2013 1121 November Board Agenda
Transcription
2013 1121 November Board Agenda
THE COMMUNITY FOUNDATION OF GRANT COUNTY – BOARD MEETING AGENDA THURSDAY, NOVEMBER 21, 2013 - 11:30 A.M. – 1:00 P.M. @ MESHINGOMESIA COUNTRY CLUB Next Board Meeting Thursday, January 19, 2013 @ 11:30 a.m. – 1:00 p.m. @ Meshingomesia Country Club ~MISSION~ THE COMMUNITY FOUNDATION CONNECTS PEOPLE, RESOURCES, AND CAUSES TO PROMOTE SUSTAINABLE IMPACT TOWARDS THE BETTERMENT OF GRANT COUNTY. ~TAGLINE~ CONNECTING PEOPLE WHO CARE WITH CAUSES THAT MATTER. ~Lunch will be served upon arrival~ 1. CALL TO ORDER, ASSURANCE OF QUORUM/NOTICE OF ATTENDANCE DEFICIENCY—President, Marty Harker 2. CONSENT AGENDA ITEMS: (Motion) a. Approve minutes of the October 17, 2013 Board Meeting [See attached] b. Permanently remove Financials from the Consent Agenda. c. Approve Fund Distributions [See attached] d. Close Fund: Close COMMUNITY THANKSGIVING DAY DINNER FUND (Pass-Through) as recommended by the Compliance Committee. Check sent for $2428.04 for the 2013 Thanksgiving Dinner. d. Reopen Fund: Re-open GILEAD MINISTRIES FUND (Endowed) to support Gilead Ministries. Fund opened with $5,000 donation. e. New Fund: Open the PSI IOTA XI PASS-THROUGH SCHOLARSHIP FUND as recommended by the Compliance Committee to provide grants for Grant County students pursing higher education who (a) have speech or hearing impairments, (b) are entering a career in speech or hearing, or (c) are majoring in music and/or art. f. Grant Recommendations: # Organization 1 2 3 Hands of Hope Fairmount Christmas Decorations Junior Achievement 4 GROW Nurses 5 Circles of Grant County Sweetser Switch Trail $9,500 $7,500 Carpenter $6,000 $6,000 Irving The Crossing Education Center $6,008 $6,008 Sanborn 6 7 Requested $19,458 $4,900 Awarded Awarded From $19,458 Harrison $3,500 Pulley, Gottschalk $5,130 $5,130 Sanborn $5,695.81 $5,695.81 Sanborn Reason if not Funded or Conditions to be met **Foundation will pay the invoice *Contingent upon receiving Bicentennial grant 1 of 44 3. REPORTS—BOARD ACTION REQUIRED: a. TREASURER KAREN BEHNKE—Approve October 2013 Financials [see attached]—MOTION NEEDED b. FINANCE COMMITTEE—COMMITTEE MEMBER KAREN BEHNKE WITH CFO SHERRI RUSH PRESENTING 1. The final results for both audits/990’s— MOTION NEEDED TO ACCEPT AUDIT 2. Rick Harris Life Insurance Policy Recommendation—MOTION NEEDED TO ACCEPT 4. REPORTS—NO BOARD ACTION REQUIRED a. COMPLIANCE COMMITTEE—CHAIR KAREN BEHNKE will report on progress of bylaws revision portion of strategic plan. b. DISTRIBUTION COMMITTEE—CHAIR JOHN JONES—Board Action on any grants moved out of the Consent Agenda due to Board Member Conflict of Interest—MOTION NEEDED c. SCHOLARSHIP COMMITTEE—CHAIR CHAD LEIGHTY--UPDATE d. EXECUTIVE COMMITTEE – PRESIDENT MARTY HARKER e. EXECUTIVE DIRECTOR’S REPORT—DAWN BROWN--The Pulse f. STRATEGIC PLANNING— 1. Strategic Planning Progress Chart [See attached] 2. Impact Model Concept – Develop and Test different models [See attached] 5. ADDITIONAL BUSINESS 6. PRESIDENT’S REMARKS 7. ADJOURNMENT 2 of 44 BOARD MEETING - MINUTES OF MEETING – OCTOBER 17, 2013 BOARD OF DIRECTORS THE COMMUNITY FOUNDATION OF GRANT COUNTY, INDIANA, INC. MESHINGOMESIA COUNTRY CLUB DIRECTORS PRESENT: Marty Harker, Mary Eckerle, Dru McCoy, Karen Behnke, Dave Raabe, Kyle Persinger, Chad