This grant provides funding in three-year cycles to eligible professional organizations that program and display public exhibitions of visual arts.
To be eligible for Public Art Galleries operating funding, organizations must:
- exhibit visual works of art and provide programs in the visual arts for the general public as your organization’s principal mandate as stated in its incorporation documents.
- engage in on-going development, implementation and promotion of visual arts programming as its core primary activity in an annual program for public presentation
- operate a gallery and/or exhibition space that:
- is accessible to the public for at least 1,000 hours each year
- fulfill the minimum requirements for the security and presentation of exhibited work
- employ at least two permanent full-time equivalent staff in administrative and/or programming capacity, i.e. Executive Director, Artistic Director, Chief Curator
- contract with exhibiting artists and provide professional artists’ fees according to copyright legislation and schedules recommended by the Canadian Artist Representation Copyright Collective (CARCC)
- comply with all Canadian Arts Database (CADAC) financial and statistical data requirements
- have a board-approved cash reserve policy
- be legally registered and operating in Alberta for a minimum of three full fiscal years, and in good standing, under one of the following Acts:
- Provincial Legislation:
Societies Act of Alberta - Companies Act of Alberta, Part 9 (Nonprofit companies)
- Federal Legislation:
- Canada Not-for-Profit Corporations Act and registered in Alberta under Part 21 of the Business Corporations Act
- Special Act of the Parliament of Canada
- Income Tax Act of Canada, operating in the Province of Alberta as a charity
Eligible organizations must also:
- have an Alberta-based address
- have 50% or more of the organization’s board members living in Alberta
- demonstrate the ability to operate using good governance principles, effective administration practices, and a commitment to fiscal responsibility
- operate as a stand-alone arts organization, at arms-length from municipalities, commercial enterprises, or organizations and institutions receiving annual operating funds from other Government of Alberta sources or their affiliates
First-time applicants
Eligible first-time applicants are accepted only at the beginning of each three-year cycle.
If this is your organization’s first application for Public Art Galleries operating funding, you must contact us at least three months before the deadline for a preliminary eligibility assessment to ensure your organization meets the eligibility criteria.
As a first-time applicant, your organization must have met all eligibility requirements for the three annual fiscal periods prior to application. You must also provide board-approved financial statements that demonstrate the organization has positive net assets and has been operating with no annual deficit for each of these three fiscal periods.
Ineligible Organizations:
The following applicants are not eligible for AFA operating funding:
- municipalities
- for-profit organizations
- funding agencies or other funders
- organizations not registered under one of the above-mentioned Acts
- organizations that primarily benefit those outside of Alberta
- organizations engaged primarily in competition-based activities or events
- organizations focused on the applied arts including, but not limited to, gaming, architecture, interior design, commercial photography, graphic arts, and fashion design
- organizations that are eligible for operating funding under another AFA funding opportunity
- organizations with overdue or incomplete accounting/reporting related to any grant previously awarded by the AFA or Alberta Arts, Culture and Status of Women
- individuals
This funding is designed to support your organization’s operations, which are specific to your organization’s mandate, strategic and/or business plan and activities as described in your application and/or reporting.
Acceptable Use of Funds:
AFA operating funding supports expenses including, but not limited to:
- Fees for artists, curators, and technicians
- Cultural protocol, including honoraria, tobacco offering and fees for Elders, Knowledge Keepers, and Cultural Advisors
- Production and programming
- Marketing, communications, and promotion
- Salaries and professional fees
- Rent, utilities, and insurance
- Maintenance of equipment, fixed assets, and costs for facility operations
- Other expenses as required to fulfill your organization’s mandate.
Unacceptable Use of Funds:
AFA operating funding cannot be used for expenses including, but not limited to:
- Scholarships, prizes, gratuities, and awards and payments for individual benefit
- Endowment funds
- Third-party funding to another organization, including donations, grants, scholarships, or prizes
- Consignment fees
- Capital costs for renovations or facility improvements, land or facility purchase, and major equipment and/or vehicle purchase
- Bad debt or debt reduction
- Other expenses deemed unreasonable by the AFA
Creative Year option:
Organizations which have an average annual CDR under $750,000, and have been in an AFA funding stream for a minimum of three years, may apply to the Creative Year option under this funding. This option allows organizations to receive non-reduced funding in a year without an exhibition season. Discipline-specific project review panels assess the proposals for this option. To prepare for this option, organizations must contact the AFA at least one year prior to the proposed Creative Year or suspension of exhibition activities.
The AFA only accepts applications through the GATE (Grant Administration Tracking and Evaluation) Front Office online application system.
