue than 62% of similar nonprofits.

2020 filings • 501(c)3 • <$500k nonprofits • Source year 2020

Net Margin

69th percentile

20%

Higher net margin than 69% of similar nonprofits.

2020 filings • 501(c)3 • <$500k nonprofits • Source year 2020

Top Officer Pay

76th percentile

$0

Higher top officer pay than 76% of similar nonprofits.

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

2020 filings • 501(c)3 • <$500k nonprofits • Source year 2020

Asset Growth

60th percentile

12%

Faster asset growth than 60% of similar nonprofits.

2020 filings • 501(c)3 • <$500k nonprofits • Annualized from 2019 to 2020

Revenue Growth

23rd percentile

-49%

Faster revenue growth than 23% of similar nonprofits.

2020 filings • 501(c)3 • <$500k nonprofits • Annualized from 2019 to 2020

Assets

Up

$360,651

Up $39,682 (+12%) from 2019

Net Assets

Up

$358,766

Up $37,797 (+12%) from 2019

Liabilities

Up

$1,885

Up $1,885 from 2019

Revenue

Down

$192,210

Down $184,166 (-49%) from 2019

Expenses

Up

$154,413

Up $8,273 (+5.7%) from 2019

Net Income

Down

$37,797

Down $192,439 (-84%) from 2019

Historical Trend

Balance Sheet Trend

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

$400K$300K$200K$100K$0Assets 2015: $86,128Liabilities 2015: $0Net Assets 2015: $86,1282015Assets 2016: $60,686Net Assets 2016: $60,6862016Assets 2017: $104,537Net Assets 2017: $104,5372017Assets 2018: $90,733Net Assets 2018: $90,7332018Assets 2019: $320,969Liabilities 2019: $0Net Assets 2019: $320,9692019Assets 2020: $360,651Liabilities 2020: $1,885Net Assets 2020: $358,7662020Assets 2021: $362,511Liabilities 2021: $34,284Net Assets 2021: $328,2272021Assets 2022: $340,006Liabilities 2022: $26,558Net Assets 2022: $313,4482022Assets 2023: $344,620Liabilities 2023: $22,016Net Assets 2023: $322,6042023Assets 2024: $344,472Liabilities 2024: $21,539Net Assets 2024: $322,9332024

Highlighted filing

2020

Assets$360,651
Liabilities$1,885
Net Assets$358,766

Operations Trend

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

$400K$200K$0-$200KRevenue 2015: $159,829Expenses 2015: $155,581Net Income 2015: $4,2482015Revenue 2016: $128,606Expenses 2016: $154,048Net Income 2016: -$25,4422016Revenue 2017: $177,917Expenses 2017: $134,066Net Income 2017: $43,8512017Revenue 2018: $131,189Expenses 2018: $144,993Net Income 2018: -$13,8042018Revenue 2019: $376,376Expenses 2019: $146,140Net Income 2019: $230,2362019Revenue 2020: $192,210Expenses 2020: $154,413Net Income 2020: $37,7972020Revenue 2021: $148,743Expenses 2021: $179,282Net Income 2021: -$30,5392021Revenue 2022: $164,655Expenses 2022: $179,434Net Income 2022: -$14,7792022Revenue 2023: $203,101Expenses 2023: $193,945Net Income 2023: $9,1562023Revenue 2024: $266,460Expenses 2024: $266,131Net Income 2024: $3292024

Highlighted filing

2020

Revenue$192,210
Expenses$154,413
Net Income$37,797
Jump To
Filing Snapshot
Filing Period
Jan 1, 2020 to Dec 31, 2020
Signed
Feb 12, 2021
Return Version
2020v4.0
Gross Receipts
$192,210
Mission and Program Overview

Mission

The organization provides therapeutic riding opportunities to individuals with special needs.

Program Services

DescriptionGrantsExpenses
THE ORGANIZATION PROVIDED THERAPEUTIC RIDING OPPORTUNITIES TO INDIVIDUALS WITH SPECIAL NEEDS$147,422-
Compensation and Service Providers

Employees

NameTitleFull / Part TimeBaseOtherTotal
SHARLEEN SMITHPresidentPT$0--
BECCA BURRVice President-$0--
KIMBERLY JOHNSONSecretaryPT$0--
FARHAD AFSHARITreasurerPT$0--
CATHY KERWINDirector-$0--
LISA AFSHARIDirectorPT$0--
MARY RAYNIEDirector-$0--
Filing and Contact Details

Filer

Filer Name
Ready Set Ride
EIN
36-4414446
Phone
8154393659
Address
PO BOX 1113, PLAINFIELD, IL 60544

Signing Officer

Name
Farhad Afshari
Title
Treasurer
Signed
2021-02-12
Discuss with paid preparer
Yes

Preparer

Firm
Ansburg & Company Ltd
Address
800 W 5TH AVE SUITE 202A, NAPERVILLE, IL 60563
Preparer
Bonnie Marshall
Phone
6303571930
Supplemental Narrative

Additional Explanations

Other Expenses.1002

Office Expenses $3541

Other Expenses.1009

Depreciation $257

Other Expenses.1012

Insurance $9757

Other Expenses.1

Horse and trailer expense $45736

Other Expenses.2

BARN REPAIR $29312

Other Expenses.3

VET $16540

Other Expenses.4

AUTO $11112

Other Expenses.5

BARN MANAGER $8750

Other Expenses.6

WASTE $6309

Other Expenses.7

UTILITIES $6030

Other Expenses.8

MAINTENANCE CREW $5540

Other Expenses.9

SUPPLIES $3778

Other Expenses.10

Volunteer appreciation $2612

Other Expenses.11

General advertising/fundraisin $1523

Other Expenses.12

BANK CHARGES $984

Other Expenses.13

APPAREL $810

Other Expenses.14

MEALS $609

Other Expenses.16

Dues and memberships $270

Other Expenses.17

MISCELLANEOUS $124

Total Liabilities.1001

Accounts Payable and Accrued Expenses - Beginning $0 Accounts Payable and Accrued Expenses - Ending $1885

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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/AdditionalFilerInformation/TrustedCustomerGrp/AuthenticationAssuranceLevelCd0AAL1
ReturnHeader/AdditionalFilerInformation/TrustedCustomerGrp/FederatedAssuranceLevelCd0FAL1
ReturnHeader/AdditionalFilerInformation/TrustedCustomerGrp/IdentityAssuranceLevelCd0IAL1
ReturnHeader/AdditionalFilerInformation/TrustedCustomerGrp/TrustedCustomerCd02
ReturnHeader/BuildTS02022-09-23 18:48:47Z
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ReturnHeader/BusinessOfficerGrp/PersonTitleTxt0Treasurer
ReturnHeader/BusinessOfficerGrp/SignatureDt02021-02-12
ReturnHeader/Filer/BusinessName/BusinessNameLine1Txt0READY SET RIDE
ReturnHeader/Filer/BusinessName/BusinessNameLine2Txt0THERAPEUTIC RECREATION FACILITY
ReturnHeader/Filer/BusinessNameControlTxt0READ
ReturnHeader/Filer/EIN0364414446
ReturnHeader/Filer/PhoneNum08154393659
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ReturnHeader/ReturnTs02021-02-12T06:44:07-08:00
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ReturnHeader/TaxPeriodBeginDt02020-01-01
ReturnHeader/TaxPeriodEndDt02020-12-31
ReturnHeader/TaxYr02020

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