Form 990 Part VI Line 2
“A maximum of 20 walker family members may be appointed. In 2014-15 there were 8 walker family members appointed.”
Scores are not available for this record yet.
Assets
Up$304,238,500
Up $9,969,130 (+3.4%) from 2014
Net Assets
Up$294,337,483
Up $10,623,963 (+3.7%) from 2014
Liabilities
Down$9,901,017
Down $654,833 (-6.2%) from 2014
Revenue
Up$27,112,649
Up $6,388,583 (+31%) from 2014
Expenses
Up$24,667,758
Up $248,204 (+1.0%) from 2014
Net Income
Up$2,444,891
Up $6,140,379 (+166%) from 2014
Walker Art Center is a catalyst for the creative expression of artists and the active engagement of audiences that examines the questions that shape and inspire us as individuals, cultures and communities.
Walker art center is a catalyst for the creative expression of artists and the active engagement of audiences that examines the questions that shape and inspire us.
| Line | Beginning | End | Change |
|---|---|---|---|
| Assets | |||
| Investments Other Securities | $198,719,554 | $200,920,984 | ▲ $2,201,430 |
| Land, Buildings, and Equipment, Net | $67,207,705 | $66,308,147 | ▼ $899,558 |
| Savings and Temporary Cash Investments | $12,952,160 | $15,334,018 | ▲ $2,381,858 |
| Pledges and Grants Receivable | $12,230,104 | $13,662,397 | ▲ $1,432,293 |
| Cash and Non-Interest-Bearing Accounts | $1,624,525 | $6,514,468 | ▲ $4,889,943 |
| Inventories for Sale or Use | $603,343 | $533,434 | ▼ $69,909 |
| Accounts Receivable | $675,130 | $527,370 | ▼ $147,760 |
| Prepaid Expenses and Deferred Charges | $240,182 | $266,849 | ▲ $26,667 |
| Receivables From Officers Etc | $16,667 | $170,833 | ▲ $154,166 |
| Other Notes and Loans Receivable, Net | $0 | $0 | → $0 |
| Receivable From Disqualified Prsn | $0 | $0 | → $0 |
| Investments Program Related | $0 | $0 | → $0 |
| Investments in Publicly Traded Securities | $0 | $0 | → $0 |
| Intangible Assets | $0 | $0 | → $0 |
| Loans From Officers Directors | $0 | $0 | → $0 |
| Total Assets | $294,269,370 | $304,238,500 | ▲ $9,969,130 |
| Other Assets Total | $0 | $0 | → $0 |
| Liabilities | |||
| Other Liabilities | $5,676,578 | $5,372,478 | ▼ $304,100 |
| Accounts Payable and Accrued Expenses | $2,980,366 | $2,772,961 | ▼ $207,405 |
| Deferred Revenue | $945,906 | $902,578 | ▼ $43,328 |
| Unsecured Notes Loans Payable | $953,000 | $853,000 | ▼ $100,000 |
| Grants Payable | $0 | $0 | → $0 |
| Mortgage Notes Payable Secured by Investment Property | $0 | $0 | → $0 |
| Escrow Account Liability | $0 | $0 | → $0 |
| Tax Exempt Bond Liabilities | $0 | $0 | → $0 |
| Total Liabilities | $10,555,850 | $9,901,017 | ▼ $654,833 |
| Net Assets / Fund Balance | |||
| Temporarily Rstr Net Assets | $95,366,645 | $107,582,242 | ▲ $12,215,597 |
| Permanently Rstr Net Assets | $95,555,041 | $95,328,316 | ▼ $226,725 |
| Unrestricted Net Assets | $92,791,834 | $91,426,925 | ▼ $1,364,909 |
| Total Net Assets Fund Balance | $283,713,520 | $294,337,483 | ▲ $10,623,963 |
| Total Liabilities and Net Assets / Fund Balance | $294,269,370 | $304,238,500 | ▲ $9,969,130 |
| Asset | Book Value | Depreciation | Basis |
|---|---|---|---|
| Buildings | $47,331,076 | $34,555,131 | $81,886,207 |
| Land | $10,288,092 | - | $10,288,092 |
| Leasehold Improvements | $5,294,318 | $2,786,484 | $8,080,802 |
| Equipment | $1,812,748 | $1,309,398 | $3,122,146 |
| Other Land Buildings | $1,581,913 | - | $1,581,913 |
| Other Securities | $176,725,856 | - | - |
| Period | Beginning | Contrib. | Gain/Loss | Other Uses | End |
|---|---|---|---|---|---|
| 2015 | $190,943,269 | $7,125,447 | ▲ $10,014,099 | $8,363,424 | $199,719,391 |
| 2014 | $166,958,874 | $13,963,341 | ▲ $21,445,993 | $11,424,939 | $190,943,269 |
| 2013 | $149,823,186 | $12,756,707 | ▲ $14,449,819 | $10,070,838 | $166,958,874 |
