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2025-03-31-accounts

SPIRIT OF SOCCER, INC.

FINANCIAL STATEMENTS

APRIL l, 2024 - MARCH 31, 2025

CONTENTS

Compilation Report .................................................................................................................................. 1 Statement of Assets, Liabilities and Net Assets - Cash Basis US Dollars .................................................................................................................................................. 2 Statement of Revenues, Expenses and Changes in Net Assets - Cash Basis, US Dollars ............................................................................................................................. 3 Statement of Assets, Liabilities and Net Assets - Cash Basis Pounds .................................................................................................................................. 4 Statement of Revenues, Expenses and Changes in Net Assets - Cash Basis Pounds .................................................................................................................................. 5 Notes . ........................................................................................................................................................ 6

Spirit of Soccer, Inc.

Spirit of Soccer, Inc. Johnstown, Pennsylvania

I have compiled the accompanying statement of assets, liabilities and net assets - cash basis of Spirit of Soccer, Inc. as of March 31, 2024, and the related statement of revenues, expenses, and changes in net assets - cash basis for the period running April 1, 2024 to March 31, 2025. The statements have been prepared on the cash basis of accounting, which is a comprehensive basis of accounting other than generally accepting accounting principles.

A compilation is limited to present in the form of financial statements information that is the representation of management.

Laurie Helsel

Independent Financial Advisor

January 17, 2026

SPIRIT OF SOCCER, INC.

Johnstown, Pennsylvania

STATEMENT OF REVENUES, EXPENSES AND CHANGES

IN NET ASSETS - CASH BASIS - US Dollars

For period ending March 31, 2025

ASSETS

CURRENT ASSETS Cash ~~$~~ 328,734 TOTAL CURRENT ASSETS 328,734 LIABILITIES AND NET ASSETS NET ASSETS Unrestricted Net Assets 328,734 TOTAL NET ASSETS 328,734 TOTAL LIABILITIES AND NET ASSETS ~~328,734~~

LIABILITIES AND NET ASSETS

SPIRIT OF SOCCER, INC.

Johnstown, Pennsylvania

STATEMENT OF REVENUES, EXPENSES AND CHANGES

IN NET ASSETS - CASH BASIS - US Dollars

For period ending March 31, 2025

REVENUES

REVENUES
U.S.Department of State Grants $ 2,020,000
Other Grants & Contributions 36,618
TOTAL REVENUES
$2,056,618
EXPENSES
Program Services $ 1,822,017
Management and General 119,824
TOTAL EXPENSES $ 1,941,841
CHANGE IN NET ASSETS 114,777
Net Assets, March 31, 2024 213,957
Net Assets, March 31, 2025 328,734

SPIRIT OF SOCCER, INC.

Johnstown, Pennsylvania

STATEMENT OF REVENUES, EXPENSES AND CHANGES

IN NET ASSETS - CASH BASIS - POUNDS

For period ending March 31, 2025

ASSETS

CURRENT ASSETS Cash 210,928 TOTAL CURRENT ASSETS 210,928

LIABILITIES AND NET ASSETS

NET ASSETS

Unrestricted Net Assets 210,928 TOTAL NET ASSETS 210,928 TOTAL LIABILITIES AND NET ASSETS 210,928

SPIRIT OF SOCCER, INC.

Johnstown, Pennsylvania

STATEMENT OF REVENUES, EXPENSES AND CHANGES

IN NET ASSETS - CASH BASIS - POUNDS

For period ending March 31, 2025

REVENUES

REVENUES
U.S. Department of State Grants $ 1,474,600
Other Grants & Contributions 26,731
TOTAL REVENUES $ $1,501,331
EXPENSES
Program Services $ 1,330,054
Management and General 87,481
TOTAL EXPENSES $ 1,417,535
CHANGE IN NET ASSETS 83,796
Net Assets, March 31, 2024 127,132
Net Assets, March 31, 2025 210,928