Statement of Activities

Revenue

Individual Donations $ 3,168,023
Corporate and Foundation Grants $ 852,649
Special Events $ 1,049,040
Investment Return, net $ (306,235)
Other Income $ 39,187

Total Support and Revenue $ 4,802,664

Expenses

Program Services  $ 3,803,195
Fundraising $ 739,688
Management and General $ 175,067

Total Expenses $ 4,717,950

Net Assets

Change in Net Assets $ 84,714
Net Assets Beginning of Year $ 17,083,416

Net Assets End of Year $ 17,168,130

Investments

During fiscal year 2020, CFW defined and prioritized the following factors when investing our assets: 

  1. equal employment
  2. promotion and retention of women, 
  3. equal pay, and; 
  4. workplace policies that favor women (such as family leave and flex time). 

As a result, over 60% of our holdings are now with funds that invest with a gender lens.

Statement of Financial Position

Assets

Cash and Cash Equivalents $ 1,151,061
Investments $ 15,873,502
Receivables $ 276,440
Prepaid Expenses$ 74,261
Fixed Assets (net) $ 21,199

Total Assets $ 17,396,463

Liabilities and Net Assets

Accounts Payable $ 126,553
Accrued Expenses $ 22,727
Deferred Revenue $ 79,053
Net Assets $ 17,396,463

Total Liabilities and Net Assets $ 17,396,463