| 2012 | $152,266,156 | $2,250,000 | ▲ $2,997,455 | $7,690,425 | $149,823,186 |
| 2011 | $134,362,420 | $661,540 | ▲ $24,907,228 | $7,665,032 | $152,266,156 |
| Name | Title | Full / Part Time | Base | Other | Total |
|---|---|---|---|---|---|
| Olga Viso | Executive Director | FT | $420,200 | $41,728 | $461,928 |
| David Galligan | Deputy Director, COO | FT | $235,075 | $1,343 | $236,418 |
| Christopher Stevens | Chief of Advancement | FT | $192,608 | $16,767 | $192,608 |
| Andrew Blauvelt | Sr Curator Design | FT | $154,130 | $11,840 | $154,130 |
| Mary Polta | Chief Financial Officer | FT | $153,595 | $15,650 | $153,595 |
| Philip Bither | Sr Curator Performing Arts | FT | $144,509 | $17,921 | $144,509 |
| Ryan French | Director Marketing and PR | FT | $121,500 | $9,712 | $131,212 |
| Robin Dowden | Director of Technology | FT | $113,829 | $12,678 | $126,507 |
| Richele Donat | Director, Human Resources | FT | $105,072 | $11,861 | $116,933 |
| Name | Title |
|---|---|
| Patrick Denzer | President |
| John Christakos | Vice-President |
| Adrian Walker | Public Member |
| Amy Kern | Public Member |
| Andrew Humphrey | Public Member |
| Andrew S Duff | Public Member |
| Ann Cadwalader | Public Member |
| Ann Hatch | Public Member |
| Anne Labovitz | Public Member |
| Audrey Wilf | Public Member |
| Brooks Walker Jr | Public Member |
| Carol Surface | Public Member |
| Chris Askew | Public Member |
| Chris Killingstad | Public Member |
| D Ellen Wilson | Public Member |
| Dave Moore Jr | Public Member |
| Dawn Owens | Public Member |
| Dick Payne | Public Member |
| Donna Pohlad | Public Member |
| Elaine B Walker | Public Member |
| Elizabeth Redleaf | Public Member |
| Gil Roeder | Public Member |
| Greg Stenmoe | Public Member |
| James Dayton | Public Member |
| Jan Breyer | Public Member |
| Jean Walker Lowell | Public Member |
| Jennifer Martin | Public Member |
| Jesse Singh | Public Member |
| Joan Nolan | Public Member |
| Joel Ronning | Public Member |
| Julie Guggemos | Public Member |
| Laura Taft | Public Member |
| Lindsey Walker | Public Member |
| Lynn Carlson Schell | Public Member |
| Marge Weiser | Public Member |
| Mark Addicks | Public Member |
| Michael Peterman | Public Member |
| Muffy MacMillan | Public Member |
| Nina Hale | Public Member |
| Patrick Peyton | Public Member |
| Peter Remes | Public Member |
| Rebecca Pohlad | Public Member |
| Sima Griffith | Public Member |
| Susan White | Public Member |
| Teresa Rasmussen | Public Member |
| Tom Wicka | Public Member |
| Wayne Zink | Public Member |
| Wim Stocks | Public Member |
| Monica Nassif | Secretary |
| John Whaley | Treasurer |
| Contractor | Services | Location | Compensation |
|---|---|---|---|
| Common Sense Building Services | Contracted Service | 1300 Godward St NE, Minneapolis, MN 55413 | $1,416,183 |
| M A Mortenson | Construction | 700 Meadow Lane North, Minneapolis, MN 55422 | $770,558 |
| Hammel Green and Abrahamson | Architect | 701 Washington Avenue, Minneapolis, MN 55401 | $397,246 |
| DAmico Catering Inc | Catering | 211 N First Street, Minneapolis, MN 55401 | $393,226 |
| Uhl Company Inc | Equip. maintenance | 9065 Zachary Lane, Maple Grove, MN 55369 | $266,418 |
| Contribution Type | Contribution Count | Reported Amount | Valuation Method |
|---|---|---|---|
| Securities Publicly Traded | 36 | $5,734,442 | Proceeds Received |
| Works of Art | 113 | $250,200 | Ind. Art Appraisal |
| Total Noncash Contributions | 149 | $5,984,642 | - |
| Line Item | Amount |
|---|---|
| Other Expenses | $16,054,444 |
| Salaries, Compensation, and Employee Benefits | $8,613,314 |
| Total Fundraising Expense | $1,269,239 |
| Grants and Similar Amounts Paid | $0 |
| Professional Fundraising Fees | $0 |
| Line Item | Program | Management | Fundraising | Total |
