Summer Member Drive Journalism for the people, not for profit
DONATE
Skip to content
ProPublica Donate
ProPublica Donate

Hendrick Home For Children

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.

Donations to this organization are tax deductible.

Summary charts: organization finances over time

Revenue
$6.34M (2024)

Expenses
$5.9M (2024)

Total Assets
$169M (2024)

Total Liabilities
$77.1k (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 June
2024

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$6,335,105
Expenses
$5,897,972
Net Income
$437,133
Net Assets
$169,028,353
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $5,337,544
84.3%
Interest Revenue $167,831
2.6%
Dividends $231,870
3.7%
Sales of Assets $55,647
0.9%
Other Income $542,213
8.6%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $3,788,376
64.2%
Compensation of Officers* $512,564
8.7%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $169,105,488
Total Liabilities $77,135
Net Assets $169,028,353
Compensation
Key Employees and Officers Compensation Other
Robert Marshall (Former President/Ceo) $170,980 $25,647
Erin Seabourne (Pres/Ceo) $106,359 $15,954
Gary Goldsmith (Vp Facilities & Maint) $97,558 $14,634
Helen Usera (Employee) $93,367 $14,005
Kim Braden (Vp Finance) $80,498 $12,075
Vizion Jackson (Employee) $70,855 $10,628
James Morris (Employee) $64,540 $9,681
Holly Cox (Executive Vp/Programs) $57,169 $8,575
Gordon Storey (Employee) $51,966 $7,795
Paul Cannon (Chariman) $0 $0
Harris Goldman Napier Ii (Trustee) $0 $0
Bud Darby (Trustee) $0 $0
Darlene Stevens (Trustee) $0 $0
Joe Crawford (Trustee) $0 $0
Katie Alford (Vice Chairman) $0 $0
Kim Osborne (Trustee) $0 $0
Shea Hall (Sec/Tres) $0 $0
Jordan Hibbs (Trustee) $0 $0
Kevin Campbell (Trustee) $0 $0
Michael Murphy (Trustee) $0 $0

Document Links

Fiscal Year Ending June
2023

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$6,387,211
Expenses
$5,357,153
Net Income
$1,030,058
Net Assets
$152,540,881
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $5,715,072
89.5%
Interest Revenue $130,097
2.0%
Dividends $120,977
1.9%
Sales of Assets -$40,568
Other Income $461,633
7.2%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $3,332,997
62.2%
Compensation of Officers* $493,865
9.2%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $152,643,449
Total Liabilities $102,568
Net Assets $152,540,881
Compensation
Key Employees and Officers Compensation Other
Robert Marshall (Pres/Ceo) $156,967 $23,545
Gary Goldsmith (Vp Facilities & Maint) $100,751 $15,113
Kim Braden (Vp Finance) $94,267 $14,140
Erin Seabourne (Executive Vp) $90,218 $13,533
Vizion Jackson (Employee) $68,467 $0
Holly Cox (Associate) $67,659 $0
James Morris (Employee) $58,960 $0
Mary Brecheen (Employee) $57,241 $0
Stephanie Moore (Associate) $56,846 $0
Barbara Dahl (Vp Comm Rel) $38,249 $0
Lora Jones (Vp Program Services) $13,413 $0
Paul Cannon (Vice Chairman) $0 $0
Harris Goldman Napier Ii (Chairman) $0 $0
Bud Darby (Trustee) $0 $0
Darlene Stevens (Trustee) $0 $0
Joe Crawford (Trustee) $0 $0
Katie Alford (Sec/Treas) $0 $0
David Miller (Former Pres/Ceo) $0 $0
Kim Osborne (Trustee) $0 $0
Shea Hall (Trustee) $0 $0

