Case Study Analysis Discussion—SMH Liquidity, Debt, and Operating Ratios

 

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In this assignment, you will calculate ratios and analyze the data collected in M1: Assignment 2. You will compare ratios from the SMH data to ratios calculated from the comparative facilities.

Measure the liquidity, debt, and operating ratios of the FP and NFP organizations, particularly the following:

  1. LiquidityCurrent ratioAcid test ratio
  2. Operating performanceReturn on assetsOperating profit total and percentageInvestment yieldReturn on equity
  3. Management efficiencyDays in accounts receivable (AR)Days inventory on handDays cash on hand

Use an Excel spreadsheet that you downloaded in M1: Assignment 2, to create tables to compare the data from SMH to the data from the other facilities. You will use two years of data for comparison. Present data for each of the above categories on one sheet. Ensure that all formulas are included in the calculations. The facilitator will review both the accuracy of the data and the efficient use of Excel.

For more help with calculations, you can use the following Web site:

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  • Investopedia. (2009). Financial terms. Retrieved March 10, 2009, fromhttp://www.investopedia.com/terms/g/?viewed=1

SCOTTSDALE HEALTHCARE HOSPITALS

($696,177.00)

Rev

Source

$11,927,483.00 $0.00

$0.00

$0.00

$0.00

$0.00

$0.00 $0.00 $0.00 $0.00

$0.00

$0.00

$0.00

$0.00

$0.00

$0.00

$0.00 $0.00 $0.00 $0.00

$0.00

$0.00 $0.00 $0.00 $0.00

$0.00

$0.00

$0.00

$0.00

$0.00

Revenue Source Amount
Net Patient revenue 2a Part VIII $601,416,851.00
Unrelated business revnue 11a Part VIII $58,897,775.00
Capitation Rev
Other rev – sale of asset 7d Part VIII ($696,177.00)
Rent revenue 6a Part VIII $138,625.00
Investment Income 3 Part VIII
Other rev – other 11 Part 1 $59,499,078.00
Contributions 1h Part VIII $2,390,812.00
Net assets released from restrictions
Ttl

Unrestricted $720,950,787.00
Expenses Total
Salaries Total Expenses Program Services management & General Fundraising
Salaries Officers 5 Part IX $11,927,483.00 $0.00
Other Salaries 7 Part IX $313,109,142.00 $247,356,222.00 $65,752,920.00
Fringe Benefits 28 Part II $38,432,614.00 $30,361,765.00 $8,070,849.00
Payroll Taxes 10 Part XI $22,920,080.00 $18,106,863.00 $4,813,217.00
Total Salaries & Benefits total $386,389,319.00 $295,824,850.00 $90,564,469.00
Fundraising fees 30 Part IX
Accounting Fees 11c Part IX $4,695.00 $3,709.00 $986.00
Legal fees 11b Part IX $26,281.00 $20,762.00 $5,519.00
Supplies & Other 13 Part IX $192,947,286.00 $152,428,356.00 $40,518,930.00
Information technology 14 Part IX $10,676,330.00 $8,434,301.00 $2,242,029.00
Advertising and promotion 12 part IX $11,120.00 $8,785.00 $2,335.00
Occupancy 16 Part IX $14,163,830.00 $11,189,426.00 $2,974,404.00
Patient cost 24d Part IX
Dues and registration(subscriptions) 24 Part IX $702,296.00 $554,814.00 $147,482.00
Conference conventions and meetings 19 Part IX
Interest exp (net) 20 Part IX $15,594,684.00 $12,319,800.00 $3,274,884.00
Depreciation 22 Part IX $45,326,281.00 $35,807,762.00 $9,518,519.00
Insurance 23 Part IX $10,303,575.00 $8,139,824.00 $2,163,751.00
Other expenses 43b-* $3,790,845.00 $2,994,768.00 $796,077.00
Ttl exp $1,066,325,861.00 $823,552,007.00 $242,773,854.00
Excess of rev over exp $345,375,074.00