|---|---|---|---|---|
| Other Salaries and Wages | $4,463,111 | $1,273,986 | $608,271 | $6,345,368 |
| Fees for Services Other | $4,070,170 | $439,063 | $39,628 | $4,548,861 |
| Depreciation Depletion | $1,720,119 | $1,268,218 | - | $2,988,337 |
| Current Officers, Directors, Trustees, and Key Employees | $329,701 | $638,908 | $223,587 | $1,192,196 |
| Other Expenses | $991,589 | $257 | $1,633 | $991,846 |
| Advertising | $815,559 | $1,869 | $40,072 | $857,500 |
| All Other Expenses | $563,596 | $168,889 | $116,712 | $849,197 |
| Office Expenses | $669,486 | $119,100 | $42,687 | $831,273 |
| Travel | $425,146 | $87,369 | $24,657 | $537,172 |
| Occupancy | $374,666 | $124,140 | - | $498,806 |
| Other Employee Benefits | $271,221 | $108,109 | - | $379,330 |
| Payroll Taxes | $257,864 | $102,785 | - | $360,649 |
| Pension Plan Contributions | $240,076 | $95,695 | - | $335,771 |
| Insurance | $147,171 | $63,133 | - | $210,304 |
| Fees for Services Accounting | - | $96,195 | - | $96,195 |
| Fees for Services Legal | $300 | $52,975 | - | $53,275 |
| Information Technology | $35,761 | $12,993 | - | $48,754 |
| Fees for Services Lobbying | - | $37,634 | - | $37,634 |
| Interest | $14,716 | $4,905 | - | $19,621 |
| Conferences and Meetings | $9,078 | $3,041 | $1,500 | $13,619 |
| Royalties | $3,219 | - | - | $3,219 |
| Total Functional Expenses | $18,397,986 | $5,000,533 | $1,269,239 | $24,667,758 |
| Line Item | Amount |
|---|---|
| Total Expenses per Audited Statements | $27,543,475 |
| Expenses per Audited Statements | $25,388,549 |
| Total Expenses per Form 990 | $24,667,758 |
| Expenses Not Reported on Form 990 | $2,154,926 |
| Expenses Not Reported on Financial Statements | $-720,791 |
| Line Item | Amount |
|---|---|
| Fundraising Direct Expenses | $369,573 |
| Fundraising Gross Income | $134,382 |
| Gaming Gross Income | $12,500 |
| Gaming Direct Expenses | $713 |
| Professional Fundraising Fees | $0 |
| Event | Gross Receipts | Gross Revenue | Direct Expenses | Net Income |
|---|---|---|---|---|
| Gala - Dinner | $466,221 | $132,382 | $56,360 | $76,022 |
| Gala - Auction | $374,750 | $2,000 | $11,659 | $-9,659 |
| Total Events | $840,971 | $134,382 | $369,573 | $-235,191 |
| Line Item | Beginning | End | Change |
|---|---|---|---|
| Receivables from Officers, Directors, Trustees, and Key Employees | $16,667 | $170,833 | ▲ $154,166 |
| Loans from Officers, Directors, Trustees, and Key Employees | $0 | $0 | → $0 |
| Receivables from Disqualified Persons | $0 | $0 | → $0 |
| Liability | Amount |
|---|---|
| Special Assessment Liability | $4,714,590 |
| Asset Retirement Obligation | $635,711 |
| Deferred Charge | $22,177 |
“A maximum of 20 walker family members may be appointed. In 2014-15 there were 8 walker family members appointed.”
“Walker art center has a basic membership category of annual giving.”
“Preparation of the 990 begins after the completion of the annual audit and its approval by the board of directors. Financial information is taken from the accounting department records and combined with other institutional data and contribution information provided by the development department. All information is forwarded to the preparer who assembles the return for preliminary review by walker staff and board. Then the return is edited and forwarded to the preparer for final completion and filed with all federal and state entities.”
“Audit committee annually reviews all staff and board disclosures. If there are significant conflicts, the committee reports this to the full board.”
“Salaries based on annual performance evaluations, relevant comparative data compiled by independent studies. Board officers authorize salary for executive director, reviews executive recommendations for key senior staff salaries.”
