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F. FINANCIALS <br /> TOTAL PROGRAM BUDGET <br /> AGENCY: NEW HORIZONS OF THE TREASURE COAST,INC. <br /> FY 13/14 FY 14/15 FY 14115 <br /> 10/1/13 TO 10/1/14 TO 03/01/15 TO TOTAL FY FY 2015/2016 <br /> 9/30/14 2/28/15 9/30/15 2014/2015 10/1/15 TO 9/30/16 <br /> ACTUAL 5 ' EST.(7) PROPOSED <br /> REVENUES ACTUAL MONTHS MONTHS BUDGET <br /> 1 Contributions-restricted $0.00 $0.00 $0.00 $0.00 $0.00 <br /> 2 Special events $0.00 <br /> 3 Legacies/Bequests $0.00 <br /> 4 Supplemental fundraising $1,285.06 $2,400.00 $0.00 $2,400.00 $2,000.00 <br /> 5 United Way of IRC $0.00 <br /> 5a. United Way of Martin Co. $0.00 <br /> 5b. United Way of St.Lucie Co. $0.00 <br /> 6 Membership dues $0.00 <br /> 7 Program service fees $1,118,611.99 $443,137.06 $635,901.68 $1,079,038.75 $1,167,248.34 <br /> 8 Profit on sales to public $0.00 <br /> 9 Investment income $0.00 <br /> 10 Other income $0.00 $0.00 $0.00 $0.00 $0.00 <br /> 10a. Other income-State $2,139,634.62 $957,475.76 $1,340,466.07 $2,297,941.83 $2,315,891.16 <br /> 10b. Other income-County&Local $286,360.00 $83,032.00 $145,970.00 $229,002.00 $229,057.00 <br /> 10c. Other income-Medications $279,302.25 $98,685.50 $138,159.69 $236,845.19 $172,800.00 <br /> 10d. Other income-IRC Match $273,754.00 $116,147.50 $162,606.50 $278,754.00 $281,541.48 <br /> 11 Reserve funds available for operating <br /> 12 TOTAL REVENUES $4,098,947.91 $1,700,877.82 $2,423,103.95 $4,123,981.77 $4,168,537.98 <br /> EXPENDITURES <br /> 13 Salaries $2,331,329.02 $979,066.71 $1,370,693.80 $2,349,760.51 $2,353,524.84 <br /> 14 Employee Benefits $172,867.85 $72,540.49 $102,514.93 $175,055.42 $174,553.02 <br /> 15 Payroll Taxes/Unemployment Comp. $384,950.47 $158,688.21 $224,908.49 $383,596.70 $396,098.28 <br /> 16 Professional fees $382,368.93 $141,141.50 $199,428.09 $340,569.59 $285,334.74 <br /> 17 Supplies $18,461.82 $9,361.91 $14,936.68 $24,298.59 $18,228.60 <br /> 18 Telephone $39,232.11 $16,973.25 $23,762.55 $40,735.80 $42,841.08 <br /> 19 Postage and shipping $5,567.84 $2,404.99 $2,634.98 $5,039.97 $6,130.80 <br /> 20 Occupancy(Buildings&Grds.) $179,806.09 $73,174.20 $109,763.88 $182,938.07 $180,702.90 <br /> 21 Utilities $52,070.16 $20,266.34 $32,947.87 $53,214.20 $54,450.00 <br /> 22 Insurance $103,737.99 $42,197.06 $59,075.88 $101,272.93 $105,632.64 <br /> 23 Rental and Maint.Equipment $36,054.25 $14,497.08 $27,249.91 $41,746.98 $46,894.68 <br /> 24 Printing and publications $3,968.70 $1,804.20 $4,355.88 $6,160.07 $5,438.70 <br /> 25 Travel and transportation $29,031.70 $10,938.46 $18,973.84 $29,912.30 $35,907.30 <br /> 26 Staff/volunteer development $2,196.41 $700.52 $980.73 $1,681.26 $3,150.00 <br /> 27 Specific assist.-individuals $111,242.72 $45,132.56 $85,145.58 • $130,278.14 $180,869.58 <br /> 28 Membership dues $6,389.95 $3,765.96 $4,174.34 $7,940.30 $6,458.40 <br /> 29 Awards and grants $0.00 $0.00 <br /> 30 Payments to affiliated organizations $0.00 $0.00 <br /> 31 Miscellaneous expenses $23,442.34 $8,900.94 $19,781.31 $28,682.25 $28,476.54 <br /> 31a. Miscellaneous expenses-Food Sery $43,145.98 $18,090.65 $27,156.91 $45,247.56 $48,676.50 <br /> 31b. Miscellaneous expenses-Pharmacy $321,392.80 $145,774.51 $200,424.31 $346,198.81 $260,643.78 <br /> 31c. <br /> $0.00 <br /> 32 TOTAL EXPENSES $4,247,257.13 $1,765,419.50 $2,528,909.95 $4,294,329.45 $4,234,012.38 <br /> 20 <br />