MIDDLESEX HOSPITAL

Source

$0.00 $0.00

$0.00 $0.00

Unrestricted

ASSETS 2011 2010
Cash $56,459.00 $50,099.00
Cash investments
Accounts Receivable
Less Allowance
Net Accounts Receivable $42,961.00 $38,248.00
Inventory
Prepaid expenses $6,317.00 $3,871.00
Investments (FMV) $102,404.00 $102,049.00
Land $174,742.00 $158,718.00
Accumulated Depreciation $21,737.00 $21,232.00
Net Land
Other Assets $5,014.00 $7,203.00
Total Assets $409,634.00 $381,420.00
Liabilities
Accounts Payable $18,782.00 $12,669.00
Mortgage and Note Payable
Other Liabilities $2,166.00 $2,946.00
Total Liabilities $20,948.00 $15,615.00
Fund Balances
$124,933.00 $131,224.00
Temporarily/ permenanet restricted $13,139.00 $13,586.00
Fund balance $138,072.00 $144,810.00
Liabilities and Net Assets $159,020.00 $160,425.00

Sakasegawa Memorial Hospital

Revenue Source Amount

Capitation Rev

Other rev – sale of asset

Rent revenue

Investment Income

Other rev – other

Contributions

Net assets released from restrictions

Expenses Source Total

management & General Fundraising

Salaries
Salaries Officers

Other Salaries

Fringe Benefits 28 Part II

Payroll Taxes

Total Salaries & Benefits total

Fundraising fees

$0.00

Accounting Fees

$340,900.00

Legal fees

Supplies & Other

Occupancy

$0.00

Conference conventions and meetings

Interest exp (net)

Depreciation

$1,005,000.00

Other expenses 43b-*
Ttl exp

Excess of rev over exp

Net Patient revenue non-Medicare $260,183,000.00 ]
Capitation Revenue $36,829,320.00
Patient Revenue – Medicare Medicaid $188,408,800.00 three items match line 1 Part 1
Unrelated business revenue
$5,492,700.00
$450,000.00
dividends $3,800,000.00
$1,892,925.00
$5,290,000.00 Note – see detail
$7,722,580.00
Ttl Unrestricted Rev $510,069,325.00
Clinical Services
25a Part II $5,008,242.00 $540,392.00 $4,135,300.00 $332,550.00
26 Part II $176,481,232.00 $158,833,127.00 $16,765,700.00 $882,405.00
Pension 27 Part II $17,942,172.00 $16,147,964.00 $1,704,508.00 $89,700.00
$23,783,424.00 $21,406,424.00 $2,259,000.00 $118,000.00
29 Part II $13,336,000.00 $12,002,000.00 $1,266,000.00 $68,000.00
$236,551,070.00 $208,929,907.00 $26,130,508.00 $1,490,655.00
30 Part II
31 Part II $340,900.00
32 Part II $1,345,300.00 $1,211,300.00 $134,000.00
33 Part II $226,106,126.00 $225,600,500.00 $500,210.00 $5,416.00
Telephone 34 Part II $1,049,247.00 $944,400.00 $99,600.00 $5,247.00
Postage and shipping 35 part II $339,584.00 $305,626.00 $32,260.00 $1,698.00
36 Part II
Equipment rental and maintenance 37 Part II $8,967,852.00 $8,071,152.00 $896,700.00
Printing and publications 38 Part II $177,000.00 $159,200.00 $16,800.00 $1,000.00
40 Part II $78,500.00 $70,000.00 $8,000.00 $500.00
41 Part II $9,601,800.00 $8,551,800.00 $1,000,000.00 $50,000.00
42 Part II $31,083,552.00 $27,975,052.00 $3,108,500.00
Provision for Bad debt 43a * $1,005,000.00
$516,645,931.00 $482,823,937.00 $32,267,478.00 $1,554,516.00
($6,576,606.00)

rwmayer:
See detail – Hospital costs

Reference

SCOTTSDALE HEALTHCARE HOSPITALS
References
http://www.guidestar.org/FinDocuments/2011/860/181/2011-860181654-087a194d-9
MIDDLESEX HOSPITAL FINANCIAL STATEMENTS 2011 AND 2010
http://www.ct.gov/dph/lib/dph/ohca/hospitalfillings/2011/midsx_2011afs_hospital

http://www.guidestar.org/FinDocuments/2011/860/181/2011-860181654-087a194d-9

http://www.ct.gov/dph/lib/dph/ohca/hospitalfillings/2011/midsx_2011afs_hospital

Sheet1

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