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Financial Review
TRANSPARENCY financial review
PUBLIC SUPPORT AND REVENUE 2021 2020
Contributions $1,358,552 $1,183,697 Contributions w/donor restrictions $539,022 $0 Gross Profit Artisan Sales $3,238,288 $2,661,035 Other Receipts and Support $5,935 $110,219
TOTAL REVENUE $5,141,797 $3,954,951
EXPENSES
Program Services Rehema House $918,695 $795,223 Subscription Clubs $1,805,272 $1,400,803 Retail Store Expenses $1,672,595 $1,261,146 Management and General $226,809 $199,921 Fundraising Expenses $67,289 $56,920
TOTAL EXPENSES $4,690,660 $3,714,013
Change in Net Assets $451,137 $240,938 Net Assets Beginning of Year $880,678 $639,740 NET ASSETS, END OF YEAR $1,331,815 $880,678
*All financial data taken from Form 990 and CPA prepared Financial Review (2020 & 2021)
2022 financial statements are not available until filed with IRS after the end of the current calendar year
2015-2021 Form 990 is available at https://www.irs.gov Legal Name: Mercy Maternity House, Inc. DBA: Mercy House Global EIN: 27-3196267