
GIRAFFE LAUGH INC
GIRAFFE LAUGH INC

GIRAFFE LAUGH INC
Balance Sheet
Fiscal Year Start:
Jan 1
Assets in 2024 (Year End)
$3,049,284
Property, Plant, & Equipment (net)
37%
Receivables (Non-Related)
31%
Cash & Equivalents
21%
Investments
7%
Other Assets
4%
Prepaid Expenses
<1%
Related-Party Receivables
0%
Inventories
0%
Liabilities in 2024 (Year End)
$698,234
Payables & Accruals
75%
Other Liabilities
25%
Grants Payable
0%
Deferred Revenue
0%
Tax-Exempt Bond Liabilities
0%
Custodial & Escrow Liabilities
0%
Notes Payable / Debt (Non-Related)
0%
Related-Party Payables
0%
Assets
2023
2024
Change
Cash & Equivalents
$1,202,017
$641,322
-47%
Receivables (Non-Related)
$304,671
$943,412
+210%
Related-Party Receivables
-
-
-
Inventories
-
-
-
Prepaid Expenses
$14,295
$18,051
+26%
Investments
$186,763
$212,455
+14%
Property, Plant, & Equipment (net)
$82,826
$1,125,934
+1259%
Other Assets
$177,528
$108,110
-39%
Total Assets
$1,968,100
$3,049,284
+55%
Liabilities
2023
2024
Change
Payables & Accruals
$131,571
$521,537
+296%
Grants Payable
-
-
-
Deferred Revenue
-
-
-
Tax-Exempt Bond Liabilities
-
-
-
Custodial & Escrow Liabilities
-
-
-
Notes Payable / Debt (Non-Related)
-
-
-
Related-Party Payables
-
-
-
Other Liabilities
$188,901
$176,697
-6%
Total Liabilities
$320,472
$698,234
+118%
Net assets
2023
2024
Change
Restricted Net Assets
$571,316
$723,187
+27%
Unrestricted Net Assets
$1,076,312
$1,627,863
+51%
Net assets
2023
2024
Change
Net assets
+$1,647,628
+$2,351,050
+43%
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