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Railway Supply Institute
Snapshot
Financials
Compensation
Staff
Meetings
Publications
Advocacy
Contractors
2024
2023
2022
2021
Revenue:
$3,943,096
Revenue:
Amount ($)
Federal Campaigns
0
Membership Dues
0
Fundraising Events
0
Related Organizations
0
Government Grants
0
All other contributions, gifts, grants
0
MEMBERSHIP DUES
1,012,665
COMMITTEE ASSESSMENTS
1,727,257
ANNUAL CONFERENCE
897,636
Investment income
71,235
Net gain or (loss)
150,053
Miscellaneous revenue
84,250
Total Revenue:
$3,943,096
1-yr growth
-3.67%
MEMBERSHIP DUES
COMMITTEE ASSESSMENTS
ANNUAL CONFERENCE
Investment income
Net gain or (loss)
Miscellaneous revenue
Expenses:
$3,789,477
Expenses:
Amount ($)
Management fees
1,222,747
Legal fees
24,000
Accounting fees
16,200
Lobbying fees
434,264
Investment management fees
14,550
Other fees
892,490
Office expenses
25,023
Information technology
160,552
Travel
54,231
Conferences, conventions, meetings
240,387
Insurance
9,807
Other expenses
695,226
Total Expenses:
$3,789,477
1-yr growth
7.02%
Management fees
Legal fees
Accounting fees
Lobbying fees
Other fees
Office expenses
Information technology
Travel
Conferences, conventions, meetings
Other expenses
Others
Assets:
$3,411,257
Assets:
Amount ($)
Cash -- non-interest bearing
669,278
Accounts receivable
221,481
Prepaid expenses or deferred charges
135,918
Investments in publicly traded securities
2,384,580
Total Assets:
$3,411,257
1-yr growth
-7.10%
Cash -- non-interest bearing
Accounts receivable
Prepaid expenses or deferred charges
Investments in publicly traded securities
Liabilities:
$862,614
Liabilities:
Amount ($)
Accounts payable and accrued expenses
325,195
Deferred revenue
497,157
Other liabilities
40,262
Total Liabilities:
$862,614
1-yr growth
-44.97%
Accounts payable and accrued expenses
Deferred revenue
Other liabilities
Net Assets:
$2,548,643
Net Assets:
Amount ($)
Net assets without donor restrictions
2,548,643
Net assets with donor restrictions
0
Total Net Assets:
$2,548,643
1-yr growth
6.07%
Net assets without donor restrictions
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