Financial Information
For Fiscal Year Ending 6/30/2025
INCOME
| Direct Public Support | $163,586,280 |
| Government Grants | + $2,864,373 |
| Other Revenue | + $-4,423,628 |
| Total Revenue | $162,027,025 |
EXPENSES
| Amount Spent for Program or Charitable Purposes | $130,448,947 |
| Management/General Expense | + $9,731,719 |
| Fundraising Expense | + $38,721,817 |
| Total Expenses | $178,902,483 |
Excess/Deficit
| Total Revenue | $162,027,025 |
| Total Expenses | - $178,902,483 |
| Excess/Deficit | $-16,875,458 |
End of Year Fund Bal/Net Worth
| Total Assets | $313,297,854 |
| Total Liabilities | - $53,725,451 |
| End of Year Fund Bal/Net Worth | $259,572,403 |
Financial Information for Prior Years
No Other Financial Information Available