PRINCETON DAY SCHOOL INC
Income Statement
Fiscal Year Start:
Jul 1
Revenues in 2024
$47,829,935
Program Services
89%
Investments
5%
Contributions
5%
Other
<1%
Government Grants
0%
Fundraising Events
0%
Membership Dues
0%
Expenses in 2024
$50,745,873
Salaries & Benefits
67%
Grants
12%
Offices, Occupancy & IT
7%
Other
6%
Depreciation
5%
Interest
2%
Fees to Service Providers
<1%
Advertising & Promotion
<1%
Benefits to Members
0%
Revenues
2023
2024
Change
Contributions
$3,541,773
$2,337,204
-34%
Government Grants
$0
$0
-
Fundraising Events
$0
$0
-
Program Services
$40,360,001
$42,730,522
+6%
Membership Dues
$0
$0
-
Investments
$2,015,150
$2,474,319
+23%
Other
-$576,562
$287,890
-150%
Total Revenues
$45,340,362
$47,829,935
+5%
Expenses
2023
2024
Change
Grants
$5,821,787
$6,289,888
+8%
Benefits to Members
$0
$0
-
Salaries & Benefits
$32,234,259
$33,931,917
+5%
Fees to Service Providers
$352,927
$341,331
-3%
Advertising & Promotion
$9,020
$95,431
+958%
Offices, Occupancy & IT
$3,866,947
$3,738,906
-3%
Interest
$779,434
$776,926
0%
Depreciation
$2,330,212
$2,549,349
+9%
Other
$3,562,340
$3,022,125
-15%
Total Expenses
$48,956,926
$50,745,873
+4%
Net income
2023
2024
Change
Net income
-$3,616,564
-$2,915,938
+19%
Functional Expenses
Summary
2023
2024
Change
Program
$39,005,846
$42,169,649
+8%
Admin
$8,091,808
$6,614,146
-18%
Fundraising
$1,859,272
$1,962,078
+6%
Total Expenses
$48,956,926
$50,745,873
+4%
Copyright 2026. All rights reserved to Chario Inc. (d.b.a. Impala)