We must receive your online application through GATE Front Office no later than 11:59 p.m. Alberta Time on the deadline date, unless the deadline falls on a statutory holiday or a weekend when it will be extended until the next working day.
Applications will be ineligible for consideration if received after the deadline, are incomplete, or the applicant has overdue or incomplete accounting/reporting related to any grant previously awarded by the AFA or Alberta Arts, Culture and Status of Women.
GATE Front Office username
Applicants will require a GATE Front Office username and password. If you are a first-time applicant – or your organization requires updates to its registered users – requests for usernames and passwords must be received at least five business days prior to the application deadline.
Please complete the GATE Front Office Registration form. Return as an email attachment to registrationAFA@gov.ab.ca, quoting the funding opportunity or grant program to which you are applying. GATE Front Office usernames and passwords will be sent to the email addresses provided on the registration form.
What to include in your application
For detailed step-by-step instructions on how to apply through GATE Front Office download the GATE Front Office user guide.
GATE Front Office online formlets:
- Contact List: Includes the primary contact for your application and signing authority for your organization
- Address: Includes street and mailing address
- Organization Information: Includes the organization’s legal name, registration and incorporation details, and vision/mandate
- Applicant Agreement: Includes the name and position of your legal signing authority
- Current Board List: Includes names, titles, contact information, and start dates for all current board members
- Community Derived Revenue Calculation: financial information for the last three years of operations, using the data from the corresponding line entries for CADAC.
- Diligence Questionnaire: Includes questions about your programming outcomes, financial management, accounting, and governance
Attachments:
Attachments must be developed prior to application and uploaded to your online GATE Front Office submission in PDF format. You will be required to complete the following attachments:
- Business or Strategic Plan: Most recent, board-approved Strategic Plan for your current years of operation.
- Cash Reserve Policy: A copy of your board-approved cash reserve policy.
- Promotional materials: Copies of promotional materials from the past year, including print and online, combined into one document.
- Governance Principals: Signed statement confirming board members acknowledge the AFA’s basic standard of governance required for operating funding
- Upcoming Activities: Listing of planned activities for your current and/or upcoming fiscal years.
- Annual Financial Statement: Most recent, board-approved annual financial statements – signed by the Board Chair/President, Treasurer, and one additional board member
- Corporate Registry Information: Most recent proof of filing with Alberta Corporate Registry
- Staff Listing: List of staff members, indicating position titles, type of employment, i.e. permanent, full-time, part-time, temporary, contract, or seasonal. For management or leadership personal, include email and phone contact information.
Cash Reserve Policy requirements
Your organization’s submitted Cash Reserve Policy must:
- be approved by your organization’s Board of Directors
- establish a base Cash Reserve amount as a percentage of your organization’s annual operating expenditures and provide a rationale for that base amount
- outline that the Cash Reserve be clearly identified on your organization’s annual financial statement
- define the Cash Reserve as an unencumbered, restricted cash account that can only be accessed upon a resolution of your organization's board of Directors, approved by a majority vote
- outline that the Cash Reserve funds may only be used to temporarily finance unforeseen operating deficits
- outline that funds removed from the Cash Reserve must be replenished within three fiscal years from the end of the fiscal year in which the Cash Reserve funds were utilized
- outline that the base Cash Reserve policy amount, once approved by the AFA, may not be reduced without prior approval by the AFA
We strongly encourage all organizations to strive for a cash reserve of no less than 10% of your organization’s average annual operating expenditures. However, we recognize that individual organizations have unique operating requirements. In considering the savings target for the Cash Reserve, your organization’s Board of Directors is expected to consider its own operating requirements and determine an appropriate target which may be more or less than 10% of average annual operating expenditures.
Eligible organizations in this funding opportunity are encouraged to consult department staff as they develop the Cash Reserve Policy and associated plan for implementation.
Acceptable Financial Statements:
For returning applicants, the level of financial statements required are determined by an organization’s prior year AFA grant. Financial statements must include a Balance Sheet, Statement of Revenues and Expenditures, and Statement of Cash Flows. If the prior year grant was:
- $25,000 or less include, at minimum, a financial statement approved and signed by the treasurer and two additional board members
- $25,001 to $50,000 include, at minimum, a Notice to Reader or Compilation Engagement financial statement provided by an independent, professionally designated accountant
- $50,000 to $100,000 include, at minimum, a Review Engagement financial statement provided by an independent, professionally designated accountant
- $100,001 or higher include a full Audited financial statement provided by an independent, professional designated accountant
For first-time applicants, Financial Statements should comprise a Balance Sheet, Statement of Revenues and Expenditures, and Statement of Cash Flows. The level of financial statement is determined by your organization, but future applications must meet the conditions outlined above.
