Saint Francis Service Dogs 2022 Annual Report
Fiscal Year 2022 FINANCIAL HIGHLIGHTS
June 1, 2021 - May 31, 2022
Operating Revenue Contributions Program Income Grants and Foundations Investment Income Gains on Investments Gains on Extinguishment/Forgiveness
1,267,048 9,715 170,000 32,802 (200,346) 92,320
1,371,539
Total Support and Revenue
Operating Expenses Program Costs General and Administrative Fundraising
767,196 224,267 115,761
1,107,224
Total Expenses
264,315 5,431,432 5,695,747
Change in net assets Net assets, beginning of year Net assets, end of year
Support and Revenue by Category
Expenses by Category
Gains on Extinguishment/ Forgiveness: 5%
Investment Income: 10%
General and Administrative: 20%
Fundraising: 10%
Program income: 1%
Grants and Foundations: 11%
Program Expenses: 70%
Contributed Income (including in-kind, restricted, and bequests): 81%
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