Meridian Hospitals Corporation and Subsidiary. Financial Statements As of and for the Years Ended December 31, 2016 and 2015 (UNAUDITED)

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Transcription:

Meridian Hospitals Corporation and Subsidiary Financial Statements As of and for the Years Ended and 2015 (UNAUDITED)

Index Page(s) Balance Sheets....1...2-8 Statements of Changes in Net Assets....9 Statements of Cash Flows...10

Balance Sheets Assets Current assets Cash and cash equivalents $ 264,305 $ 300,344 Assets limited as to use and short-term investments 412,395 379,477 Patient accounts receivable, less allowance for uncollectible accounts of $56,958 in 2016 and $49,358 in 2015 175,447 140,160 Due from affiliates, net 8,974 4,162 Other current assets 61,387 43,045 Total current assets 922,508 867,188 Assets limited as to use and investments, noncurrent portion Under Board of Trustee designation and investments 597,081 501,020 Under bond indenture agreements 1,016 Total assets limited as to use and investments, noncurrent portion 597,081 502,036 Property, plant and equipment, net 974,961 773,658 Other assets 65,597 68,423 Interest in net assets of foundations 76,561 73,021 Due from affiliates, net 12,493 8,591 Total assets $ 2,649,201 $ 2,292,917 Liabilities and Net Assets Current liabilities Current maturities of long-term debt and capital lease obligations $ 21,002 $ 20,458 Accounts payable and accrued expenses 210,100 169,002 Estimated amounts due to third party payors 47,729 33,142 Due to affiliates, net 4,805 3,936 Other current liabilities 72,927 55,022 Total current liabilities 356,563 281,560 Long-term debt and capital lease obligations, less current maturities 604,221 622,828 Accrued pension liability 94,445 65,599 Other liabilities 257,524 242,950 Total liabilities 1,312,753 1,212,937 Net assets Unrestricted 1,255,979 1,006,932 Temporarily restricted 56,720 51,311 Permanently restricted 23,749 21,737 Total net assets 1,336,448 1,079,980 Total liabilities and net assets $ 2,649,201 $ 2,292,917 Page 1

Patient service revenue, net of contractual allowances and discounts $ 1,918,772 $ 1,789,466 Provision for bad debts 66,746 77,637 Net patient service revenue, less provision for bad debts 1,852,026 1,711,829 Other revenue 57,260 59,637 Net assets released from restriction used for operating activities 2,655 1,682 Total operating revenues 1,911,941 1,773,148 Salaries, wages and contracted labor 704,050 661,778 Physician salaries and fees 58,194 50,942 Employee benefits 163,928 159,929 Supplies and other expenses 700,687 650,499 Depreciation and amortization 70,577 71,684 Interest 32,099 32,726 Total operating expenses 1,729,535 1,627,558 Income from operations 182,406 145,590 Nonoperating revenues (losses) Investment income 23,377 14,359 Contribution income - Raritan Bay Medical Center acquisition 15,937 Unrealized loss on derivative instruments 8,150 3,523 Loss on extinguishment of debt (685) - Other losses, net (2,485) - Excess of revenue over expenses 226,700 163,472 Change in net unrealized gain (loss) on other than trading securities 14,484 (5,709) Net assets released from restriction for capital acquisition 5,327 8,682 Increase in unrestricted net assets before other adjustments 246,511 166,445 Equity transfers to affiliates (8,176) (36,492) Other changes in pension related adjustments 11,143 (10,751) Other changes in unrestricted net assets (431) - Increase in unrestricted net assets $ 249,047 $ 119,202 Page 2

Jersey Shore University Medical Center Patient service revenue, net of contractual allowances and discounts $ 732,845 $ 668,953 Provision for bad debts 16,640 21,332 Net patient service revenue, less provision for bad debts 716,205 647,621 Other revenue 30,663 25,955 Net assets released from restriction used for operating activities 1,525 941 Total operating revenues 748,393 674,517 Salaries, wages and contracted labor 247,734 232,160 Physician salaries and fees 20,894 17,013 Employee benefits 58,654 55,508 Supplies and other expenses 290,265 269,995 Depreciation and amortization 26,357 26,084 Interest 19,144 17,035 Total operating expenses 663,048 617,795 Income from operations $ 85,345 $ 56,722 Page 3