Leighty, Jackie Certain, Georgette Miller, Chris Oliver, Judy Fitzgerald, Reggie Nevels, Steve Wampner, Janet Barnett, Mike Falder, Nedra Sutter, Mike Cline DIRECTORS ABSENT: John Jones, Dennis Banks, Jane Merchant, CF TEAM MEMBERS PRESENT: Dawn Brown, Sherri Rush, Ashley McKnight, Deb Williams 1. A quorum being present, the meeting was called to order at 11:36 am by President Marty Harker. Marty mentioned that Jane Merchant had surgery and will be out for 6-8 weeks. The Foundation sent her flowers on behalf of the Board and Staff. 2. It was moved to approve the Consent Agenda a-h. Motion carried. CONSENT AGENDA ITEMS: a. Approve minutes of the August 15, 2013 Board Meeting [See attached] b. Approve Fund Distributions [See attached] c. Close Fund: Approve distribution of $45,696.70 to close out the Episcopal Church Children’s Health Care PassThrough Fund as approved by the Compliance Committee. d. Close Fund: Approve closure of Community Disaster Relief Fund with remaining $102.17 placed in the Administrative Endowment due to lack of fund activity as recommended by the Compliance Committee. e. Reopen Fund: Approve the reopening of Ramie’s Run Non-Permanent Fund to support the health, wellness, and fitness of youth in Grant County, Indiana. f. New Fund: Approve the Thomas F. Helvie Memorial Scholarship Fund to provide scholarships to Mississinewa High School graduates majoring in Science, Technology, Engineering, and Math as recommended by the Compliance Committee. g. Fund Name Change: Change from Marion Lions Club Scholarship Fund to the Marion Lions Club Von Pinkerton Scholarship Fund as recommended by the Executive and Compliance Committees. h. Proactive Grant: Approve a proactive grant of up to $5,000 toward marketing for a Job Fair to be held in October and organized by Ivy Tech, VIA Credit Union, the Chamber of Commerce and multiple other community partners as approved by the Executive and Distribution Committees. 3. TREASURER KAREN BEHNKE made a motion to approve August 2013 Financials [see attached]. Motion carried. 4. TREASURER KAREN BEHNKE made a motion to approve September 2013 Financials [see attached]. Motion carried. 5. COMPLIANCE COMMITTEE—CHAIR KAREN BEHNKE reported on progress with bylaws as part of the strategic plan. 6. CHIEF FINANCIAL OFFICER REPORT – SHERRI RUSH reported on new quarterly reports that will be sent to fund advisors. [See attached] 7. EXECUTIVE DIRECTOR’S REPORT—DAWN BROWN reported on the publishing of the Annual Report, the new website, the Pulse, the Text to Donate survey and the Transfer of Wealth study. Additionally she gathered feedback on the End of Summer Celebration including: Schedule early as not to conflict with other events. Try 5-7 instead of 4-6. Possibly having a donor match next year if they attend. Like the concept of appreciating our donors, the target group for this event. It gave us more time to interact with our donors one-on-one. Possibly have some thank-you announcement during the event, even if it is an open house concept. Talk it up more in the media. 