Funding awarded through this opportunity is calculated based on Community Derived Revenue (CDR). CDR is defined as an organization’s total annual revenue minus all federal, provincial and municipal government grants.
Funding amounts are calculated in two stages:
1. First, your organization’s three-year average CDR adjusted to the following percentage tiers:
- 24% of such CDR organizations with a three-year average CDR equal to or greater than $750,000
- 26% of such CDR for organizations with a three-year average CDR of less than $750,000 and equal to or more than $500,000
- 30% of such CDR for organizations with a three-year average CDR of less than $500,000 and equal to or more than $250,000
- 40% of such CDR or organizations with a three-year average CDR of less than $250,000.
2. Your organization’s adjusted CDR is then divided by the sum of the adjusted CDR for all eligible Public Art Galleries organizations and then multiplied by this funding opportunity’s budget to determine your funding allocation.
Note: If your organization has been approved for a Creative Year Option, your organization’s average CDR will consist of the most recent three years, excluding the Creative Year.
Funding for Public Art Galleries is established by the AFA Board of Directors based upon the annual AFA Budget allocated by the Government of Alberta. Department staff evaluate applications according to eligibility criteria and prepare recommendations to the board. The AFA Board of Directors reviews all funding recommendations, and all decisions are final.
All decisions are final and no appeals will be considered.
Applicants will receive email notification upon AFA board approval, generally between four to six months from the application deadline.
Organizations are only eligible to receive support from one AFA operating funding opportunity at any given time. Multiple applications to the Public Art Galleries program or to other AFA operating grant programs will not be accepted.
Funding is intended for the activities planned for your organization’s current or next fiscal year, based on information provided in your application, and in accordance with the acceptable use of funds.
The AFA or its authorized representatives may examine your financial and other records to ensure funding is used for its intended purpose:
• Recipients must return unused portions of the grant to the AFA
• The AFA may require your organization to return funds if reporting requirements are not met
• If you do not meet reporting requirements, your organization may be ineligible for further funding from the AFA for a period of three years from the time the delinquency is resolved
The AFA Fair Notice Policy applies to this grant program. The AFA may cancel, suspend, reduce, or demand repayment of the grant in circumstances where the AFA is concerned with the viability of the organization.
Funding Acknowledgement
Your organization must credit the AFA for financial support in any publicity prepared in relation to your organization’s activities, including electronic, print or visual material.
- if your organization fails to satisfy AFA recognition requirements, it may be subject to a 10% funding reduction in subsequent payments
- subsequent infractions may result in ineligibility to apply for AFA funding opportunities
You are required to complete and submit satisfactory interim and final reports in GATE Front Office that demonstrates that funding awarded for the previous fiscal year was spent on the activities described in the application. If your organization does not intend to continue to seek AFA operating funding, you are still required to submit a final report.
Your organization’s interim report and final reports are due April 1 each year of the three-year grant cycle. We must receive your online report through GATE Front Office no later than 11:59 p.m. Alberta Time, unless the deadline falls on a statutory holiday or a weekend when it will be extended until 11:59 p.m. on the next working day. Please give the system time to process your application so we receive notification of your submission before the deadline falls.
Interim Report
GATE Front Office online formlets:
- Statistical Report: Using information that corresponds to your most recent board-approved Financial Statements.
- Current Board List: Includes names, titles, contact information, and start dates for all current board members
Attachments:
- Promotional materials: Copies of promotional materials from the past year, including print and online, combined into one document.
- Corporate Registry Information: Most recent proof of filing with Alberta Corporate Registry
- Completed Activities: Listing of completed activities for your most recently completed fiscal year.
- Upcoming Activities: Listing of planned activities for your current and/or upcoming fiscal years.
- Material Change Report: Indicating any substances changes to your professional activity, artistic mandate, cash reserve policy, or other material changes within your organization.
- Annual Financial Statement: Most recent, board-approved annual financial statements – signed by the Board Chair/President, Treasurer, and one additional board member
- Refer to Acceptable Financial Statements in the "How to Apply" section for the necessary level of reporting required
Final Report
GATE Front Office online formlets:
- Statistical Report: Using information that corresponds to your most recent board-approved Financial Statements.
Attachments:
- Promotional materials: Copies of promotional materials from the past year, including print and online, combined into one document.
- Annual Financial Statement: Most recent, board-approved annual financial statements – signed by the Board Chair/President, Treasurer, and one additional board member
- Refer to Acceptable Financial Statements in the "How to Apply" section for the necessary level of reporting required
Visit the Help and Resources section of our website to:
- download the GATE Front Office User Guide
- find additional resources for organizations