Ocean Medical Center Patient service revenue, net of contractual allowances and discounts $ 312,460 $ 302,760 Provision for bad debts 10,968 12,126 Net patient service revenue, less provision for bad debts 301,492 290,634 Other revenue 7,672 11,417 Net assets released from restriction used for operating activities 407 91 Total operating revenues 309,571 302,142 Salaries, wages and contracted labor 119,096 112,088 Physician salaries and fees 4,528 4,217 Employee benefits 27,481 25,584 Supplies and other expenses 109,825 99,577 Depreciation and amortization 12,903 12,536 Interest 4,752 5,155 Total operating expenses 278,585 259,157 Income from operations $ 30,986 $ 42,985 Page 4

Riverview Medical Center Patient service revenue, net of contractual allowances and discounts $ 276,158 $ 275,488 Provision for bad debts 7,142 10,269 Net patient service revenue, less provision for bad debts 269,016 265,219 Other revenue 7,619 8,222 Net assets released from restriction used for operating activities 446 293 Total operating revenues 277,081 273,734 Salaries, wages and contracted labor 105,359 101,334 Physician salaries and fees 6,901 6,873 Employee benefits 25,184 24,408 Supplies and other expenses 98,224 91,743 Depreciation and amortization 11,975 11,218 Interest 4,531 4,924 Total operating expenses 252,174 240,500 Income from operations $ 24,907 $ 33,234 Page 5

Southern Ocean Medical Center Patient service revenue, net of contractual allowances and discounts $ 179,958 $ 161,395 Provision for bad debts 5,217 6,744 Net patient service revenue, less provision for bad debts 174,741 154,651 Other revenue 3,734 4,218 Net assets released from restriction used for operating activities 150 76 Total operating revenues 178,625 158,945 Salaries, wages and contracted labor 63,884 56,833 Physician salaries and fees 6,961 5,527 Employee benefits 15,515 14,293 Supplies and other expenses 65,637 59,255 Depreciation and amortization 6,590 6,506 Interest 1,364 1,411 Total operating expenses 159,951 143,825 Income from operations $ 18,674 $ 15,120 Page 6

Bayshore Community Hospital Patient service revenue, net of contractual allowances and discounts $ 157,702 $ 147,847 Provision for bad debts 6,439 9,072 Net patient service revenue, less provision for bad debts 151,263 138,775 Other revenue 2,275 2,950 Net assets released from restriction used for operating activities 127 281 Total operating revenues 153,665 142,006 Salaries, wages and contracted labor 61,823 57,071 Physician salaries and fees 3,950 3,435 Employee benefits 15,647 14,904 Supplies and other expenses 51,559 46,684 Depreciation and amortization 5,816 5,603 Interest 1,172 1,225 Total operating expenses 139,967 128,922 Income from operations $ 13,698 $ 13,084 Page 7

Raritan Bay Medical Center Patient service revenue, net of contractual allowances and discounts $ 259,649 $ 233,023 Provision for bad debts 20,340 18,094 Net patient service revenue, less provision for bad debts 239,309 214,929 Other revenue 5,297 6,875 Net assets released from restriction used for operating activities - - Total operating revenues 244,606 221,804 Salaries, wages and contracted labor 106,154 102,292 Physician salaries and fees 14,960 13,877 Employee benefits 21,447 25,232 Supplies and other expenses 85,177 83,245 Depreciation and amortization 6,936 9,737 Interest 1,625 2,976 Total operating expenses 236,299 237,359 Income from operations $ 8,307 $ (15,555) Page 8

