PIEDMONT PLAYERS THEATRE INC

EIN: 560766762 501(c)(3) Arts, Culture & Humanities

SALISBURY, NC

Total Revenue
$656,862
Total Expenses
$711,102
Total Assets
$1,878,314
Net Assets
$1,674,180
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Financial Vulnerability Assessment (Tuckman-Chang)

4 risk indicators measuring financial stability and operational resilience

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Financial Trends

Organization Details

Formation Year
1962
Legal Domicile
NC
Tax Period
2023-09-01 to 2024-08-31

PIEDMONT PLAYERS THEATRE INC, founded in 1962, is a small nonprofit in the Arts, Culture & Humanities sector that reported $657K in total revenue in fiscal year 2023. Revenue fell 26% from the prior year — a significant decline worth monitoring. Net assets of $1.7M represent 31 months of operating reserves.

Mission

AMATEUR THEATRICAL PRODUCTIONS AND DRAMA EDUCATION FOR ELEMENTARY AND SECONDARY SCHOOLS AND THE SURROUNDING COMMUNITY.

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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 (2023)

Revenue Breakdown

Contributions & Grants $256,905
Program Service Revenue $277,457
Investment Income $0
Other Revenue $122,500
TOTAL REVENUE $656,862

Expense Breakdown

Grants Paid $0
Salaries & Benefits $144,993
Fundraising Expenses $16,988
Program Expenses $655,901
Other Expenses $566,109
TOTAL EXPENSES $711,102

Year-over-Year Comparison

2023 2022 Change
Revenue $656,862 $881,911 -0.3%
Expenses $711,102 $782,267 -0.1%
Net Income $-54,240 $99,644 -1.5%
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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Governance

Voting Members
14
Independent Members
14
Employees
5
Volunteers
N/A

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
4
$0
Total Directors
10
$0
Key Employees
0
$0
Highest Compensated
0
reported
Name Title Hours/Week Role Reportable Comp Other Comp Total
ANDREW PRATER BOARD MEMBER 0.00
Director
$0 $0 $0
DAN T MIKKELSON BOARD MEMBER 0.00
Director
$0 $0 $0
ASHLEY MEDINA BOARD MEMBER 0.00
Director
$0 $0 $0
JJ ZERINGUE BOARD MEMBER 0.00
Director
$0 $0 $0
DALE WATERS BOARD MEMBER 0.00
Director
$0 $0 $0
CONNIE SENKOWSKI BOARD MEMBER 0.00
Director
$0 $0 $0
JOHN GRUBB BOARD MEMBER 0.00
Director
$0 $0 $0
MOLLY BRONSON BOARD MEMBER 0.00
Director
$0 $0 $0
TAYLOR HUTCHINS BOARD MEMBER 0.00
Director
$0 $0 $0
JENNY HUBBARD BOARD MEMBER 0.00
Director
$0 $0 $0
LEAH CAMPION VICE PRESIDENT 0.00
Officer
$0 $0 $0
SUE JENNINGS SECRETARY 0.00
Officer
$0 $0 $0
EDWARD NORVELL PRESIDENT 0.00
Officer
$0 $0 $0
MARVIN KING TREASURER 0.00
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
2024 $656,862 $711,102 $1,878,314 $-54,240
2023 $881,911 $782,267 $1,948,116 $99,644
2022 $627,123 $791,292 $2,127,514 $-164,169
2021 $395,341 $471,590 $2,316,388 $-76,249
2020 $668,814 $796,268 $2,414,612 $-127,454
2019 $714,276 $805,324 $2,623,010 $-91,048
2018 $664,646 $775,008 $2,608,326 $-110,362
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