Page 12 - Brother Bill's Helping Hand 2022 Annual Report
P. 12
FINANCIALS
REVENUE
CLIENT-PATIENT FEES CHURCHES CORPORATIONS FOUNDATIONS INDIVIDUALS SPECIAL EVENTS OTHER
RENTAL ASSISTANCE
IN-KIND CONTRIBUTIONS
TOTAL REVENUE
EXPENSES
EXPENDITURES
TOTAL BUILDING/OPERATIONS TOTAL COMMUNICATIONS COMMUNITY CLINIC DEVELOPMENT/FUNDRAISING GROCERY STORE
IN-KIND EXPENSES INSURANCE
PROGRAM AND EVENTS ADMINISTRATION
TOTAL EXPENDITURES TOTAL OPERATING REVENUE
$39,514 $88,035 $198,296 $538,277 $1,282,330 $102,741 $146,202 $2,075,425 $2,937,852 $7,408,672
$13,668 $222,556 $66,027 $402,219 $118,118 $39,162 $2,937,852 $90,585 $2,284,649 $770,436 $7,072,040
$336,631
191,662 $4,470,820
123
DEVRES SEDOC PIZ FO REBMUN
2202 NI DESIAR YENOM LATOT
SRETNUOCNE MARGORP FO REBMUN LATOT
CIHPARGOMED EGA
SRAEY EVIF REVO DESIAR YENOM