Civic Intelligence

Walker Art Center Inc.

990 • Fiscal year 2021 • EIN 41-0693929

Jul 01, 2020 to Jun 30, 2021 • Filed on Dec 17, 2021

725 Vineland PlaceMinneapolis, MN 55403

(612) 375-7647

Siviq Scores

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

Liabilities / Assets

9th percentile

0.02x

Higher debt load relative to assets than 9% of similar nonprofits.

2021 filings • 501(c)3 • $250M-$1B nonprofits • Source year 2021

Liabilities / Revenue

14th percentile

0.13x

Higher debt load relative to revenue than 14% of similar nonprofits.

2021 filings • 501(c)3 • $250M-$1B nonprofits • Source year 2021

Net Margin

91st percentile

54%

Higher net margin than 91% of similar nonprofits.

2021 filings • 501(c)3 • $250M-$1B nonprofits • Source year 2021

Top Officer Pay

23rd percentile

$397,579

Higher top officer pay than 23% of similar nonprofits.

Top officer pay equals 0.8% of source-year revenue.

2021 filings • 501(c)3 • $250M-$1B nonprofits • Source year 2021

Asset Growth

76th percentile

23%

Faster asset growth than 76% of similar nonprofits.

2021 filings • 501(c)3 • $250M-$1B nonprofits • Annualized from 2020 to 2021

Revenue Growth

98th percentile

438%

Faster revenue growth than 98% of similar nonprofits.

2021 filings • 501(c)3 • $250M-$1B nonprofits • Annualized from 2020 to 2021

Assets

Up

$379,213,744

Up $71,096,313 (+23%) from 2020

Net Assets

Up

$372,710,669

Up $71,327,062 (+24%) from 2020

Liabilities

Down

$6,503,075

Down $230,749 (-3.4%) from 2020

Revenue

Up

$50,426,261

Up $41,045,898 (+438%) from 2020

Expenses

Up

$23,288,485

Up $558,619 (+2.5%) from 2020

Net Income

Up

$27,137,776

Up $40,487,279 (+303%) from 2020

Historical Trend

Balance Sheet Trend

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

$600M$400M$200M$0Assets 2010: $249,915,933Liabilities 2010: $26,963,777Net Assets 2010: $222,952,1562010Assets 2011: $268,255,774Liabilities 2011: $25,284,844Net Assets 2011: $242,970,9302011Assets 2012: $248,857,041Liabilities 2012: $10,609,866Net Assets 2012: $238,247,1752012Assets 2013: $275,796,103Liabilities 2013: $10,817,309Net Assets 2013: $264,978,7942013Assets 2014: $294,269,370Liabilities 2014: $10,555,850Net Assets 2014: $283,713,5202014Assets 2015: $304,238,500Liabilities 2015: $9,901,017Net Assets 2015: $294,337,4832015Assets 2016: $303,711,909Liabilities 2016: $12,846,237Net Assets 2016: $290,865,6722016Assets 2017: $310,009,252Liabilities 2017: $11,084,971Net Assets 2017: $298,924,2812017Assets 2018: $313,028,978Liabilities 2018: $8,790,081Net Assets 2018: $304,238,8972018Assets 2019: $315,379,486Liabilities 2019: $7,192,103Net Assets 2019: $308,187,3832019Assets 2020: $308,117,431Liabilities 2020: $6,733,824Net Assets 2020: $301,383,6072020Assets 2021: $379,213,744Liabilities 2021: $6,503,075Net Assets 2021: $372,710,6692021Assets 2022: $355,494,582Liabilities 2022: $5,207,331Net Assets 2022: $350,287,2512022Assets 2023: $365,106,394Liabilities 2023: $5,378,248Net Assets 2023: $359,728,1462023Assets 2024: $409,711,271Liabilities 2024: $4,089,326Net Assets 2024: $405,621,9452024Assets 2025: $448,999,396Liabilities 2025: $4,198,167Net Assets 2025: $444,801,2292025

