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SARASVATI DRAMATIC THEATRE PRODUCTIONS AND REPERTORY INC.


Year End
 

 Summary

 
Type of Org Charitable Organization
Category Cultural Activities and Promotion of the Arts
Business Registration Number 889942017RR0001
Status Active
Website WWW.SARASVATI.CA
Mailing Address 242 CATHEDRAL AVE
WINNIPEG, MB
R2W0X3

Revenue & Total Expenditures

Areas of Operation

Festivals, performing groups, musical ensembles 80 %
Write a description if this section applies 20 %

Information added by the charity

No additional information has been added by the charity


Historic Annual Reports
No annual reports have been shared with CharityFocus.

Historic Financial Statements
No financial statements have been shared with CharityFocus.

Supplemental Documents
No supplemental documents have been shared with CharityFocus.

Please note the organization's description will appear in the language in which it was submitted to the CRA.

New Programs


(As submitted by the charity to the Canada Revenue Agency)


Ongoing Programs


(As submitted by the charity to the Canada Revenue Agency)

1. Providing opportunities for playwrights to develop new works and refine theatrical pieces for future productions through readings and workshops. 2. Producing theatrical works that elicit dialogue; in theatres and touring to schools and community venues. 3. Providing opportunities for mentorship and raining for emerging artists. 4. Operating FemFest, a festival for women playwrights, which brings together touring work and local artists, as well as workshops for both artists and the public.

 

 Financials

 
Type of accounting used Accrual

Assets for Period Ending 2012-10-31

Short-term assets $944
Accounts receivable from non-arm's length parties
Accounts receivable from other parties $6,866
Investments in non-arm's length parties
Long-term investments
Inventories $8,000
Land and buildings in Canada
Other capital assets in Canada
Capital Assets outside of Canada
Accumulated amortization
Other Assets
Total Assets $15,810
Amount of capital and other assets not used in charitable programs

 

Liabilities for Period Ending 2012-10-31

Accounts payable/accrued liabilities $7,406
Deferred revenue $7,509
Amounts owing to non-arm's length parties
Other liabilities
Total liabilities $14,915

 

Revenue for Period Ending 2012-10-31

Total donations for which tax receipts were given $26,574
Total amount received from other charities $16,028
Total specified gifts from other charities
Total donations without tax receipts
Total received from the federal government $33,062
Total received from provincial/territorial government $12,713
Total received from municipal/regional government $16,635
Total received from government
Total received from all sources outside of Canada
Investment Income $1,523
Gross proceeds from disposition of assets
Net proceeds from disposition of assets
Gross income from rental of land or property
Non-tax receipted revenue from membership and association dues
Non-tax receipted revenue from fundraising $6,449
Revenue from sale of goods (not to government) $55,872
Other revenue $51,690
Sources of other revenue sponsorships an in-kind donations
Total Revenue $220,546

 

Expenditures Before Gifts to Qualified Donees
for Period Ending 2012-10-31

Advertising and promotion $64,679
Travel and vehicle $8,751
Interest and bank charges $532
Licenses, memberships and dues $100
Office supplies and expenses $3,672
Occupancy costs $18,793
Professional and consulting fees $96,115
Training and education for staff and volunteers $95
Total expenditure on compensation $19,946
Fair market value of donated goods
Cost of all purchased supplies and assets $7,859
Amortization of capitalized assets
Expenditure for research grants and scholarships (part of charitable programs)
Other expenditures
Sources of other expenditures
Total expenditures before gifts to qualified donees $220,541

 

Break-down of Expenditures for Period Ending 2012-10-31

Amount spent on charitable programs $212,715
Amount spent on management and administrations $4,983
Fundraising expenses $2,844
Political activities expense
Other expenses
Gifts to qualified donees
Total Expenditures $220,541
 

 People

 
Number of Permanent, full time paid employees

Top 10 compensated employees paid:

$1-$39,999 1
$40,000-$79,999
$80,000-$119,999
$120,000-$159,999
$160,000-$199,999
$200,000-$249,999
$250,000-$299,999
$300,000-$349,999
$350,000+

Number of part-time or seasonal employees 4
Total compensation for part-time employees $26,198
Total compensation for the organization $26,198

Directors/Trustees and Like Officials

Director's Name Position At Arm's Length
Kevin S BucknerDirector
Andrea J GearyTreasurer
Rose-Anne L HarderPast President
Patrick M McCauleySecretary
Noreen S MianDirector
Janet TaylorPresident
Richard M BeamishDirector
Cora E DupuisDirector
Anna K WeirDirector

 

 Fundraising

 
Total Fundraising Expenditure $2,844

Fundraising activities carried out by the organization:

  • Collection plate/boxes
  • Draws/lotteries
  • Fundraising dinners/galas/concerts
  • Fundraising sales
  • Internet
  • Mail campaigns
  • Targeted corporate donations/sponsorships
  • Targeted contacts

Did organization pay external fundraisers? No
Gross revenue generated by fundraiser
Amount paid to fundraiser
Method of payment for fundraiser

 

 International

 

This charity did not engage in international activities

 

 News

 
Retrieving Data
​Please note: All financial information on this page comes directly from the Canada Revenue Agency's Charities Directorate. We do not make any attempt to correct or change information we receive. If you are associated with a charity and you notice an error, please see the Charity Directorate's site on how to Amend the T3010 information return (http://www.cra-arc.gc.ca/chrts-gvng/chrts/prtng/rtrn/mndng-eng.html). Please see our terms of use (http://www.charityfocus.ca/EN/Pages/terms-of-use.aspx) for more information.
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