“Governing documents, conflict of interest policy and financial statements are available to the public upon request.”
“$1,614,918 adjustment for prior period pledges”
“DESCRIPTION:Honoraria TOTAL FEES:268526”
“DESCRIPTION:Artistic Fees TOTAL FEES:804004”
“DESCRIPTION:Author Fees TOTAL FEES:45583”
“DESCRIPTION:CoSponsor Fees TOTAL FEES:339650”
“DESCRIPTION:Contracted Services TOTAL FEES:1479742”
“DESCRIPTION:Contracted Computer Support TOTAL FEES:147459”
“DESCRIPTION:Contracted Maintenance TOTAL FEES:212292”
“DESCRIPTION:Contracted Janitorial TOTAL FEES:286736”
“DESCRIPTION:Contracted Security TOTAL FEES:887953”
“DESCRIPTION:Contract Conservation TOTAL FEES:76916”
“Question 1a Works of art in the Walker's collection are not recognized as assets on the statement of financial position. Purchases of artwork are recorded as decreases in unrestricted net assets in the year in which the items are acquired. If a donor makes a contribution intended to fund the subsequent purchase of artwork, the contribution is recorded as a temporarily restricted net asset. Contributions of works of art are not reflected on the financial statements. Question 4 The Walker has an internationally acclaimed collection of modern and contemporary visual art, which grows each year through new acquisitions and now includes more than 11,000 works. The collection spans a diverse range of media that includes painting, sculpture, film, video, photography and works on paper. These diverse holdings reflect the Walker's unique multidisciplinary offerings in the visual, performing and media arts of our time. They provide a document of the cultural, historical and social issues that have animated the arts of the past half-century.”
“Question 4 Walker's endowment provides an essential source of financial support which enables the organization to carry out its mission of being a catalyst for the creative expression of artists and the active engagement of audiences that examines the questions that shape and inspire us as individuals, cultures and communities. It is the key financial driver for the Walker's artistic excellence and stature in the contemporary arts field, providing resources for programming challenging and innovative work. Part X Question 2 The Walker's accounting policy provides that a tax expense or benefit from an uncertain tax position may be recognized when it is more likely than not that the position will be sustained upon examination, including resolutions of any related appeals or litigation processes, based on the technical merits. The Walker has no uncertain tax positions resulting in an accrual of tax expense or benefit.”
“$704,106 Part VIII Line 6b $369,573 Part VIII Line 8b $713 PART VIII, LINE 9B $1,080,540 Part VIII Line 10b $(6) ROUNDING $1,614,918 Adjustment for prior period pledges ------------ $3,769,844 Total, Part XI, LIne 2D”
“$704,106 Part VIII Line 6b $369,573 Part VIII Line 8b $713 PART VIII, LINE 9B $1,080,540 Part VIII Line 10b $(6) Rounding ------------ $2,154,926 Total, Part XII, LIne 2D”
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/ActivityOrMissionDesc | 0 | WALKER ART CENTER IS A CATALYST FOR THE CREATIVE EXPRESSION OF ARTISTS AND THE ACTIVE ENGAGEMENT OF AUDIENCES THAT EXAMINES THE QUESTIONS THAT SHAPE AND INSPIRE US. |
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| IRS990/ContractorCompensationGrp/ServicesDesc | 3 | Architect |
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| IRS990/Desc | 0 | Exhibitions of paintings, sculpture, prints, photography and new media with an emphasis on contemporary art. |
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| IRS990/FeesForServicesLegalGrp/ProgramServicesAmt | 0 | 300 |
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| IRS990/FeesForSrvcInvstMgmntFeesGrp/TotalAmt | 0 | 0 |
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| IRS990/Form990PartVIISectionAGrp/OtherCompensationAmt | 55 | 17921 |
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| IRS990/Form990PartVIISectionAGrp/PersonNm | 0 | Patrick Denzer |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 1 | John Whaley |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 2 | John Christakos |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 3 | Monica Nassif |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 4 | Adrian Walker |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 5 | Amy Kern |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 6 | Andrew Humphrey |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 7 | Andrew S Duff |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 8 | Ann Cadwalader |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 9 | Ann Hatch |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 10 | Anne Labovitz |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 11 | Audrey Wilf |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 12 | Brooks Walker Jr |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 13 | Carol Surface |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 14 | Chris Askew |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 15 | Chris Killingstad |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 16 | D Ellen Wilson |
| IRS990/Form990PartVIISectionAGrp/PersonNm | 17 | Dawn Owens |
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Displayed year
2015 • Form 990Detailed filing. Detailed filing data is available for this year.