3 of 44 BOARD MEETING - MINUTES OF MEETING – OCTOBER 17, 2013 BOARD OF DIRECTORS THE COMMUNITY FOUNDATION OF GRANT COUNTY, INDIANA, INC. MESHINGOMESIA COUNTRY CLUB 8. STRATEGIC PLANNING—We reviewed the results of the community priorities survey and did a SWOT Analysis of moving to funding projects that have a sustainable impact. STRENGTHS: We can designate funds for a specific purpose, we could build up stronger relationships with other community partners, we could attract more donors. WEAKNESSES: If we don’t see the project through it could be problematic, if we focus on only one area then we aren’t focusing on other areas, monitoring the expenditures of such large grants, being mindful of the entire county. OPPORTUNITIES: Choosing a relevant impact area. 9. With no further business, the meeting was adjourned at 12:45 pm. Attest: ______________________________________________________________________________________ Secretary Date 4 of 44 Distributions to be Approved by the Board of Directors (Endowment funds in blue; Pass-Through funds in orange) Gas City Veteran’s Monument Fund - Support for a veterans' monument to be erected on city hall property in Gas City. • 10/18/13 $575.55 Payable to Gas City Garfield Project for brick pavers GM Foundation Fund for Educational Excellence - To provide support to Marion Community Schools. • • 10/28/13 $2,159.86 10/28/13 562.82 prep study guides Payable to Amazon for advanced placement testing prep study guides Payable to D&S Marketing Systems, Inc. for advanced placement testing Ramie’s Run Fund - To support the health, wellness, and fitness of youth in Grant County, Indiana. • • 11/13/13 11/13/13 $252.00 703.50 Payable to IMG for event insurance Payable to T&T Sales & Promotions for t-shirts and a banner Rescue Mission – Thanksgiving Meal Temporary Fund - To support the Rescue Mission's partnership with the Thanksgiving Meal. • 10/28/13 $2,428.04 Payable to Community Thanksgiving Day Dinner to close the fund S.O.S. Historic Preservation Fund - To support the operations of S.O.S. including, but not limited to, assisting with and recognizing preservation efforts, bringing recognition to historic structures in our community, and educational opportunities to expose the community to preservation efforts. • • 10/28/13 10/28/13 $400.00 44.00 Payable to IRS for filing fee for Form 1023 Payable to Postmaster for post office box rental Special Projects Fund - To support special projects and initiatives taken on by the Foundation. • 11/13/13 $1,400.00 Payable to Community Thanksgiving Day Dinner for pass-through grant from Fairmount Round Robins 5 of 44 MINUTES OF MEETING – NOVEMBER 6, 2013 DISTRIBUTION COMMITTEE THE COMMUNITY FOUNDATION OF GRANT COUNTY, INDIANA, INC. FOUNDATION BOARD ROOM DIRECTOR’S PRESENT: John Jones, Dru McCoy, Steve Wampner, Jane Merchant, Judy Fitzgerald, Reggie Nevels, Nedra Sutter, Kyle Persinger DIRECTOR’S ABSENT: Trent Dailey CF STAFF PRESENT: Ashley McKnight, Dawn Brown, Sherri Rush, Shelly Jones (Intern) 1. 2. 3. 4. A quorum being present, the meeting was called to order at 11:00 am by Chair, John Jones. It was moved to approve the minutes from August 12, 2013 and September 5, 2013 (Motion carried) Ashley and Dawn reported on Final Grant Report Successes Chair John Jones informed the committee that the following monies were available for distribution: o Community Impact Fund o Total Discretionary less grants and scholarships o Total Field of Interest less grants and scholarships Total 5. Motions were made to approve grant requests 1-8 below. Motions