Highlighted filing

2021

Assets$379,213,744
Liabilities$6,503,075
Net Assets$372,710,669

Operations Trend

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

$80M$60M$40M$20M$0-$20MExpenses 2010: $22,613,4542010Expenses 2011: $22,250,5602011Expenses 2012: $23,521,7432012Revenue 2013: $29,128,425Expenses 2013: $22,225,852Net Income 2013: $6,902,5732013Revenue 2014: $20,724,066Expenses 2014: $24,419,554Net Income 2014: -$3,695,4882014Revenue 2015: $27,112,649Expenses 2015: $24,667,758Net Income 2015: $2,444,8912015Revenue 2016: $25,422,925Expenses 2016: $26,006,655Net Income 2016: -$583,7302016Revenue 2017: $28,552,243Expenses 2017: $31,054,064Net Income 2017: -$2,501,8212017Revenue 2018: $25,453,022Expenses 2018: $26,808,114Net Income 2018: -$1,355,0922018Revenue 2019: $17,740,184Expenses 2019: $25,272,831Net Income 2019: -$7,532,6472019Revenue 2020: $9,380,363Expenses 2020: $22,729,866Net Income 2020: -$13,349,5032020Revenue 2021: $50,426,261Expenses 2021: $23,288,485Net Income 2021: $27,137,7762021Revenue 2022: $20,987,778Expenses 2022: $24,867,914Net Income 2022: -$3,880,1362022Revenue 2023: $34,091,695Expenses 2023: $30,039,127Net Income 2023: $4,052,5682023Revenue 2024: $60,699,292Expenses 2024: $29,161,653Net Income 2024: $31,537,6392024Revenue 2025: $53,518,372Expenses 2025: $31,784,326Net Income 2025: $21,734,0462025

Highlighted filing

2021

Revenue$50,426,261
Expenses$23,288,485
Net Income$27,137,776
Jump To
Filing Snapshot
Filing Period
Jul 1, 2020 to Jun 30, 2021
Signed
Dec 17, 2021
Return Version
2020v4.1
Gross Receipts
$62,125,318
Mission and Program Overview

Mission

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.

The walker art center empowers people to experience the transformative possibilities of the art and ideas of our time and to imagine the world in new ways.

Balance Sheet Detail
LineBeginningEndChange
Assets
Investments Other Securities$218,918,877$291,465,728▲ $72,546,851
Land, Buildings, and Equipment, Net$70,917,126$67,455,042▼ $3,462,084
Savings and Temporary Cash Investments$12,456,158$15,303,402▲ $2,847,244
Pledges and Grants Receivable$3,879,498$3,494,641▼ $384,857
Cash and Non-Interest-Bearing Accounts$1,097,824$830,633▼ $267,191
Prepaid Expenses and Deferred Charges$305,592$301,712▼ $3,880
Inventories for Sale or Use$331,733$299,884▼ $31,849
Accounts Receivable$210,623$62,702▼ $147,921
Total Assets$308,117,431$379,213,744▲ $71,096,313
Liabilities
Other Liabilities$4,079,987$3,333,096▼ $746,891
Accounts Payable and Accrued Expenses$1,760,084$2,698,374▲ $938,290
Deferred Revenue$641,253$471,605▼ $169,648
Unsecured Notes Loans Payable$252,500--
Total Liabilities$6,733,824$6,503,075▼ $230,749
Net Assets / Fund Balance
Net Assets With Donor Restrictions$197,938,450$260,135,574▲ $62,197,124
Net Assets Without Donor Restrictions$103,445,157$112,575,095▲ $9,129,938
Total Net Assets Fund Balance$301,383,607$372,710,669▲ $71,327,062
Total Liabilities and Net Assets / Fund Balance$308,117,431$379,213,744▲ $71,096,313

Asset Categories

AssetBook ValueDepreciationBasis
Buildings$48,493,917$51,699,947$100,193,864
Land$13,760,159-$13,760,159
Leasehold Improvements$3,622,428$4,458,374$8,080,802
Equipment$1,578,538$844,330$2,422,868
Other Securities$291,465,728--