Document Links

Fiscal Year Ending June
2022

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$5,320,863
Expenses
$4,392,016
Net Income
$928,847
Net Assets
$142,543,506
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $4,251,631
79.9%
Interest Revenue $113,117
2.1%
Dividends $114,077
2.1%
Sales of Assets $423,413
8.0%
Other Income $418,625
7.9%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $3,057,519
69.6%
Compensation of Officers* $413,082
9.4%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $142,704,787
Total Liabilities $161,281
Net Assets $142,543,506
Compensation
Key Employees and Officers Compensation Other
David Miller (Former Pres/Ceo) $106,744 $16,012
Robert Marshall (Pres/Ceo) $87,500 $13,125
Erin Seabourne (Executive Vp) $77,943 $11,692
Barbara Dahl (Vp Comm Rel) $68,985 $10,348
Lisa Parks (Office Manager) $66,894 $10,034
Vizion Jackson (Employee) $65,342 $9,801
Mary Brecheen (Employee) $59,222 $8,883
Holly Cox (Associate) $57,305 $8,596
Lora Jones (Vp Program Services) $54,809 $8,221
Gary Goldsmith (Vp Facilities & Maint) $52,063 $7,809
Kim Braden (Vp Finance) $42,981 $6,447
Bart Cox (Trustee) $0 $0
Paul Cannon (Sec/Treas) $0 $0
Harris Goldman Napier Ii (Vice Chairman) $0 $0
Bud Darby (Trustee) $0 $0
A L Dusty Rhodes (Trustee) $0 $0
Darlene Stevens (Chairman) $0 $0
Joe Crawford (Trustee) $0 $0
Lee Hamilton (Trustee) $0 $0
Katie Alford (Trustee) $0 $0

Document Links

Fiscal Year Ending June
2021

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$4,692,201
Expenses
$4,334,020
Net Income
$358,181
Net Assets
$161,161,012
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $4,451,966
94.9%
Interest Revenue $138,989
3.0%
Dividends $88,396
1.9%
Sales of Assets -$10
Other Income $12,860
0.3%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $3,134,436
72.3%
Compensation of Officers* $462,226
10.7%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $161,578,139
Total Liabilities $417,127
Net Assets $161,161,012
Compensation
Key Employees and Officers Compensation Other
David Miller (Pres/Ceo) $156,988 $23,548
Candi Hammett (Vp Finance) $88,756 $13,313
Erin Seabourne (Vp Program Services) $78,914 $11,837
David Bradford (Vp Facilities & Maint) $71,824 $10,774
Barbara Dahl (Vp Comm Rel) $65,744 $9,862
Stephanie Moore (Outdoor Manager) $60,533 $9,080
Michael Westfall (Houseparent) $54,434 $8,165
Michael Collins (Maintenance Worker) $51,675 $7,751
Lora Jones (Director Of Recreati) $50,030 $7,505
Bart Cox (Trustee) $0 $0
Paul Cannon (Sec/Treas) $0 $0
Harris Goldman Napier Ii (Vice Chairman) $0 $0
Bud Darby (Trustee) $0 $0
A L Dusty Rhodes (Trustee) $0 $0
Darlene Stevens (Chairman) $0 $0
Joe Crawford (Trustee) $0 $0
Lee Hamilton (Trustee) $0 $0
Katie Alford (Trustee) $0 $0

Document Links

Fiscal Year Ending June
2020

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$5,470,284
Expenses
$4,686,970
Net Income
$783,314
Net Assets
$135,057,715
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $4,589,309
83.9%
Interest Revenue $373,578
6.8%
Dividends $163,874
3.0%
Sales of Assets $0
Other Income $463,325
8.5%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $3,317,691
70.8%
Compensation of Officers* $523,325
11.2%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $135,937,396
Total Liabilities $879,681
Net Assets $135,057,715
Compensation
Key Employees and Officers Compensation Other
David Miller (Pres/Ceo) $160,573 $24,086
Candi Hammett (Vp Finance) $89,464 $13,420
Erin Seabourne (Vp Program Services) $77,102 $11,565
David Bradford (Vp Facilities & Maint) $74,093 $11,114
Barbara Dahl (Vp Comm Rel) $66,576 $10,013
Mary Brecheen (Executive Assistant) $57,430 $8,615
David Perkins (Vp Child Care) $55,517 $0
Lora Jones (Director Of Recreati) $51,913 $7,787
Michael Collins (Maintenance Worker) $51,814 $7,772
Bart Cox (Trustee) $0 $0
Paul Cannon (Sec/Treas) $0 $0
Harris Goldman Napier Ii (Vice Chairman) $0 $0
Bud Darby (Trustee) $0 $0
A L Dusty Rhodes (Trustee) $0 $0
Darlene Stevens (Chairman) $0 $0
Joe Crawford (Trustee) $0 $0
Lee Hamilton (Trustee) $0 $0
Katie Alford (Trustee) $0 $0