carried. # Organization 1 2 Hands of Hope Fairmount Christmas Decorations Junior Achievement GROW Nurses Energize ECI, Inc. 3 4 5 6 7 8 Total Requested Monies 6. $73,433 $42,204 $63,751 $179,388 Circles of Grant County Sweetser Switch Trail The Crossing Education Center Requested $19,458 $4,900 $5,130 $5,695.81 $5,000 Awarded Awarded From $19,458 Harrison $3,500 Pulley, Gottschalk $5,130 Sanborn $5,695.81 Sanborn $0 NA $9,500 $7,500 Carpenter $6,000 $6,000 Irving $6,008 $6,008 Sanborn $61,692 Reason if not Funded or Conditions to be met **Foundation will pay the invoice More economic development vs. community development *Contingent upon receiving Bicentennial grant 53,291.81 With no further business, meeting adjourned 1:08 p.m. 6 of 44 The Community Foundation of Grant County, Indiana, Inc. Consolidated Financial Statement Financial Position: Combined Balance October 31, 2013 Oct-13 1 2 3 4 5 6 7 8 9 10 11 12 Oct-12 ASSETS Cash Assets in Endowment Pool Assets in Non-Perm Pool Accounts Receivable Pledges Receivable Tuition Loan Prepaid Expenses Cash Surrender Value - Life Ins Building/Equipment/Furnishings (net accum depreciat Garfield Garden (net accum depreciation) Whiteridge Lots 574,783.97 18,567,453.60 286,011.64 (12,747.52) 2,500.00 12,600.00 4,793.74 17,795.85 211,285.68 85,395.40 0.00 499,564.41 16,680,172.42 480,410.75 0.00 2,500.00 16,800.00 4,938.11 17,795.85 189,947.09 84,627.05 38,000.00 TOTAL ASSETS 19,749,872.36 18,014,755.68 69.00 0.00 14,769.73 87,591.66 2,125.00 11,498.22 14,838.73 101,214.88 577,906.05 (15,657.15) 553,287.85 (28,964.41) 562,248.90 524,323.44 327,012.75 (8,126.09) 305,207.46 5,471.92 318,886.66 310,679.38 334,626.15 (46,166.95) 609,236.60 (143,117.51) 288,459.20 466,119.09 13 14 15 LIABILITIES Grants Payable 18 Adm. Expenses Payable 19 Annuities Payable 16 17 20 21 TOTAL LIABILITIES 22 FUND BALANCE - ANNUAL/OPERATING Fiscal Year Beginning Balance 25 YTD Changes to Balance 23 24 26 27 Ending Balance 28 FUND BALANCE - CAPITAL DEVELOPMENT Fiscal Year Beginning Balance 31 YTD Changes to Balance 29 30 32 33 Ending Balance 34 FUND BALANCES - NON-PERM Fiscal Year Beginning Balance 37 YTD Changes to Balance 35 36 38 39 Ending Balance 40 FUND BALANCES - ENDOWMENT Fiscal Year Beginning Balance 43 YTD Changes to Balance 41 42 17,946,585.55 618,853.32 17,306,024.60 (693,605.71) 18,565,438.87 16,612,418.89 19,749,872.36 18,014,755.68 44 45 Ending Balance 46 47 TOTAL FUND BALANCES AND LIABILITIES 7 of 44 The Community Foundation of Grant County, Indiana, Inc. Operating Statement Annual Fund For The Period Ending October 31, 2013 Actual Current Month Actual YTD Total Budget Remaining Budget % of Budget REVENUES: 1 2 3 4 5 6 Donations Management Fees (Qtly) Interest on Deposits Rent Income - CVB Interfund Gifts Other Income a (10,987.20) 2,759.41 151.26 0.00 0.00 3,410.52 (11,537.52) 83,495.35 635.35 0.00 0.00 8,417.74 0.00 308,000.00 2,000.00 3,600.00 630.00 26,737.00 11,537.52 224,504.65 1,364.65 3,600.00 630.00 18,319.26 0.00 27.11 31.75 0.00 0.00 31.48 TOTAL REVENUES Spending Policy (Qtly) (4,666.01) 0.00 81,010.92 5,690.31 340,967.00 24,470.00 259,956.08 18,779.69 23.76 23.25 TOTAL AVAILABLE (4,666.01) 86,701.23 365,437.00 278,735.77 23.73 15,153.86 622.96 282.50 1,127.23 60,615.44 1,719.61 1,130.00 4,509.90 203,151.00 10,582.00 4,126.00 