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FINANCIAL HIGHLIGHTS                                     GENERAL             TOTAL

           (ooo’s omitted)                                       OPERATING FUND        ALL FUNDS
           STATEMENT       REVENUES AND OTHER SUPPORT
           OF ACTIVITIES   Forest Preserve District
                              Tax Collections                      $  18,585          $   18,585
                           Visitor Related Revenues                  8,329                8,329
                           Contributions & Grants                   13,567               18,457
                           Donated Goods & Services                   1,485               1,562
                           Membership Dues                            11,634             11,634
                           Paycheck Protection Program Grant Revenue   6,378              6,378
                           Investment Income                           40                 7,186
                           Other Income                               1,135               1,146
                           Net Assets Released                         6,048                  -
                           Total Revenues & Other Support          $  67,201          $   73,277

                           EXPENSES
                           PROGRAM SERVICES
                              Center for Science of Animal Care    $  17,995          $   25,044
                                 and Welfare
                              Center for Conservation Leadership       4,923               6,055
                              Park Operations                          21,832             25,335
                           SUPPORTING SERVICES
                              Management & General                  10,213                  10,849
                              Fundraising                             3,212                 3,289
                           Total Expenses                          $  58,175          $   70,572
                           Change in Retiree Medical Benefits Liability   $    239    $     239
                           Changes in Net Assets                   $    9,265         $     2,944


                           Net Assets beginning of year            $    (883)         $  157,848
           CHANGES         Change in Net Assets from above            9,265           $   2,944
           IN FUND         Debt Service - Revenue Bonds              (694)                   -
           BALANCES
                           Capital Fund Transfers                    (5,644)                  -
                           Other Fund Transfers                       (14)                   -
                           Net Assets end of year                  $    2,030         $   160,792


                           ASSETS
           STATEMENT          Cash and Investments                 $  19,310          $    88,641
           OF FINANCIAL       Pledges & Grants Receivable, net         127                3,910
           POSITION
                              Park Improvements, net of accumulated depreciation       -      118,928
                              Other                                    4,949              2,258

                           Total Assets                            $  24,386            $213,737
                             LIABILITIES AND NET ASSETS
                              Accounts Payable and Accrued Expenses   $   4,603       $    4,615
                              Deferred Revenue                        14,989             14,989
                              Revenue Bonds Payable, net                -                29,816
                              Accrued Actuarial Benefit Obligations      2,746            2,746
                              Other                                     18                 779
                           Total Liabilities                       $  22,356          $    52,945
                           Net Assets                              $   2,030          $  160,792
                           Total Liabilities and Net Assets        $  24,386          $  213,737

                           NOTE:  During the 2021 fiscal year, the financial year end was changed from December 31 to March 31.
                           Accordingly, the current financial statements are presented for the 15-month period from January 1, 2020 to March 31, 2021.
                           For a complete set of audited financial statements, please contact the office of the Director.









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                                                                        CHICAGO ZOOLOGICAL SOCIETY | 2020 IMPACT REPORT
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