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Chelsea Health And Wellness Foundation

Organization summary

Type of Nonprofit

Designated as a Organizations for any of the following purposes: religious, educational, charitable, scientific, literary, testing for public safety, fostering national or international amateur sports competition (as long as it doesn't provide athletic facilities or equipment), or the prevention of cruelty to children or animals.

Category: Health — General and Rehabilitative / Hospitals and Related Primary Medical Care Facilities (NTEE)

Donations to this organization are tax deductible.

Summary charts: organization finances over time

Revenue
$5.54M (2024)

Expenses
$7.32M (2024)

Total Assets
$29.5M (2024)

Total Liabilities
$7.31M (2024)

Source: Form 990 tax filings from 2012 to 2024

Tax Filings by Year

Form 990 is an information return that most organizations claiming federal tax-exempt status must file yearly with the IRS. Nonprofit Explorer has IRS digitized Form 990 data for filings processed in 2012 and later. If this organization filed an amended return, it may not be reflected below. Duplicate download links may indicate a resubmission or amendment to this organization's original return. Form 990 data is from the IRS.

Fiscal Year Ending March
2024

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$5,535,172
Expenses
$7,323,599
Net Income
-$1,788,427
Net Assets
$22,173,082
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $0
Interest Revenue $969
0.0%
Dividends $517,153
9.3%
Sales of Assets $82,118
1.5%
Other Income $4,522,028
81.7%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $2,422,182
33.1%
Compensation of Officers* $116,600
1.6%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $29,484,887
Total Liabilities $7,311,805
Net Assets $22,173,082
Compensation
Key Employees and Officers Compensation Other
Steve Petty (Ceo) $116,600 $28,731
Matt Pegouskie (Community Resource M) $75,187 $3,895
Lori Kintz (Outreach & Pr Coordi) $64,585 $18,120
Sheila Gilman (Office Manager) $57,181 $10,236
Kasie Cousino (Chair) $0 $0
Joanne Rau (Vice Chair) $0 $0
Todd Raehtz (Treasurer) $0 $0
Ginny Leikam (Secretary) $0 $0
Nicole O'brien (Board Member) $0 $0
Katy Harmes (Board Member) $0 $0
Elizabeth Pielsticker (Board Memebr) $0 $0
Cassie Watson (Board Member) $0 $0
Abigael Davis (Board Member) $0 $0
Michele Derheim (Board Member) $0 $0
Benjamin Miles (Board Member) $0 $0
Rebecca Schnetzer (Board Member) $0 $0
Jeff Wojcik (Board Member) $0 $0

Document Links

Fiscal Year Ending March
2023

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$4,681,604
Expenses
$7,220,253
Net Income
-$2,538,649
Net Assets
$27,368,977
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $0
Interest Revenue $492
0.0%
Dividends $692,942
14.8%
Sales of Assets -$130,725
Other Income $3,709,352
79.2%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $2,299,841
31.9%
Compensation of Officers* $110,000
1.5%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $35,491,510
Total Liabilities $8,122,533
Net Assets $27,368,977
Compensation
Key Employees and Officers Compensation Other
Steve Petty (Ceo) $110,000 $28,835
Matt Pegouskie (Community Resource M) $70,617 $3,658
Lori Kintz (Outreach & Pr Coordi) $60,659 $26,279
Sheila Gilman (Office Manager) $53,705 $20,873
Patrick Conlin (Chair) $0 $0
Cindy Dresch (Secretary & Treasurer) $0 $0
Kasie Cousino (Vice Chair) $0 $0
Joanne Rau (Board Member) $0 $0
Todd Raehtz (Board Member) $0 $0
Nicole O'brien (Board Member) $0 $0
Ginny Leikam (Board Member) $0 $0
Katy Harmes (Board Member) $0 $0
Dillon Burns (Board Member) $0 $0
Elizabeth Pielsticker (Board Memebr) $0 $0
Cassie Watson (Board Member) $0 $0
Abigael Davis (Board Member) $0 $0
Michele Derheim (Board Member) $0 $0
Benjamin Miles (Board Member) $0 $0