15,541.00 142,535.56 8,862.39 2,996.00 11,031.10 29.84 16.25 27.39 29.02 17,186.55 67,974.95 233,400.00 165,425.05 29.12 962.89 612.60 0.00 30.00 0.00 64.20 2,493.45 1,700.68 1,072.91 121.00 695.00 461.09 5,400.00 4,800.00 3,110.00 700.00 0.00 500.00 2,906.55 3,099.32 2,037.09 579.00 (695.00) 38.91 46.17 35.44 34.50 17.29 0.00 92.20 1,669.69 6,544.13 14,510.00 7,965.87 45.10 350.65 454.84 0.00 1,408.33 3,316.42 32.00 3,700.00 9,000.00 1,890.00 2,291.67 5,683.58 1,858.00 38.05 36.84 1.69 TOTAL OCCUP 805.49 4,756.75 14,590.00 9,833.25 32.60 RESOURCE & DEVELOPMENT Insurance - Board Life Dues & Subscriptions Reference Library Printing/Development Stationery/Supplies Travel & Conference Meetings - Board/Committee Meetings - Donor Development Seminars and Workshops 0.00 30.00 205.27 0.00 0.00 539.41 811.59 0.00 0.00 790.00 566.00 257.76 875.00 1,680.00 1,804.46 1,503.73 57.88 0.00 1,380.00 6,500.00 200.00 3,200.00 1,500.00 4,000.00 4,500.00 600.00 1,500.00 590.00 5,934.00 (57.76) 2,325.00 (180.00) 2,195.54 2,996.27 542.12 1,500.00 57.25 8.71 129.00 27.34 112.00 45.10 33.42 9.67 0.00 1,586.27 7,534.83 23,380.00 7 8 9 10 11 12 13 14 EXPENSES: 15 PERSONNEL Salaries 18 Insurance 19 Retirement Contribution 20 Payroll Taxes Expense 16 17 21 22 TOTAL PERSONNEL 23 24 25 26 27 28 29 30 ADMINISTRATIVE COSTS Office Supplies Postage & Shipping Telephone Bank and Online Fees Youth Grants (adj from FY2012) Miscellaneous Administrative b c 31 32 TOTAL ADMIN 33 OCCUPANCY Utilities 36 Maintenance 37 Insurance - Business 34 35 38 39 40 41 42 43 44 45 46 47 48 49 50 d e 51 52 TOTAL RESOURCE & DEV 15,845.17 32.23 8 of 44 53 54 55 56 57 58 59 MARKETING Annual Donor Event Expense Annual Report Advertisement & Promotion Newsletter Website 380.41 5,693.16 1,068.47 0.00 117.00 1,245.40 5,693.16 1,118.47 0.00 117.00 3,000.00 7,600.00 1,500.00 1,100.00 3,200.00 1,754.60 1,906.84 381.53 1,100.00 3,083.00 41.50 74.91 74.53 0.00 3.66 7,259.04 8,174.03 16,400.00 8,225.97 49.84 0.00 0.00 125.00 134.17 0.00 300.00 7.14 0.00 0.00 887.50 402.51 0.00 625.00 7.14 200.00 25,000.00 400.00 1,253.00 933.00 1,500.00 50.00 200.00 25,000.00 (487.50) 850.49 933.00 875.00 42.86 0.00 0.00 222.00 32.16 0.00 41.67 14.00 TOTAL COMPLIANCE 566.31 1,922.15 29,336.00 27,413.85 6.55 EQUIPMENT Office Equipment Expense Software and IT Support Service Contracts Profiles Update Depreciation Expense 0.00 165.00 830.36 0.00 121.19 159.95 2,503.97 2,302.86 0.00 484.76 600.00 9,500.00 8,100.00 2,000.00 5,102.00 440.05 6,996.03 5,797.14 2,000.00 4,617.24 26.67 26.36 28.43 0.00 9.51 TOTAL EQUIPMENT 1,116.55 5,451.54 25,302.00 19,850.46 21.55 TOTAL EXPENSES 30,189.90 102,358.38 356,918.00 254,559.62 28.68 (34,855.91) (15,657.15) f g 60 61 TOTAL MARKETING 62 63 64 65 66 67 68 69 70 COMPLIANCE Accounting Services Audit/990/Consultation Legal Services Insurance - D/O Liability Insurance - Workers Comp Interstate Solicitation Misc. Compliance Expense h 71 72 73 74 75 76 77 78 79 80 81 82 83 84 85 NET REVENUES a b c d e f g h Correction of grant from Lilly Endowment Inc. for intern program deposited to wrong fund. Over budget Under budgeted item Reference material for Office Coordinator Mileage reimbursement Printing and CT insertion Drink tumblers Under budgeted item 9 of 44 COMMUNITY FOUNDATION OF GRANT COUNTY STRATEGIC PLAN