MONTEFIORE MEDICAL CENTER
Income Statement
Fiscal Year Start:
Jan 1
Revenues in 2024
$5,908,041,192
Program Services
93%
Government Grants
4%
Contributions
<1%
Other
<1%
Investments
<1%
Fundraising Events
<1%
Membership Dues
0%
Expenses in 2024
$5,619,420,589
Salaries & Benefits
59%
Other
20%
Offices, Occupancy & IT
12%
Fees to Service Providers
5%
Depreciation
3%
Advertising & Promotion
2%
Interest
<1%
Grants
<1%
Benefits to Members
0%
Revenues
2023
2024
Change
Contributions
$37,441,773
$55,214,163
+47%
Government Grants
$51,904,024
$233,717,508
+350%
Fundraising Events
$2,376,461
$1,998,006
-16%
Program Services
$4,901,267,094
$5,521,175,096
+13%
Membership Dues
$0
$0
-
Investments
$45,941,028
$47,210,234
+3%
Other
$18,567,275
$48,726,185
+162%
Total Revenues
$5,057,497,655
$5,908,041,192
+17%
Expenses
2023
2024
Change
Grants
$2,349,206
$1,220,649
-48%
Benefits to Members
$0
$0
-
Salaries & Benefits
$2,923,016,695
$3,290,232,820
+13%
Fees to Service Providers
$259,919,654
$275,466,590
+6%
Advertising & Promotion
$75,247,665
$102,838,031
+37%
Offices, Occupancy & IT
$620,100,458
$670,559,365
+8%
Interest
$13,754,914
$11,048,403
-20%
Depreciation
$143,639,614
$146,107,603
+2%
Other
$965,294,720
$1,121,947,128
+16%
Total Expenses
$5,003,322,926
$5,619,420,589
+12%
Net income
2023
2024
Change
Net income
+$54,174,729
+$288,620,603
+433%
Functional Expenses
Summary
2023
2024
Change
Program
$4,486,158,271
$5,038,812,719
+12%
Admin
$510,637,548
$572,328,254
+12%
Fundraising
$6,527,107
$8,279,616
+27%
Total Expenses
$5,003,322,926
$5,619,420,589
+12%
Copyright 2026. All rights reserved to Chario Inc. (d.b.a. Impala)