Civic Intelligence

Saucier Utilities Inc

990 • Fiscal year 2021 • EIN 64-0515557

Nov 01, 2020 to Oct 31, 2021 • Filed on Aug 04, 2022

17420 W Central DrSaucier, MS 39574

(228) 832-6841

Siviq Scores

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

Liabilities / Assets

82nd percentile

0.45x

Higher debt load relative to assets than 82% of similar nonprofits.

2021 filings • 501(c)12 • $500k-$1M nonprofits • Source year 2021

Liabilities / Revenue

76th percentile

1.18x

Higher debt load relative to revenue than 76% of similar nonprofits.

2021 filings • 501(c)12 • $500k-$1M nonprofits • Source year 2021

Net Margin

68th percentile

17%

Higher net margin than 68% of similar nonprofits.

2021 filings • 501(c)12 • $500k-$1M nonprofits • Source year 2021

Top Officer Pay

74th percentile

$0

Higher top officer pay than 74% of similar nonprofits.

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

2021 filings • 501(c)12 • $500k-$1M nonprofits • Source year 2021

Asset Growth

60th percentile

3.1%

Faster asset growth than 60% of similar nonprofits.

2021 filings • 501(c)12 • $500k-$1M nonprofits • Annualized from 2020 to 2021

Revenue Growth

38th percentile

0.6%

Faster revenue growth than 38% of similar nonprofits.

2021 filings • 501(c)12 • $500k-$1M nonprofits • Annualized from 2020 to 2021

Assets

Up

$575,361

Up $17,244 (+3.1%) from 2020

Net Assets

Up

$317,375

Up $38,135 (+14%) from 2020

Liabilities

Down

$257,986

Down $20,891 (-7.5%) from 2020

Revenue

Up

$218,131

Up $1,261 (+0.6%) from 2020

Expenses

Down

$179,996

Down $37,113 (-17%) from 2020

Net Income

Up

$38,135

Up $38,374 (+16056%) from 2020

Historical Trend

Balance Sheet Trend

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

$800K$600K$400K$200K$0Assets 2015: $595,823Liabilities 2015: $355,211Net Assets 2015: $240,6122015Assets 2016: $618,040Liabilities 2016: $335,305Net Assets 2016: $282,7352016Assets 2017: $606,718Liabilities 2017: $317,464Net Assets 2017: $289,2542017Assets 2018: $596,664Liabilities 2018: $310,676Net Assets 2018: $285,9882018Assets 2019: $578,803Liabilities 2019: $299,324Net Assets 2019: $279,4792019Assets 2020: $558,117Liabilities 2020: $278,877Net Assets 2020: $279,2402020Assets 2021: $575,361Liabilities 2021: $257,986Net Assets 2021: $317,3752021Assets 2022: $587,202Liabilities 2022: $236,358Net Assets 2022: $350,8442022Assets 2023: $609,026Liabilities 2023: $240,332Net Assets 2023: $368,6942023Assets 2024: $669,366Liabilities 2024: $220,631Net Assets 2024: $448,7352024Assets 2025: $720,216Liabilities 2025: $211,736Net Assets 2025: $508,4802025

Highlighted filing

2021

Assets$575,361
Liabilities$257,986
Net Assets$317,375

Operations Trend

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

$400K$300K$200K$100K$0-$100KRevenue 2015: $174,161Expenses 2015: $203,910Net Income 2015: -$29,7492015Revenue 2016: $216,423Expenses 2016: $174,300Net Income 2016: $42,1232016Revenue 2017: $192,762Expenses 2017: $186,243Net Income 2017: $6,5192017Revenue 2018: $202,549Expenses 2018: $205,815Net Income 2018: -$3,2662018Revenue 2019: $223,416Expenses 2019: $229,925Net Income 2019: -$6,5092019Revenue 2020: $216,870Expenses 2020: $217,109Net Income 2020: -$2392020Revenue 2021: $218,131Expenses 2021: $179,996Net Income 2021: $38,1352021Revenue 2022: $232,540Expenses 2022: $199,071Net Income 2022: $33,4692022Revenue 2023: $268,550Expenses 2023: $250,700Net Income 2023: $17,8502023Revenue 2024: $271,550Expenses 2024: $191,509Net Income 2024: $80,0412024Revenue 2025: $304,113Expenses 2025: $244,368Net Income 2025: $59,7452025

Highlighted filing

2021

Revenue$218,131
Expenses$179,996
Net Income$38,135
Jump To
Filing Snapshot
Filing Period
Nov 1, 2020 to Oct 31, 2021
Signed
Aug 4, 2022
Return Version
2020v4.1
Gross Receipts
$218,131
Mission and Program Overview

Mission

Purpose is to provide utility service through the sale of water to residential and commercial member customers in the saucier community