PROGRESS CHART UPDATED: NOVEMBER 2013 Objective 1: Form a Governance Committee to review the organization’s policies, recommend additional policies, and draft revised Bylaws. Activity A. B. C. D. E. F. G. H. I. J. K. L. M. N. Chief Worrier(s) Create Compliance Committee Policy Board approves Compliance Committee Policy Create a Scholarship Committee Policy Board approves Scholarship Committee Policy Create a Finance Committee Policy Board approves Finance Committee Policy Create a Distribution Committee Policy Board approves Distribution Committee Policy Create an Executive Committee Policy Board approves Executive Committee Policy Review and Modify Bylaws, as needed Board approves Bylaw revisions Review all existing CF Policies Board approves various CF Policies recommended by the Compliance Committee On Schedule Lags Schedule Way Behind Not Started (3) (2) (1) (0) Compliance Committee Board of Directors Compliance Committee Board of Directors Compliance Committee Board of Directors Compliance Committee Board of Directors Compliance Committee Board of Directors Compliance Committee Board of Directors Compliance Committee Board of Directors Completion Target March, 2013 March, 2013 April, 2013 April, 2013 April, 2013 April, 2013 May, 2013 May, 2013 June, 2013 June, 2013 August, 2013 August, 2013 December, 2013 December, 2013 Budgeted vs. spent None None None None None None None None None None None None None None Percent Complete 100% 100% 100% 100% 100% 100% 100% 100% 100% 100% 90% 0% 10% 0% Status Color Status Number 3 3 3 3 2 3 3 3 3 3 2 2 3 3 10 of 44 COMMUNITY FOUNDATION OF GRANT COUNTY STRATEGIC PLAN PROGRESS CHART UPDATED: NOVEMBER 2013 Objective 3: Increase sustainable impact in the communities we serve. Activity Discovering strengths, weaknesses, opportunities or threats to which the organization should respond. Board of Directors Completion Target October 2013 Develop and test potential strategies. Board of Directors November 2013 None 0% 3 Use the following strategy screen to test the viability of strategies presented in this plan: Does this strategy: 1. Conform to our mission? Board of Directors January 2013 None 0% 3 2. Utilize our comparative advantage? Board of Directors January 2013 None 0% 3 3. Provide a clear understanding of costs Board of Directors January 2013 None 0% 3 4. When necessary, include an exit process? Board of Directors February 2013 None 0% 3 5. Result in something that can be sustained? Board of Directors February 2013 None 0% 3 6. Assign actions and timelines to individuals? Board of Directors February 2013 None 0% 3 7. Avoid unnecessary burden on staff or volunteers? 8. Develop action steps. Board of Directors February 2013 None 0% 3 Board of Directors March 2013 None 0% 3 July 2013 None None 0% 0% 3 3 Chief Worrier(s) 9. Implement all action steps Repeat for next goal. On Schedule Lags Schedule Way Behind Not Started (3) (2) (1) (0) Board of Directors Budgeted vs. spent Done Percent Complete 100% Status Color Status Number 3 11 of 44 12 of 44 13 of 44 14 of 44 15 of 44 16 of 44 17 of 44 18 of 44 19 of 44 20 of 44 21 of 44 22 of 44 23 of 44 24 of 44 25 of 44 26 of 44 27 of 44 28 of 44 29 of 44 30 of 44 31 of 44 32 of 44 33 of 44 34 of 44 35 of 44 36 of 44 37 of 44 38 of 44 39 of 44 40 of 44 41 of 44 42 of 44 43 of 44 44 of 44