Financial Information
For Fiscal Year Ending 6/30/2022
INCOME
Direct Public Support | $407,130,049 |
Government Grants | + $17,458,946 |
Other Revenue | + $14,850,088 |
Total Revenue | $439,439,083 |
EXPENSES
Amount Spent for Program or Charitable Purposes | $219,092,786 |
Management/General Expense | + $11,346,961 |
Fundraising Expense | + $60,005,768 |
Total Expenses | $290,446,515 |
Excess/Deficit
Total Revenue | $439,439,083 |
Total Expenses | - $290,446,515 |
Excess/Deficit | $148,992,568 |
End of Year Fund Bal/Net Worth
Total Assets | $541,988,739 |
Total Liabilities | - $110,813,465 |
End of Year Fund Bal/Net Worth | $431,175,274 |
Financial Information for Prior Years
No Other Financial Information Available