SIGMA DELTA TAU FOUNDATION INC
Income Statement
Fiscal Year Start:
Jul 1
Revenues in 2025
$954,618
Contributions
81%
Other
7%
Membership Dues
7%
Investments
4%
Government Grants
0%
Fundraising Events
0%
Program Services
0%
Expenses in 2025
$892,726
Grants
74%
Salaries & Benefits
11%
Fees to Service Providers
6%
Advertising & Promotion
4%
Offices, Occupancy & IT
3%
Other
3%
Benefits to Members
0%
Interest
0%
Depreciation
0%
Revenues
2024
2025
Change
Contributions
$707,570
$776,719
+10%
Government Grants
$0
$0
-
Fundraising Events
$0
$0
-
Program Services
$0
$0
-
Membership Dues
$58,885
$70,605
+20%
Investments
$37,471
$36,122
-4%
Other
$29,738
$71,172
+139%
Total Revenues
$833,664
$954,618
+15%
Expenses
2024
2025
Change
Grants
$583,853
$658,123
+13%
Benefits to Members
$0
$0
-
Salaries & Benefits
$96,421
$100,419
+4%
Fees to Service Providers
$62,120
$49,880
-20%
Advertising & Promotion
$30,610
$36,419
+19%
Offices, Occupancy & IT
$25,063
$24,654
-2%
Interest
$0
$0
-
Depreciation
$0
$0
-
Other
$51,169
$23,231
-55%
Total Expenses
$849,236
$892,726
+5%
Net income
2024
2025
Change
Net income
-$15,572
+$61,892
-497%
Functional Expenses
Summary
2024
2025
Change
Program
$646,320
$708,749
+10%
Admin
$134,878
$119,859
-11%
Fundraising
$68,038
$64,118
-6%
Total Expenses
$849,236
$892,726
+5%
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