SCOTTSDALE HEALTHCARE HOSPITALS

Revenue Source Amount
Net Patient revenue 2a Part VIII $601,416,851.00
Unrelated business revnue 11a Part VIII $58,897,775.00
Capitation Rev
Other rev - sale of asset 7d Part VIII ($696,177.00)
Rent revenue 6a Part VIII $138,625.00
Investment Income 3 Part VIII ($696,177.00)
Other rev - other 11 Part 1 $59,499,078.00
Contributions 1h Part VIII $2,390,812.00
Net assets released from restrictions
Ttl Unrestricted Rev $720,950,787.00
Expenses Source Total
Salaries Total Expenses Program Services management & General Fundraising
Salaries Officers 5 Part IX $11,927,483.00 $0.00 $11,927,483.00 $0.00
Other Salaries 7 Part IX $313,109,142.00 $247,356,222.00 $65,752,920.00 $0.00
Fringe Benefits 28 Part II $38,432,614.00 $30,361,765.00 $8,070,849.00 $0.00
Payroll Taxes 10 Part XI $22,920,080.00 $18,106,863.00 $4,813,217.00 $0.00
Total Salaries & Benefits total $386,389,319.00 $295,824,850.00 $90,564,469.00 $0.00
Fundraising fees 30 Part IX $0.00 $0.00 $0.00 $0.00
Accounting Fees 11c Part IX $4,695.00 $3,709.00 $986.00 $0.00
Legal fees 11b Part IX $26,281.00 $20,762.00 $5,519.00 $0.00
Supplies & Other 13 Part IX $192,947,286.00 $152,428,356.00 $40,518,930.00 $0.00
Information technology 14 Part IX $10,676,330.00 $8,434,301.00 $2,242,029.00 $0.00
Advertising and promotion 12 part IX $11,120.00 $8,785.00 $2,335.00 $0.00
Occupancy 16 Part IX $14,163,830.00 $11,189,426.00 $2,974,404.00 $0.00
Patient cost 24d Part IX $0.00 $0.00 $0.00 $0.00
Dues and registration(subscriptions) 24 Part IX $702,296.00 $554,814.00 $147,482.00 $0.00
Conference conventions and meetings 19 Part IX $0.00 $0.00 $0.00 $0.00
Interest exp (net) 20 Part IX $15,594,684.00 $12,319,800.00 $3,274,884.00 $0.00
Depreciation 22 Part IX $45,326,281.00 $35,807,762.00 $9,518,519.00 $0.00
Insurance 23 Part IX $10,303,575.00 $8,139,824.00 $2,163,751.00 $0.00
Other expenses 43b-* $3,790,845.00 $2,994,768.00 $796,077.00 $0.00
Ttl exp $1,066,325,861.00 $823,552,007.00 $242,773,854.00 $0.00
Excess of rev over exp $345,375,074.00

MIDDLESEX HOSPITAL

ASSETS Source 2011 2010
Cash $56,459.00 $50,099.00
Cash investments $0.00 $0.00
Accounts Receivable
Less Allowance
Net Accounts Receivable $42,961.00 $38,248.00
Inventory $0.00 $0.00
Prepaid expenses $6,317.00 $3,871.00
Investments (FMV) $102,404.00 $102,049.00
Land $174,742.00 $158,718.00
Accumulated Depreciation $21,737.00 $21,232.00
Net Land
Other Assets $5,014.00 $7,203.00
Total Assets $409,634.00 $381,420.00
Liabilities
Accounts Payable $18,782.00 $12,669.00
Mortgage and Note Payable
Other Liabilities $2,166.00 $2,946.00
Total Liabilities $20,948.00 $15,615.00
Fund Balances
Unrestricted $124,933.00 $131,224.00
Temporarily/ permenanet restricted $13,139.00 $13,586.00
Fund balance $138,072.00 $144,810.00
Liabilities and Net Assets $159,020.00 $160,425.00

Sakasegawa Memorial Hospital

Revenue Source Amount
Net Patient revenue non-Medicare $260,183,000.00 ]
Capitation Revenue $36,829,320.00
Patient Revenue - Medicare Medicaid $188,408,800.00 three items match line 1 Part 1
Unrelated business revenue
Capitation Rev
Other rev - sale of asset $5,492,700.00
Rent revenue $450,000.00
dividends $3,800,000.00
Investment Income $1,892,925.00
Other rev - other $5,290,000.00 Note - see detail
Contributions $7,722,580.00
Net assets released from restrictions
Ttl Unrestricted Rev $510,069,325.00
Expenses Source Total Clinical Services management & General Fundraising
Salaries
Salaries Officers 25a Part II $5,008,242.00 $540,392.00 $4,135,300.00 $332,550.00
Other Salaries 26 Part II $176,481,232.00 $158,833,127.00 $16,765,700.00 $882,405.00
Pension 27 Part II $17,942,172.00 $16,147,964.00 $1,704,508.00 $89,700.00
Fringe Benefits 28 Part II $23,783,424.00 $21,406,424.00 $2,259,000.00 $118,000.00
Payroll Taxes 29 Part II $13,336,000.00 $12,002,000.00 $1,266,000.00 $68,000.00
Total Salaries & Benefits total $236,551,070.00 $208,929,907.00 $26,130,508.00 $1,490,655.00
Fundraising fees 30 Part II $0.00
Accounting Fees 31 Part II $340,900.00 $340,900.00
Legal fees 32 Part II $1,345,300.00 $1,211,300.00 $134,000.00
Supplies & Other 33 Part II $226,106,126.00 $225,600,500.00 $500,210.00 $5,416.00
Telephone 34 Part II $1,049,247.00 $944,400.00 $99,600.00 $5,247.00
Postage and shipping 35 part II $339,584.00 $305,626.00 $32,260.00 $1,698.00
Occupancy 36 Part II $0.00
Equipment rental and maintenance 37 Part II $8,967,852.00 $8,071,152.00 $896,700.00
Printing and publications 38 Part II $177,000.00 $159,200.00 $16,800.00 $1,000.00
Conference conventions and meetings 40 Part II $78,500.00 $70,000.00 $8,000.00 $500.00
Interest exp (net) 41 Part II $9,601,800.00 $8,551,800.00 $1,000,000.00 $50,000.00
Depreciation 42 Part II $31,083,552.00 $27,975,052.00 $3,108,500.00
Provision for Bad debt 43a * $1,005,000.00 $1,005,000.00
Other expenses 43b-*
Ttl exp $516,645,931.00 $482,823,937.00 $32,267,478.00 $1,554,516.00
Excess of rev over exp ($6,576,606.00)
rwmayer: See detail - Hospital costs

Reference

References
http://www.guidestar.org/FinDocuments/2011/860/181/2011-860181654-087a194d-9.pdf
SCOTTSDALE HEALTHCARE HOSPITALS
MIDDLESEX HOSPITAL FINANCIAL STATEMENTS 2011 AND 2010
http://www.ct.gov/dph/lib/dph/ohca/hospitalfillings/2011/midsx_2011afs_hospital.pdf

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