Combined Statements of Changes in Net Assets Temporarily Permanently Total Unrestricted Restricted Restricted Net Assets Balance at December 31, 2014 $ 876,636 $ 45,807 $ 21,827 $ 944,270 Excess of revenues over expenses 173,089 - - 173,089 Change in net unrealized loss on other than trading securities (4,232) - - (4,232) Increase (decrease) in interest in affiliated fundraising organizations - 15,868 (90) 15,778 Net assets released from restriction for capital acquisition 8,682 (8,682) - - Net assets released from restriction used for operating activities - (1,682) - (1,682) Equity transfers to affiliates, net (36,492) (36,492) Other changes in pension related adjustments (10,751) - - (10,751) Increase (decrease) in net assets 130,296 5,504 (90) 135,710 Balance at December 31, 2015 $ 1,006,932 $ 51,311 $ 21,737 $ 1,079,980 Excess of revenue over expenses 226,700 - - 226,700 Change in net unrealized gain on other than trading securities 14,484 - - 14,484 Increase in temporarily restricted net assets: Contribution received in acquisition of Raritan Bay Medical Center 738 738 Increase in permanently restricted net assets: Contribution received in acquisition of Raritan Bay Medical Center 1,933 1,933 Increase in interest in affiliated fund raising organizations - 12,653 79 12,732 Net assets released from restriction for capital acquisition 5,327 (5,327) - - Net assets released from restriction used for operating activities - (2,655) - (2,655) Equity transfers to affiliates, net (8,176) (8,176) Other changes in pension related adjustments 11,143 - - 11,143 Other changes in unrestricted net assets (431) - - (431) Increase in net assets 249,047 5,409 2,012 256,468 Balance at September 30, 2016 $ 1,255,979 $ 56,720 $ 23,749 $ 1,336,448 Page 9

Statements of Cash Flows Cash flows from operating activities Change in net assets $ 256,469 $ 135,710 Adjustments to reconcile change in net assets to net cash provided by operating activities Net assets acquired from Raritan Bay Medical Center (18,608) - Loss (gain) on disposal of assets 39 (26) Provision for bad debts 66,746 59,543 Depreciation and amortization 70,562 61,940 Loss on extinguishment of debt 685 - Amortization of original issue premium (1,600) (1,725) Change in net realized and unrealized gain on investments (21,024) (283) Unrealized gain on derivative instruments (8,150) (3,523) Unrealized (gain) loss on trading securities (4,525) 4,145 Restricted contributions for capital acquisitions (5,327) (8,682) Other changes in pension related adjustments (11,143) 10,751 Equity transfers to affiliates, net 8,176 36,492 Changes in assets and liabilities Increase in net patient accounts receivable (77,661) (71,892) Increase in other assets (14,532) (11,136) Increase in accounts payable and accrued expenses 1,826 17,086 Increase in estimated amounts due to third party payors 5,445 305 (Decrease) increase in other liabilities 15,808 10,798 Net cash provided by operating activities 263,186 239,503 Cash flows from investing activities Cash acquired from Raritan Bay Medical Center 550 - Purchases of property, plant and equipment (187,141) (83,148) Proceeds from sale of property and equipment 2,028 36 Sale of investment securities 342,836 356,775 Purchase of investment securities (398,424) (538,111) Net cash used in investing activities (240,151) (264,448) Cash flows from financing activities Principal payments on long-term debt and capital lease obligations (20,246) (16,801) Early extinguishment of debt (160,493) - Proceeds from borrowings 124,678 130,000 Restricted contributions for capital acquisitions 5,327 8,682 Financing costs (164) (277) Equity transfers to affiliates, net (8,176) (36,492) Net cash (used) provided in financing activities (59,074) 85,112 (Decrease) increase in cash and cash equivalents (36,039) 60,167 Cash and cash equivalents Beginning of year 300,344 240,177 End of year $ 264,305 $ 300,344 Supplemental information Cash paid for interest $ 34,228 $ 30,039 Construction and retainage payable 2,780 3,886 - - Page 10