Endowment Activity

PeriodBeginningContrib.Gain/LossOther UsesEnd
2021$229,164,424$53,432▲ $81,299,232$7,619,728$302,897,360
2020$232,793,043$387,396▲ $3,196,436$7,212,451$229,164,424
2019$200,571,562$23,940,871▲ $17,679,856$9,399,246$232,793,043
2018$191,769,091$3,573,325▲ $14,475,331$9,246,185$200,571,562
2017$189,327,719$9,428,517▲ $13,854,735$20,841,880$191,769,091
Compensation and Service Providers

Employees

NameTitleFull / Part TimeBaseOtherTotal
Mary CerutiExecutive DirectorFT$361,129$37,573$398,702
Christopher StevensChief of AdvancementFT$210,551$39,130$249,681
Mary PoltaChief Financial OfficerFT$204,086$22,584$226,670
Henriette HuldischChief CuratorFT$180,003$43,066$223,069
Philip BitherSr Curator, PaFT$181,012$27,192$208,204
Siri EngbergSr Curator, ExhibitionsFT$135,692$32,295$167,987
Richele DonatDirector of HrFT$141,427$17,703$159,130
Nisa MackieDirector, EducationFT$131,592$14,734$146,326
Mariana QuirogaDirector of MarketingFT$140,955$1,000$141,955

Board Members and Trustees

NameTitle
John ChristakosPresident
Karen HeithoffVice-president
Seena HodgesVice-president
Andrew DuffPublic Trustee
Andrew HumphreyPublic Trustee
Anne LabovitzPublic Trustee
Brian PietschPublic Trustee
Carlo Bronzini VenderPublic Trustee
Charlie PohladPublic Trustee
Chris HaqqPublic Trustee
Chris KillingstadPublic Trustee
Daniel GrossmanPublic Trustee
David MoorePublic Trustee
Dayna FrankPublic Trustee
Donna PohladPublic Trustee
Dr Gayle SchuellerPublic Trustee
Ellen WilsonPublic Trustee
Gregory StenmoePublic Trustee
Jan BreyerPublic Trustee
Jennifer MartinPublic Trustee
Jim MurphyPublic Trustee
Joan NolanPublic Trustee
Joel RonningPublic Trustee
John LiddicoatPublic Trustee
Keith RiversPublic Trustee
Laura TaftPublic Trustee
Lili HallPublic Trustee
Mark AddicksPublic Trustee
Mark GreenePublic Trustee
Mark JordahlPublic Trustee
Martha MacmillanPublic Trustee
Michael PetermanPublic Trustee
Pat DenzerPublic Trustee
Patrick PeytonPublic Trustee
Peter RemesPublic Trustee
Pilar OppedisanoPublic Trustee
Sarah Lynn OquistPublic Trustee
Sima GriffithPublic Trustee
Simone AhujaPublic Trustee
Susan WhitePublic Trustee
Valerie Lemaine Md MphPublic Trustee
Vikesh NemaniPublic Trustee
Wim StocksPublic Trustee
Adrian WalkerWalker Family Trustee
Ann CadwaladerWalker Family Trustee
Ann HatchWalker Family Trustee
Jean LowellWalker Family Trustee
Teresa RasmussenSecretary
John WhaleyTreasurer

Highest Paid Contractors

ContractorServicesLocationCompensation
Common Sense Building ServicesContracted Services1300 GODWARD ST NE, Minneapolis, MN 55413$880,587
Minnesota Cleaning ServicesCleaning Services11301 W 47TH STREET, Minnetonka, MN 55343$212,298
Faegre Drinker Biddle & Reath LLPLegal Services90 SOUTH 7TH STREET, Minneapolis, MN 55420$156,168
AccessRentPO BOX 310511, Des Moines, IA 50331$128,199
CulinaireCatering8303 ELMBROOK DRIVE, Dallas, TX 75247$105,908
Revenue and Support

Revenue Composition

Contributions and Grants
$10,886,452
Program Service Revenue
$1,199,997
Investment Income
$38,248,692
Other Revenue
$91,120
All Other Contributions
$7,401,204
Change in Net Assets
$27,137,776

Noncash Contribution Practices

Property subject to holding requirements
No
Reviewed unusual noncash gifts
No
Third parties used for noncash contributions
No