Balance Sheet Detail
LineBeginningEndChange
Assets
Cash and Non-Interest-Bearing Accounts$253,308$311,061▲ $57,753
Savings and Temporary Cash Investments$132,396$132,766▲ $370
Land, Buildings, and Equipment, Net$157,251$119,598▼ $37,653
Inventories for Sale or Use$5,000$6,045▲ $1,045
Accounts Receivable$10,127$5,856▼ $4,271
Total Assets$558,117$575,361▲ $17,244
Other Assets Total$35$35→ $0
Liabilities
Mortgage Notes Payable Secured by Investment Property$257,932$237,017▼ $20,915
Unsecured Notes Loans Payable$12,139$12,185▲ $46
Accounts Payable and Accrued Expenses$8,806$8,784▼ $22
Total Liabilities$278,877$257,986▼ $20,891
Net Assets / Fund Balance
Net Assets Without Donor Restrictions$279,240$317,375▲ $38,135
Total Net Assets Fund Balance$279,240$317,375▲ $38,135
Total Liabilities and Net Assets / Fund Balance$558,117$575,361▲ $17,244

Asset Categories

AssetBook ValueDepreciationBasis
Buildings$10,080$38,998-
Other Land Buildings$1,250$17,519-
Land$45,475--
Equipment$62,793$927,033-
Other Assets Org$35--
Compensation and Service Providers

Board Members and Trustees

NameTitle
Linda SchonewitzPresident
Mike ParkerDirector
Ronald HoughtonSecretary
Pascal GillTreasurer
Revenue and Support

Revenue Composition

Contributions and Grants
$0
Program Service Revenue
$217,760
Investment Income
$371
Other Revenue
$0
Change in Net Assets
$38,135
Expenses and Functional Allocation

Major Expense Lines

Line ItemAmount
Other Expenses$130,101
Salaries, Compensation, and Employee Benefits$49,895
Grants and Similar Amounts Paid$0
Professional Fundraising Fees$0
Total Fundraising Expense$0

Functional Expense Allocation

Line ItemProgramManagementFundraisingTotal
Other Salaries and Wages$46,063--$46,063
Fees for Services Other$45,795--$45,795
Depreciation Depletion$37,653--$37,653
Interest$12,421--$12,421
Occupancy$12,293--$12,293
Insurance$9,087--$9,087
Office Expenses$8,849--$8,849
Fees for Services Accounting$3,975--$3,975
Payroll Taxes$3,832--$3,832
Other Expenses$28--$28
Total Functional Expenses$179,996$0$0$179,996
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
Governance and Compliance

Governance Checklist

Compiled or reviewed by an accountant
Yes
Audit committee
No
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
No
Audited financial statements prepared
No
Key decisions subject to board approval
No
Management duties delegated
No

Governance Explanations

Members or stockholder classes and rights Part VI line 6

All members have a right to vote

Member election for additional members Part VI line 7A

Members have right to vote for additional board members

Form 990 governing body review Part VI line 11

Governing body must review Form 990 before filing

Other officer or key employee compensation Part VI line 15B

Office employment compensation subject to review by board

Form 990 availability to public Part VI line 18

Upon request, Form 990 will be made available to public at Utilities Office.

Governing documents etc available to public Part VI line 19

Governing documents and financial statements are available to the public upon request at the Utilities office.

Filing and Contact Details

Filer

Filer Name
Saucier Utilities Inc
EIN
64-0515557
Address
17420 W Central Dr, Saucier, MS 39574

Signing Officer

Name
Pascal Gill
Title
Treasurer
Phone
2288323681
Signed
2022-08-04
Discuss with paid preparer
Yes

Organization Details

Formed
1970
Legal Domicile
Ms
Voting Board Members
4
Independent Board Members
4
Employees
2

Preparer

Firm
Berel CPA Pllc
Address
1308 BIENVILLE BLVD, OCEAN SPRINGS, MS 39564
Preparer
Susan Berel CPA
Phone
2282841491
Supplemental Narrative

Additional Explanations

List of other fees for services expenses Part IX line 11G

See Detail list of Other Expenses in Overflow Schedule.

Raw XML Appendix322 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/AdditionalFilerInformation/TrustedCustomerGrp/TrustedCustomerCd00
ReturnHeader/BuildTS02022-09-23 18:48:47Z
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ReturnHeader/PreparerPersonGrp/PreparationDt02022-08-09
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ReturnHeader/ReturnTs02022-08-09T10:16:15-04:00
ReturnHeader/ReturnTypeCd0990
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ReturnHeader/TaxPeriodBeginDt02020-11-01
ReturnHeader/TaxPeriodEndDt02021-10-31
ReturnHeader/TaxYr02020

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