Document Links

Fiscal Year Ending March
2022

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$5,782,052
Expenses
$6,332,684
Net Income
-$550,632
Net Assets
$31,937,076
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $206,843
3.6%
Interest Revenue $149
0.0%
Dividends $959,690
16.6%
Sales of Assets $1,238,427
21.4%
Other Income $2,982,111
51.6%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $2,023,993
32.0%
Compensation of Officers* $125,164
2.0%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $40,566,321
Total Liabilities $8,629,245
Net Assets $31,937,076
Compensation
Key Employees and Officers Compensation Other
Steve Petty (Ceo) $79,562 $20,510
Matt Pegouskie (Community Resource M) $66,134 $3,426
Lori Kintz (Outreach & Pr Coordi) $50,992 $24,088
Sheila Gilman (Office Manager) $50,296 $19,344
Amy Heydlauff (Former Ceo Thru 7/15/21) $45,602 $9,119
Patrick Conlin (Chair) $0 $0
Cindy Dresch (Secretary & Treasurer) $0 $0
Kasie Cousino (Vice Chair) $0 $0
John Newman (Board Member) $0 $0
Joanne Rau (Board Member) $0 $0
Todd Raehtz (Board Member) $0 $0
Douglas Lance (Board Member) $0 $0
Nicole O'brien (Board Member) $0 $0
Ginny Leikam (Board Member) $0 $0
Katy Harmes (Board Member) $0 $0
Dillon Burns (Board Member) $0 $0
Elizabeth Pielsticker (Board Memebr) $0 $0
Cassie Watson (Board Member) $0 $0
Nancy Graebner (Ex Officio) $0 $0

Document Links

Fiscal Year Ending March
2021

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$3,652,233
Expenses
$5,174,236
Net Income
-$1,522,003
Net Assets
$33,503,542
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $875,538
24.0%
Interest Revenue $323
0.0%
Dividends $839,832
23.0%
Sales of Assets $110,824
3.0%
Other Income $1,417,789
38.8%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $1,499,266
29.0%
Compensation of Officers* $155,515
3.0%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $42,679,364
Total Liabilities $9,175,822
Net Assets $33,503,542
Compensation
Key Employees and Officers Compensation Other
Amy Heydlauff (Ceo) $155,515 $27,384
Matt Pegouskie (Community Resource M) $64,679 $3,326
Sally Devol (Chair) $0 $0
Patrick Conlin (Vice Chair) $0 $0
Cindy Dresch (Secretary) $0 $0
Kasie Cousino (Treasurer) $0 $0
John Newman (Board Member) $0 $0
Joanne Rau (Board Member) $0 $0
Todd Raehtz (Board Member) $0 $0
Douglas Lance (Board Member) $0 $0
Nicole O'brien (Board Member) $0 $0
Coy Vaughn (Board Member) $0 $0
Katy Harmes (Board Member) $0 $0
Dillon Burns (Board Member) $0 $0
Nancy Graebner (Ex Officio) $0 $0
Elizabeth Pielsticker (Board Memebr) $0 $0

Document Links

Fiscal Year Ending March
2020

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$6,705,507
Expenses
$7,580,317
Net Income
-$874,810
Net Assets
$29,701,074
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $0
Interest Revenue $328
0.0%
Dividends $584,610
8.7%
Sales of Assets $0
Other Income $5,751,324
85.8%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $1,622,977
21.4%
Compensation of Officers* $150,986
2.0%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $39,563,490
Total Liabilities $9,862,416
Net Assets $29,701,074
Compensation
Key Employees and Officers Compensation Other
Amy Heydlauff (Ceo) $150,986 $24,572
Matt Pegouskie (Community Resource M) $62,795 $3,229
Ashley Tomasi (Coalition Coordinato) $62,443 $9,595
Scott Broshar (Board Member) $0 $0
Kasie Cousino (Board Member) $0 $0
Patrick Conlin (Board Member) $0 $0
Sally Devol (Vice Chair) $0 $0
Kevin Dombkowski (Secretary) $0 $0
Cindy Dresch (Treasurer) $0 $0
Nancy Graebner (Ex Officio) $0 $0
Douglas Lance (Board Member) $0 $0
Nicole O'brien (Board Member) $0 $0
Coy Vaughn (Board Member) $0 $0
Jeff Wallace (Chair) $0 $0
Katy Harmes (Board Member) $0 $0
Dillon Burns (Board Member) $0 $0

Document Links

Fiscal Year Ending March
2019

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$7,020,354
Expenses
$7,632,179
Net Income
-$611,825
Net Assets
$33,703,619
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $0
Interest Revenue $479
0.0%
Dividends $497,777
7.1%
Sales of Assets $446
0.0%
Other Income $6,158,747
87.7%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $1,970,557
25.8%
Compensation of Officers* $137,925
1.8%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $43,935,691
Total Liabilities $10,232,072
Net Assets $33,703,619
Compensation
Key Employees and Officers Compensation Other
Amy Heydlauff (Ceo) $137,925 $21,392
Matt Pegouskie (Community Resource M) $60,975 $8,178
Ashley Tomasi (Coalition Coordinato) $56,774 $8,044
Scott Broshar (Board Member) $0 $0
Kasie Cousino (Board Member) $0 $0
Patrick Conlin (Secretary) $0 $0
Sally Devol (Vice Chair) $0 $0
Kevin Dombkowski (Board Member) $0 $0
Cindy Dresch (Treasurer) $0 $0
Nancy Graebner (Board Member) $0 $0
Anne Kittendorf (Board Member) $0 $0
Douglas Lance (Board Member) $0 $0
Nicole O'brien (Board Member) $0 $0
Ruth Vanbogelen (Board Member) $0 $0
Coy Vaughn (Board Member) $0 $0
Jeff Wallace (Chair) $0 $0

