Page 43 - Sharpening the Focus at UHN
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Financial Highlights




 For the year ended March 31, 2017   A SSE T S                                                  $
 (in thousands of dollars)
                                     Current
 Full audited statements are available at  www.uhn.ca  Cash and cash equivalents              157,902

                                     Accounts receivable                                      230,060
                                     Inventory                                                  16,882
                                     Prepaid expenses                                           19,298
                                     Long Term
                                     Loans receivable                                            2,450
 R E VENUE  $                        Capital assets, net                                     1,256,707

 Ontario Ministry of Health and  Long-Term Care/  Long-term investments                       379,574
    Toronto Central Local Health  Integration Network    1,235,922                          2,062,873

 Other patient services    207,365

 Grants and donations for research and other purposes    315,991   L IABILITIES   AND  N E T  A SSE T S
 Ancillary services and other     346,975   Current

 Amortization of deferred capital contributions    61,680   Accounts payable and accrued liabilities    435,218
     2,167,933                       Current portion of long-term liabilities                  21,545
                                     Long Term

 Ex PENSES                           Due to MaRS Development Trust                              75,727
                                     Deferred research contributions                          204,151
 Compensation    1,341,186
                                     Long-term debt                                           137,834
 Medical, surgical supplies and drugs    284,678
                                     Employee future benefit liabilities                        47,778
 Other supplies and expenses    285,736  Deferred capital contributions                       670,082

 Plant operations and equipment maintenance    115,783                                      1,592,335
 Amortization     105,015
                                     Net Assets
 Interest on long-term liabilities    14,663
                                     Internally restricted                                    122,812
 2,147,061
                                     Unrestricted                                             348,634
 Excess of revenue over expenses for the year    20,872
                                                                                              471,446

                                     Accumulated remeasurement losses                             (908)
                                                                                                470,538
                                                                                             2,062,873















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