Document Links

Fiscal Year Ending June
2019

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$6,744,895
Expenses
$4,696,754
Net Income
$2,048,141
Net Assets
$134,660,939
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $5,833,620
86.5%
Interest Revenue $459,085
6.8%
Dividends $64,966
1.0%
Sales of Assets $0
Other Income $535,107
7.9%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $3,801,801
80.9%
Compensation of Officers* $561,139
11.9%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $135,332,179
Total Liabilities $671,240
Net Assets $134,660,939
Compensation
Key Employees and Officers Compensation Other
David Miller (Pres/Ceo) $149,974 $22,496
David Perkins (Vp Child Care) $112,057 $16,809
Candi Hammett (Vp Finance) $88,426 $13,264
David Bradford (Vp Facilities & Maint) $72,551 $10,883
Erin Seabourne (Vp Program Services) $71,710 $10,756
Barbara Dahl (Vp Comm Rel) $66,421 $9,963
Mary Brecheen (Executive Assistant) $59,076 $8,861
Lora Jones (Director Of Recreati) $52,721 $7,908
Michael Collins (Maintenance Worker) $51,007 $7,651
Bart Cox (Trustee) $0 $0
Paul Cannon (Sec/Treas) $0 $0
Harris Goldman Napier Ii (Vice Chairman) $0 $0
Bud Darby (Trustee) $0 $0
A L Dusty Rhodes (Trustee) $0 $0
Darlene Stevens (Chairman) $0 $0
Joe Crawford (Trustee) $0 $0
Lee Hamilton (Trustee) $0 $0
Katie Alford (Trustee) $0 $0

Document Links

Fiscal Year Ending June
2018

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$6,686,021
Expenses
$4,610,273
Net Income
$2,075,748
Net Assets
$132,550,179
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $4,620,840
69.1%
Interest Revenue $390,943
5.8%
Dividends $164,400
2.5%
Sales of Assets $1,064,985
15.9%
Other Income $444,853
6.7%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $3,781,387
82.0%
Compensation of Officers* $396,481
8.6%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $132,956,868
Total Liabilities $406,689
Net Assets $132,550,179
Compensation
Key Employees and Officers Compensation Other
David Miller (Pres/Ceo) $144,369 $17,324
David Perkins (Vp Child Care) $103,169 $15,475
Candi Hammett (Vp Finance) $81,994 $6,131
David Bradford (Maintenance Supervis) $68,569 $10,285
Barbara Dahl (Vp Comm Rel) $66,949 $10,042
Erin Seabourne (Clinical Director) $53,994 $8,099
Mary Brecheen (Executive Assistant) $52,815 $7,922
Michael Collins (Maintenance Worker) $50,671 $7,601
Lora Jones (Director Of Recreati) $50,240 $7,536
Bart Cox (Trustee) $0 $0
Paul Cannon (Sec/Treas) $0 $0
Harris Goldman Napier Ii (Vice Chairman) $0 $0
Bud Darby (Trustee) $0 $0
A L Dusty Rhodes (Trustee) $0 $0
Darlene Stevens (Chairman) $0 $0
Joe Crawford (Trustee) $0 $0
Lee Hamilton (Trustee) $0 $0
Katie Alford (Trustee) $0 $0