Document Links

Fiscal Year Ending March
2018

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$5,315,447
Expenses
$7,788,458
Net Income
-$2,473,011
Net Assets
$34,378,212
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $0
Interest Revenue $199
0.0%
Dividends $548,810
10.3%
Sales of Assets -$326,133
Other Income $4,724,521
88.9%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $1,743,290
22.4%
Compensation of Officers* $133,912
1.7%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $45,146,257
Total Liabilities $10,768,045
Net Assets $34,378,212
Compensation
Key Employees and Officers Compensation Other
Amy Heydlauff (Ceo) $133,912 $15,447
Matt Pegouskie (Community Resource M) $59,771 $6,641
Ashley Tomasi (Coalition Coordinato) $43,553 $6,504
Scott Broshar (Chair) $0 $0
Rob Casalou (President) $0 $0
Patrick Conlin (Board Member) $0 $0
Sally Devol (Board Member) $0 $0
Kevin Dombkowski (Board Member) $0 $0
Cindy Dresch (Board Member) $0 $0
Nancy Graebner (Board Member) $0 $0
Anne Kittendorf (Board Member) $0 $0
Douglas Lance (Board Member) $0 $0
Kari Newman (Vice Chair) $0 $0
Ruth Vanbogelen (Board Member) $0 $0
Coy Vaughn (Board Member) $0 $0
Jeff Wallace (Treasurer) $0 $0
Michael Willis (Board Member) $0 $0

Document Links

Fiscal Year Ending March
2017

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$5,724,601
Expenses
$8,021,901
Net Income
-$2,297,300
Net Assets
$34,874,770
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $0
Interest Revenue $198
0.0%
Dividends $539,154
9.4%
Sales of Assets $232,053
4.1%
Other Income $4,579,966
80.0%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $2,169,837
27.0%
Compensation of Officers* $129,377
1.6%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $46,297,109
Total Liabilities $11,422,339
Net Assets $34,874,770
Compensation
Key Employees and Officers Compensation Other
Amy Heydlauff (Ceo) $127,462 $14,732
Matt Pegouskie (Community Resource M) $57,450 $5,777
Scott Broshar (Chair) $0 $0
Rob Casalou (Board Member) $0 $0
Patrick Conlin (Board Member) $0 $0
Salley De Vol (Board Member) $0 $0
Kevin Dombkowski (Board Member) $0 $0
Cindy Dresch (Board Member) $0 $0
Nancy Graebner (Board Member) $0 $0
Anne Kittendorf (Board Member) $0 $0
Douglas Lance (Board Member) $0 $0
Kari Newman (Vice Chair) $0 $0
Ruth Van Bogelen (Board Member) $0 $0
Coy Vaughn (Board Member) $0 $0
Jeff Wallace (Treasurer) $0 $0
Michael Willis (Board Member) $0 $0

Document Links

Fiscal Year Ending March
2016

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$5,311,932
Expenses
$8,289,928
Net Income
-$2,977,996
Net Assets
$34,860,896
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $0
Interest Revenue $267
0.0%
Dividends $499,891
9.4%
Sales of Assets $35,541
0.7%
Other Income $4,395,963
82.8%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $2,718,343
32.8%
Compensation of Officers* $194,745
2.3%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $47,100,107
Total Liabilities $12,239,211
Net Assets $34,860,896
Compensation
Key Employees and Officers Compensation Other
Amy Heydlauff (Chief Executive Officer) $119,350 $11,791
Matt Pegouskie (Community Resource M) $57,449 $1,723
Scott Broshar (Treasurer) $0 $0
Larry Cobler (Chair) $0 $0
Nancy Graebner (Board Member) $0 $0
Kari Newman (Board Member) $0 $0
Kevin Dombkowski (Secretary) $0 $0
Anne Kittendorf (Board Member) $0 $0
Tom Mann (Board Member) $0 $0
Robert Stephens (Board Member) $0 $0
Jeff Wallace (Board Member) $0 $0
Rob Casalou (Board Member) $0 $0
Sally Devol (Board Member) $0 $0
Coy Vaughn (Board Member) $0 $0
Michael Willis (Board Member) $0 $0

