Financials
2022 Sources of Support Leadership & Staff

Financials

Please note the presence of two separate sets of financial reports: Chicago Loop Alliance (CLA) creates, manages, and promotes positive and inclusive programs that attract people to the Loop and accelerate economic recovery. CLA is contracted by the City of Chicago as the sole service provider for State Street Special Service Area #1-2015. The Chicago Loop Alliance Foundation (CLAF) is a 501(c)(3) affiliate organization that pushes the limits of what a downtown can be for its residents, workers, and visitors. The Foundation seeks to enrich the Loop’s public spaces through artistic expression and free cultural programming.

Chicago Loop Alliance & Special Service Area 1-2015 2022 Financials

Revenue Budget   Actual
SSA Funding 3,392,749   3,348,569
Membership Dues 190,000   174,700
Sponsorships (unrestricted) 270,000   250,000
Administrative/Management Fees 115,305   120,075
Civic Partnerships 15,000   15,000
Grants (restricted) -   955,508
Other Income 25,200   35,175
Interest Income -   -
Total Revenue 4,008,254   4,899,026
       
Expenses      
General & Administration 1,309,120   1,342,605
Customer Attractions 595,500   982,335
Membership & Events 44,000   32,088
Public Way Aesthetics 1,318,679   1,167,384
Economic / Business Development 116,000   75,768
Public Safety Programs 624,955   1,341,033
Total Expenses 4,008,254   4,941,213
Total CLA Net Loss for 2022 -   (42,187)
       
FUND BALANCE NET POSITION Budget   Actual
Beginning of the Year 510,172   510,172
Change in Net Position -   (42,187)
END OF THE YEAR POSITION     467,985

Chicago Loop Alliance Foundation 2022 Financials

Revenue Budget   Actual
Annual Fundraising Event (Gala/Other Event) 255,000   215,225
Placemaking Sponsorship (Unrestricted) 480,000   592,588
Grants (Restricted) -   -
Annual Meeting 40,000   76,450
Other Income -   -
Total Revenue 775,000   884,263
       
Expenses      
Placemaking Expenses 480,000   512,751
Annual Fundraising Event Expenses 115,000   95,779
General & Administration 130,000   153,523
Annual Meeting Expenses 25,000   41,381
Other Program Expenses 25,000   25,000
Studies -   -
Total Expenses 775,000   828,433
Total Foundation Net Gain for 2022 -   55,830
       
FUND BALANCE NET POSITION Budget   Actual
Beginning of the Year 312,025   312,025
Change in Net Position -   55,830
END OF THE YEAR POSITION     367,855

*All figures are unaudited and based on the adopted 2022 operating budgets