Financial Statements

STATEMENT OF ACTIVITIES

Year Ended September 30, 2022

2022

Without Donor

With Donor

 

Restrictions

Restrictions

Total

SUPPORT AND REVENUE

Grants and contracts

$ 33,705,697

$ -

$ 33,705,697

Fees for services

12,154,649

-

12,154,649

Other contract revenue

2,157,701

2,157,701

Forgiveness of paycheck protection program loan

1,072,000

1,072,000

Employee retention tax credit

90,973

90,973

Contributions

3,051

926,748

929,799

Investment income

(2,079,790)

-

(2,079,790)

Other

284,121

-

284,121

Net assets released from restrictions

1,038,007

(1,038,007)

-

Total support and revenue

$ 48,426,409

$ (111,259)

$ 48,315,150

EXPENSES

Program services:

Field offices

23,863,773

-

23,863,773

Exchange programs

14,568,373

-

14,568,373

Other programs

2,203,915

-

2,203,915

Total program services

40,636,061

-

40,636,061

Supporting services:

11,069,826

-

11,069,826

Total expenses

51,705,887

-

51,705,887

CHANGE IN NET ASSETS

(3,279,481)

(111,259)

(3,390,740)

NET ASSETS

Beginning

14,061,750

1,891,895

15,953,645

Ending

$ 10,782,269

$ 1,780,636

$ 12,562,905

STATEMENT OF FINANCIAL POSITION

September 30, 2022

ASSETS

 2022

Cash and cash equivalents

3,181,655

Receivables, net

8,094,433

Promises to give, net

15,000

Prepaid expenses and other

894,020

Inventory, net

618,752

Investments

15,179,295

Property and equipment, net

3,598,319

Operating lease right of use assets

11,386,280

TOTAL ASSETS

42,967,754

 

 

LIABILITIES AND NET ASSETS

LIABILITIES

 

Accounts Payable

4,023,439

Accrued expenses

2,363,131

Severance payable

2,675,117

Deferred revenue

4,751,598

Line of credit

2,950,000

Loans payable

2,040,378

Lease liability, net

11,601,186

Total liabilities

30,404,849

 

 

NET ASSETS

Without donor restrictions

10,782,269

With donor restrictions

1,780,636

Total net assets

12,562,905

 

TOTAL LIABILITIES AND NET ASSETS

$ 42,967,754