Line No. | | (1) Total |
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1. | Gross Patient Revenue | $6,193,425 | | WRITE-OFFS AND ADJUSTMENTS: | 2. | Charity | $148,155 | 3. | Contractual Adjustments | $3,053,579 | 4. | Bad Debts | $201,233 | 8. | Other Adjustments | $28,245 | 9. | Total Write-Offs and Adjustments (lines 2-8) | $3,431,212 | 10. | Net Patient Revenue (line 1 minus line 9) | $2,762,213 | | Other Operating Revenue: | 11. | Grants - Public | $0 | 12. | Grants - Private | $0 | 13. | Donations / Contributions | $0 | 19. | Other | $0 | 20. | Total Other Operating Revenue (sum lines 11 - 19) | $0 | 25. | Total Operating Revenue (line 10 + line 20) | $2,762,213 | | Operating Expenses: | 30. | Salaries, Wages and Employee Benefits | $2,001,580 | 31. | Contract Services - Professional | $1,324,176 | 32. | Supplies | $283,742 | 33. | Rent / Depreciation / Mortgage Interest | $611,668 | 34. | Utilities | $226,344 | 35. | Professional Liability Insurance | $7,464 | 36. | Other Insurances | $0 | 44. | All Other Expenses | $5,441,275 | 45. | Total Operating Expenses (sum lines 30 - 44) | $9,896,249 | 50. | Net From Operations (line 25 minus line 45) | -$7,134,036 |
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