Document Links

Fiscal Year Ending June
2017

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$6,981,306
Expenses
$4,697,873
Net Income
$2,283,433
Net Assets
$33,693,905
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $5,962,240
85.4%
Interest Revenue $296,692
4.2%
Dividends $312,619
4.5%
Sales of Assets -$53,584
Other Income $463,339
6.6%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $3,843,682
81.8%
Compensation of Officers* $462,094
9.8%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $33,859,210
Total Liabilities $165,305
Net Assets $33,693,905
Compensation
Key Employees and Officers Compensation Other
David Miller (Pres/Ceo) $141,223 $21,316
David Perkins (Vp Child Care) $100,325 $14,546
Candi Hammett (Vp Finance) $74,034 $0
Barbara Dahl (Vp Comm Rel) $67,824 $9,671
Bettie Barbieri (Vp Finance) $33,155 $0
Bart Cox (Trustee) $0 $0
Paul Cannon (Trustee) $0 $0
Harris Goldman Napier Ii (Sec/Treas) $0 $0
Grady Barr (Trustee) $0 $0
A L Dusty Rhodes (Trustee) $0 $0
Darlene Stevens (Vice Chairman) $0 $0
Joe Crawford (Chairman) $0 $0
Lee Hamilton (Trustee) $0 $0
Katie Alford (Trustee) $0 $0

Document Links

Fiscal Year Ending June
2016

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$6,266,525
Expenses
$4,128,388
Net Income
$2,138,137
Net Assets
$31,410,472
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $5,099,140
81.4%
Interest Revenue $308,305
4.9%
Dividends $311,793
5.0%
Sales of Assets -$22,694
Other Income $569,981
9.1%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $3,436,022
83.2%
Compensation of Officers* $427,330
10.4%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $31,410,472
Total Liabilities $0
Net Assets $31,410,472
Compensation
Key Employees and Officers Compensation Other
David Miller (Pres/Ceo) $136,173 $20,426
David Perkins (Vp Child Care) $98,199 $14,227
Bettie Barbieri (Vp Finance) $73,302 $10,995
Barbara Dahl (Vp Comm Rel) $64,792 $9,216
Bart Cox (Trustee) $0 $0
Paul Cannon (Trustee) $0 $0
Harris Goldman Napier Ii (Sec/Treas) $0 $0
Grady Barr (Trustee) $0 $0
A L Dusty Rhodes (Trustee) $0 $0
Darlene Stevens (Vice Chairman) $0 $0
Joe Crawford (Chairman) $0 $0
Lee Hamilton (Trustee) $0 $0
Katie Alford (Trustee) $0 $0

Document Links

Fiscal Year Ending June
2015

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$8,121,074
Expenses
$3,683,444
Net Income
$4,437,630
Net Assets
$29,272,335
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $5,576,253
68.7%
Interest Revenue $314,676
3.9%
Dividends $261,163
3.2%
Sales of Assets $1,479,293
18.2%
Other Income $489,689
6.0%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $3,042,112
82.6%
Compensation of Officers* $413,243
11.2%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $29,427,434
Total Liabilities $155,099
Net Assets $29,272,335
Compensation
Key Employees and Officers Compensation Other
David Miller (Pres/Ceo) $132,963 $19,450
David Perkins (Vp Child Care) $93,672 $13,557
Bettie Barbieri (Vp Finance) $71,825 $10,280
Barbara Dahl (Vp Comm Rel) $62,600 $8,896
Bart Cox (Trustee) $0 $0
Paul Cannon (Trustee) $0 $0
Harris Goldman Napier Ii (Sec/Treas) $0 $0
Grady Barr (Trustee) $0 $0
A L Dusty Rhodes (Trustee) $0 $0
Darlene Stevens (Vice Chairman) $0 $0
Joe Crawford (Chairman) $0 $0
Lee Hamilton (Trustee) $0 $0

Document Links

Fiscal Year Ending June
2014

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$7,946,316
Expenses
$3,574,219
Net Income
$4,372,097
Net Assets
$24,834,705
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $6,060,375
76.3%
Interest Revenue $376,440
4.7%
Dividends $202,457
2.5%
Sales of Assets $828,907
10.4%
Other Income $478,137
6.0%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $2,960,982
82.8%
Compensation of Officers* $376,774
10.5%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $24,983,749
Total Liabilities $149,044
Net Assets $24,834,705
Compensation
Key Employees and Officers Compensation Other
David Miller (Pres/Ceo) $122,876 $19,110
David Perkins (Vp Child Care) $85,582 $13,489
Bettie Barbieri (Vp Finance) $62,732 $10,007
Barbara Dahl (Vp Comm Rel) $53,970 $9,008
Bart Cox (Trustee) $0 $0
Paul Cannon (Trustee) $0 $0
Harris Goldman Napier Ii (Trustee) $0 $0
Grady Barr (Trustee) $0 $0
A L Dusty Rhodes (Trustee) $0 $0
Darlene Stevens (Sec/Treasurer) $0 $0
Joe Crawford (Vice Chairman) $0 $0
Lee Hamilton (Chairman) $0 $0