Noncash Contributions

Contribution TypeContribution CountReported AmountValuation Method
Works of Art31$2,577,650Fair Market Value (FMV)
Securities Publicly Traded12$179,586Proceeds
Total Noncash Contributions43$2,757,236-

Audited Revenue Reconciliation

Revenue per Audited Statements
$50,365,918
Revenue Not Reported on Financial Statements
$60,342
Revenue Not Reported on Form 990
$44,189,286
Other Revenue Adjustments
$-1,070,807
Total Revenue per Audited Statements
$94,555,204
Total Revenue per Form 990
$50,426,260
Expenses and Functional Allocation

Major Expense Lines

Line ItemAmount
Other Expenses$13,665,168
Salaries, Compensation, and Employee Benefits$9,503,317
Total Fundraising Expense$1,215,355
Grants and Similar Amounts Paid$120,000
Professional Fundraising Fees$0

Functional Expense Allocation

Line ItemProgramManagementFundraisingTotal
Other Salaries and Wages$4,785,034$1,895,298$628,991$7,309,323
Depreciation Depletion$2,524,767$981,854-$3,506,621
Fees for Services Other$1,613,287$377,849$24,785$2,015,921
Fees for Service Investment Mgmnt Fees$274,390$856,759-$1,131,149
Current Officers, Directors, Trustees, and Key Employees$397,378$477,701$248,384$1,123,463
Office Expenses$599,696$139,831$73,994$813,521
Advertising$498,185$8,957$47,357$554,499
Occupancy$357,902$128,744$4,768$491,414
Other Employee Benefits$282,115$129,179$47,762$459,056
Payroll Taxes$240,864$110,290$40,778$391,932
Information Technology$222,217$86,418-$308,635
Insurance$243,425$42,281-$285,706
Fees for Services Legal-$284,427-$284,427
Pension Plan Contributions$134,921$61,780$22,842$219,543
Grants to Domestic Individuals$100,000--$100,000
Fees for Services Accounting-$62,544-$62,544
Travel$23,162$29,481$1,972$54,615
All Other Expenses-$8,160$40,719$48,879
Other Expenses$21,914$41,071$24,415$41,071
Fees for Services Lobbying-$35,189-$35,189
Grants to Domestic Orgs$20,000--$20,000
Total Functional Expenses$16,295,157$5,777,973$1,215,355$23,288,485

Audited Expense Reconciliation

Line ItemAmount
Total Expenses per Form 990$23,288,484
Total Expenses per Audited Statements$23,228,142
Expenses per Audited Statements$22,157,335
Expenses Not Reported on Financial Statements$1,131,149
Expenses Not Reported on Form 990$1,070,807
International Activity

International Summary

Offices
0
Employees
0
Spending
$52,926

International Compliance

Activity in boycott countries
No
Foreign corporation ownership
No
Foreign partnership interest
No
Interest in foreign trust
No
Passive foreign investment company interest
No
Transfers to foreign corporations
No

International Activities

RegionActivityServicesOfficesEmployeesSpending
Europe (including Iceland & Greenland)Program ServicesIn-country Art Services - Logistics00$41,160
Europe (including Iceland & Greenland)Program ServicesStaff Travel00$11,435
South AmericaProgram ServicesStaff Travel00$331
Fundraising, Events, and Gaming
Fundraising activities
Yes
Gaming activities
No
Professional fundraiser used
No

Fundraising and Gaming Totals

Line ItemAmount
Fundraising Gross Income$103,050
Fundraising Direct Expenses$72,616
Professional Fundraising Fees$0

Fundraising Events

EventGross ReceiptsGross RevenueDirect ExpensesNet Income
Art in a Box - Walker Night in$313,953$103,050$67,543$35,507
Total Events$313,953$103,050$72,616$30,434
Political and Lobbying Activity
Political campaign activity
No
Lobbying activity
Yes
Subject to proxy tax
No
Debt and Bond Financing

Other Reported Liabilities

LiabilityAmount
Special Assessment Liability$2,585,144
Asset Retirement Obligation$747,952
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
Yes
Other officer compensation reviewed
Yes
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 A, Line 2

A maximum of 20 walker family members may be appointed. In 2020-2021 there were four family members appointed, as indicated in part vii.