Document Links

Fiscal Year Ending March
2015

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$6,274,257
Expenses
$7,803,036
Net Income
-$1,528,779
Net Assets
$39,061,038
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $0
Interest Revenue $255
0.0%
Dividends $265,214
4.2%
Sales of Assets $778,716
12.4%
Other Income $4,713,499
75.1%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $1,918,297
24.6%
Compensation of Officers* $132,696
1.7%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $51,744,638
Total Liabilities $12,683,600
Net Assets $39,061,038
Compensation
Key Employees and Officers Compensation Other
Amy Heydlauff (Cheif Executive Officer) $115,877 $16,820
Matt Pegouskie (Program Manager) $56,871 $5,610
Judy Nold (Board Member) $0 $0
Jeff Hardcastle (Past Chair) $0 $0
Alison Pollard (Board Member) $0 $0
Scott Broshar (Treasurer) $0 $0
Larry Cobler (Chair) $0 $0
Randall T Forsch (Board Member) $0 $0
Nancy Graebner (Board Member) $0 $0
Susan Kheder (Board Member) $0 $0
Kari Newman (Board Member) $0 $0
Kevin Dombkowski (Secretary) $0 $0
Anne Kittendorf (Board Member) $0 $0
Tom Mann (Board Member) $0 $0
Robert Stephens (Board Member) $0 $0
Jeff Wallace (Board Member) $0 $0

Document Links

Fiscal Year Ending March
2014

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$7,401,967
Expenses
$6,863,881
Net Income
$538,086
Net Assets
$40,162,693
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $0
Interest Revenue $487
0.0%
Dividends $318,942
4.3%
Sales of Assets $2,397,531
32.4%
Other Income $4,100,346
55.4%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $2,071,225
30.2%
Compensation of Officers* $127,044
1.9%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $53,209,090
Total Liabilities $13,046,397
Net Assets $40,162,693
Compensation
Key Employees and Officers Compensation Other
Amy Heydlauff (Executive Director) $109,164 $17,880
Matt Pegouskie (Program Manager) $54,433 $7,985
Judy Nold (Director) $0 $0
Jeff Hardcastle (Chair) $0 $0
Alison Pollard (Secretary) $0 $0
Scott Broshar (Treasurer) $0 $0
Patrick J Conlin Jr (Director) $0 $0
Larry Cobler (Vice Chair) $0 $0
Randall T Forsch (Director) $0 $0
Kenneth Gietzen (Director) $0 $0
Nancy Graebner (Director) $0 $0
Susan Kheder (Director) $0 $0
Kari Newman (Director) $0 $0
Jack Wheeler (Director) $0 $0
Kevin Dombkowski (Director) $0 $0
Anne Kittendorf (Director) $0 $0

Document Links

Fiscal Year Ending March
2013

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$5,721,998
Expenses
$4,516,698
Net Income
$1,205,300
Net Assets
$40,053,564
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $13,050
0.2%
Interest Revenue $425
0.0%
Dividends $407,477
7.1%
Sales of Assets $1,829,702
32.0%
Other Income $2,927,426
51.2%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $1,464,858
32.4%
Compensation of Officers* $125,152
2.8%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $40,703,462
Total Liabilities $649,898
Net Assets $40,053,564

Document Links

Fiscal Year Ending March
2012

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$5,102,329
Expenses
$3,595,356
Net Income
$1,506,973
Net Assets
$38,979,350
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $0
Interest Revenue $281
0.0%
Dividends $412,918
8.1%
Sales of Assets $1,179,831
23.1%
Other Income $2,987,370
58.5%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $1,026,493
28.6%
Compensation of Officers* $136,125
3.8%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $39,536,092
Total Liabilities $556,742
Net Assets $38,979,350

Document Links

Fiscal Year Ending March
2011

No Extracted Financial Data

Extracted financial data is not available for the forms filed in this tax period, but Form 990 documents are available for download.

Document Links

Fiscal Year Ending March
2010

No Extracted Financial Data

Extracted financial data is not available for the forms filed in this tax period, but Form 990 documents are available for download.

Document Links

Fiscal Year Ending March
2009

No Extracted Financial Data

Extracted financial data is not available for the forms filed in this tax period, but Form 990 documents are available for download.

Document Links

About This Data

Nonprofit Explorer includes summary data for nonprofit tax returns and full Form 990 documents, in both PDF and digital formats.

The summary data contains information processed by the IRS during the 2012-2019 calendar years; this generally consists of filings for the 2011-2018 fiscal years, but may include older records. This data release includes only a subset of what can be found in the full Form 990s.

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Types of Nonprofits

There are 27 nonprofit designations based on the numbered subsections of section 501(c) of the tax code. See the list »

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