Document Links

Fiscal Year Ending June
2013

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$5,732,617
Expenses
$3,429,238
Net Income
$2,303,379
Net Assets
$20,467,837
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $4,339,606
75.7%
Interest Revenue $310,131
5.4%
Dividends $187,077
3.3%
Sales of Assets $581,572
10.1%
Other Income $314,231
5.5%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $2,666,348
77.8%
Compensation of Officers* $368,373
10.7%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $20,591,627
Total Liabilities $123,790
Net Assets $20,467,837

Document Links

Fiscal Year Ending June
2012

Extracted Financial Data

Extracted Financial Data from Form 990-PF
Revenue
$4,731,237
Expenses
$3,110,110
Net Income
$1,621,127
Net Assets
$18,164,458
Notable Sources of Revenue Percent of Total Revenue
Contributions Received $3,729,356
78.8%
Interest Revenue $286,175
6.0%
Dividends $138,212
2.9%
Sales of Assets $326,501
6.9%
Other Income $250,993
5.3%
Notable Expenses Percent of Total Expenses
Charitable Disbursements $2,335,166
75.1%
Compensation of Officers* $360,165
11.6%
* Officer compensation may be included in charitable disbursements, so Percent of Total Expenses may add up to greater than 100%.
Assets/Debt
Total Assets $18,297,583
Total Liabilities $133,125
Net Assets $18,164,458

Document Links

Fiscal Year Ending June
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 June
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 June
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

Fiscal Year Ending June
2008

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 June
2007

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 June
2006

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 June
2005

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 June
2004

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 June
2003

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 June
2002

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.

In addition to the raw summary data, we link to PDFs and digital copies of full Form 990 documents wherever possible. This consists of separate releases by the IRS of Form 990 documents processed by the agency, which we update regularly.

We also link to copies of audits nonprofit organizations that spent $750,000 or more in Federal grant money in a single fiscal year since 2016. These audits are copied from the Federal Audit Clearinghouse.

Which Organizations Are Here?

Every organization that has been recognized as tax exempt by the IRS has to file Form 990 every year, unless they make less than $200,000 in revenue and have less than $500,000 in assets, in which case they have to file form 990-EZ. Organizations making less than $50,000 don’t have to file either form but do have to let the IRS they’re still in business via a Form 990N "e-Postcard."

Nonprofit Explorer has organizations claiming tax exemption in each of the 27 subsections of the 501(c) section of the tax code, and which have filed a Form 990, Form 990EZ or Form 990PF. Taxable trusts and private foundations that are required to file a form 990PF are also included. Small organizations filing a Form 990N "e-Postcard" are not included in this data.

Types of Nonprofits

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

Get the Data

For those interested in acquiring the original data from the source, here’s where our data comes from:

  • Raw filing data. Includes EINs and summary financials as structured data.
  • Exempt Organization profiles. Includes organization names, addresses, etc. You can merge this with the raw filing data using EIN numbers.
  • Form 990 documents. Prior to 2017, these documents were obtained and processed by Public.Resource.org and ProPublica. Bulk PDF downloads since 2017 are available from the IRS.
  • Form 990 documents as XML files. Includes complete filing data (financial details, names of officers, tax schedules, etc.) in machine-readable format. Only available for electronically filed documents. Electronic data released prior to October 2021 is also available through Amazon Web Services.
  • Audits. PDFs of single or program-specific audits for nonprofit organizations that spent $750,000 or more in Federal grant money in a single fiscal year. Available for fiscal year 2015 and later.

API

The data powering this website is available programmatically, via an API. Read the API documentation »