Form 990, Part VI, Section B, Line 11B

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 outside accounting firm who preparers form 990 for preliminary review by walker staff and board. Form 990 is edited and forwarded to the cpa for finalization to file with the appropriate federal and state entities.

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

The audit committee annually reviews all staff and board disclosures. If there are significant conflicts, the committee reports this to the full board.

Form 990, Part VI, Section B, Line 15

Salaries are based on annual performance evaluations and relevant comparative data compiled by independent studies. The board talent compensation committee authorizes the salary for the executive director and reviews executive recommendations for key senior staff salaries.

Form 990, Part VI, Section C, Line 19

Governing documents, conflict of interest policy, and financial statements are available to the public upon request for the same period of disclosure as set for in section 6104(d).

Filing and Contact Details

Filer

Filer Name
Walker Art Center
EIN
41-0693929
Phone
6123757647
Address
725 VINELAND PLACE, MINNEAPOLIS, MN 55403

Signing Officer

Name
Mary Polta
Title
CFO
Phone
6123757647
Signed
2021-12-17
Discuss with paid preparer
Yes

Organization Details

Principal Officer
Mary Ceruti
Formed
1946
Legal Domicile
Mn
Voting Board Members
48
Independent Board Members
48
Employees
159
Volunteers
97

Preparer

Firm
Rsm US Llp
Address
801 NICOLLET MALL WEST TOWER STE, 1200, MINNEAPOLIS, MN 55402-2526
Preparer
Kacie Mcewen
Phone
6123324300
Supplemental Narrative

Financial Statement Notes

PART III, LINE 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.

PART III, LINE 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.

PART V, LINE 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, LINE 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.

PART XI, LINE 4B - OTHER ADJUSTMENTS:

Cogs expense reclassed as revenue -391,592. Rental expense reclassed as revenue -606,599. Fundraising expense reclassed as revenue -72,616.

PART XII, LINE 2D - OTHER ADJUSTMENTS:

Cogs reclassed as revenue 391,592. Rental expense reclassed as revenue 606,599. Fundraising expense reclassed as revenue 72,616.

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Filings

Balance SheetOperations
YearAssetsLiabilitiesNet AssetsRevenueExpensesNet Income
2025Detailed filing. Detailed filing data is available for this year.$449$4.20$445$53.5$31.8$21.7
2024Detailed filing. Detailed filing data is available for this year.$410$4.09$406$60.7$29.2$31.5
2023Detailed filing. Detailed filing data is available for this year.$365$5.38$360$34.1$30.0$4.05
2022Detailed filing. Detailed filing data is available for this year.$355$5.21$350$21.0$24.9$3.88
2021Detailed filing. Detailed filing data is available for this year.$379$6.50$373$50.4$23.3$27.1
2020Detailed filing. Detailed filing data is available for this year.$308$6.73$301$9.38$22.7$13.3
2019Detailed filing. Detailed filing data is available for this year.$315$7.19$308$17.7$25.3$7.53
2018Detailed filing. Detailed filing data is available for this year.$313$8.79$304$25.5$26.8$1.36
2017Detailed filing. Detailed filing data is available for this year.$310$11.1$299$28.6$31.1$2.50
2016Detailed filing. Detailed filing data is available for this year.$304$12.8$291$25.4$26.0$0.58
2015Detailed filing. Detailed filing data is available for this year.$304$9.90$294$27.1$24.7$2.44
2014Detailed filing. Detailed filing data is available for this year.$294$10.6$284$20.7$24.4$3.70
2013Facts available. Structured filing facts are available, but richer extracted sections are limited.$276$10.8$265$29.1$22.2$6.90
2012Facts available. Structured filing facts are available, but richer extracted sections are limited.$249$10.6$238$23.5
2011Facts available. Structured filing facts are available, but richer extracted sections are limited.$268$25.3$243$22.3
2010Facts available. Structured filing facts are available, but richer extracted sections are limited.$250$27.0$223$22.6