ST PAUL OF THE CROSS PASSIONIST RETREAT CENTER INC

EIN: 202263326 501(c)(3)

DETROIT, MI

Total Revenue
$1,997,847
Total Expenses
$1,735,341
Total Assets
$5,215,970
Net Assets
$5,029,494
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Financial Vulnerability Assessment (Tuckman-Chang)

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Financial Trends

Organization Details

Formation Year
2004
Legal Domicile
MI
Principal Officer
FR PATRICK BRENNAN CP
Phone
3135359563
Tax Period
2024-07-01 to 2025-06-30

ST PAUL OF THE CROSS PASSIONIST RETREAT CENTER INC, founded in 2004, is a community nonprofit that reported $2.0M in total revenue in fiscal year 2024. Expenses of $1.7M left a modest 13% surplus.

Mission

ST. PAUL OF THE CROSS CONDUCTS PASSIONIST PREACHED WEEKEND RETREATS FOR 24 WEEKENDS AS WELL AS DAYS OF REFLECTION AND SPIRITUAL PROGRAMS.

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Trantor Score

Financial Health Score (300–850) · Liquidity · Solvency · Sustainability · Efficiency

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Liquidity (40%) • Solvency (30%) • Sustainability (20%) • Efficiency (10%)

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Financial Overview (2024)

Revenue Breakdown

Contributions & Grants $1,064,689
Program Service Revenue $588,784
Investment Income $280,484
Other Revenue $63,890
TOTAL REVENUE $1,997,847

Expense Breakdown

Grants Paid $40,000
Salaries & Benefits $554,741
Fundraising Expenses $59,185
Program Expenses $1,494,857
Other Expenses $1,140,600
TOTAL EXPENSES $1,735,341

Year-over-Year Comparison

2024 2023 Change
Revenue $1,997,847 $1,924,562 +0.0%
Expenses $1,735,341 $1,683,135 +0.0%
Net Income $262,506 $241,427 +0.1%
Key Indicators
Grants to Organizations Grants to Individuals Lobbying Political Activity Foreign Activities Donor Advised Fund Schedule B Required
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Financial Health Indicators

Comprehensive financial analysis: Altman Z-Score, liquidity, solvency, sustainability, efficiency, and growth metrics

Financial Distress Indicator

Liquidity & Cash Position

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Altman Z-Score • Liquidity Ratios • Solvency Analysis • Growth Indicators • Efficiency Metrics

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Governance

Voting Members
10
Independent Members
10
Employees
15
Volunteers
13

Governance Policies

Conflict of Interest Policy
Whistleblower Policy
Document Retention Policy

Special Practices & Reported Activities

Operated a School
Operated a Hospital
Provided First Class Travel
Reported Conflict of Interest
Reported Asset Diversion
Excess Benefit Transaction
Made Political Expenditures
Engaged in Lobbying
Operated Donor Advised Fund
Maintained Art Collections
Filed Form 720

Compensation of Officers, Directors & Key Employees

Total Officers
5
$0
Total Directors
10
$0
Key Employees
0
$0
Highest Compensated
0
reported
Name Title Hours/Week Role Reportable Comp Other Comp Total
ROB GALBRAITH TREASURER 1.00
Officer Director
$0 $0 $0
MATT GREENOUGH BOARD MEMBER 1.00
Director
$0 $0 $0
KATIE MONTES SECRETARY 1.00
Officer Director
$0 $0 $0
JIM GENDRON BOARD MEMBER 1.00
Director
$0 $0 $0
BRIAN OWENS BOARD CHAIR 1.00
Officer Director
$0 $0 $0
MARY MARTIN BOARD VICE CHAIR 1.00
Officer Director
$0 $0 $0
PATTY GILLIS BOARD MEMBER 1.00
Director
$0 $0 $0
APRYL VONER BOARD MEMBER 1.00
Director
$0 $0 $0
KEIR WARD BOARD MEMBER 1.00
Director
$0 $0 $0
SANDRA ARNOULD BOARD MEMBER 1.00
Director
$0 $0 $0
FR PATRICK BRENNAN RETREAT DIRECTOR 35.00
Officer
$0 $0 $0
Note: Compensation data is self-reported by the organization on their Form 990. "Reportable Comp" includes salary, bonuses, and other reportable compensation from the organization and related organizations. "Other Comp" includes benefits, deferred compensation, and non-taxable benefits.

Historical Data

Year Revenue Expenses Assets Net Income
2025 $1,997,847 $1,735,341 $5,215,970 $262,506
2024 $1,924,562 $1,683,135 $4,956,425 $241,427
2023 $2,273,833 $1,520,388 $4,770,234 $753,445
2022 $1,590,376 $1,325,370 $3,944,040 $265,006
2021 $1,946,488 $1,153,325 $3,629,093 $793,163
2020 $1,507,185 $1,373,078 $2,914,935 $134,107
2019 $1,710,200 $1,436,004 $2,686,778 $274,196
2018 $1,624,127 $1,441,494 $2,434,302 $182,633
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