Summary of Consolidated Statements of Activities
Fiscal Year 2014
For the Twelve Months Ending June 30, 2014 (Thousands of Dollars)
SUPPORT AND REVENUE | |
---|---|
Contributions and other support | $6,554 |
Member dues | 635 |
Camp revenues | 1,288 |
Other program revenues | 432 |
Investment income | 1,677 |
Other revenue | 2,623 |
TOTAL SUPPORT AND REVENUE | 13,209 |
EXPENSES | |
---|---|
Program Services | |
Community involvement | 1,074 |
Public advocacy | 1,620 |
Senior housing and services | 606 |
Humanitarian assistance | 1,482 |
Jewish continuity | 3,667 |
Total Program Services | 8,449 |
Total Management and General | 2,034 |
Fundraising Expenses | 1,965 |
TOTAL EXPENSES | 12,448 |
CHANGE IN NET ASSETS | 761 |
TOTAL END Of YEAR NET ASSETS | 9,197 |
The audited report is available by request from the Department of Donor Development, 1120 20th St NW, Suite 300 North, Washington, DC 20036;
e-mail fundraising@bnaibrith.org.
e-mail fundraising@bnaibrith.org.