| CEDARS-SINAI MEDICAL CENTER | Hospital POS Number | 050625 | 
| 8700 BEVERLY BLVD. | Hospital Control | Nonprofit - Other | 
| LOS ANGELES , CA 90048 | Hospital Type | General Short Term | 
| LOS ANGELES | Medicare Utilization | Full Util | 
| Hospital Location is Rural | ||
| Total Cost Report Beds 737 | ||
| Cost Report 796238 6/30/2023 for 365 Days | Cost Report Status is Submitted | Total POS Beds 0 | 
| Financial KPI's | Operating KPI's | ||||
| Current Ratio | 6.1 | Patient Occupancy Percent | 92.2% | ||
| Days to Collect in AR | 65.4 Days | Avg Length of Stay (LOS) | 6.0 Days | ||
| Avg AP Payment Days | 71.7 Days | Medicare LOS | 7.0 Days | ||
| Days of Cash in Bank | 157.1 Days | Employee Avg Hourly Wages | $64.68 | ||
| Balance Sheet | Income Statement | ||||
| Current Assets | $5,555,192,000 | Total Charges | $26,008,949,189 | ||
| Fixed Assets | $2,692,876,707 | Contract Allowance | $22,086,203,309; | 84.9% | |
| Other Assets | $1,751,360,293 | Operating Revenue | $3,922,745,880 | 15.1% | |
| Total Assets | $9,999,429,000 | Operating Expenses | $4,139,288,752 | 105.5% | |
| Current Liabilities | $911,745,000 | Operating Margin | ($216,542,872) | -5.5% | |
| Long Term Liabilities | $2,397,310,000 | Other Income | $787,407,893 | 20.1% | |
| Total Equity | $6,690,374,000 | Other Expense | $156,299 | 0.0% | |
| Total Liabilities and Equity | $9,999,429,000 | Net Profit or Loss | $570,708,722 | 14.5% | |
| Line | Account | Cost | Charges | Ratio | 
| 30 | Adults and Pediatrics - General Routine Care | $612,620,485 | $3,039,650,960 | 0.2015 | 
| 31 | Intensive Care Unit | $75,263,854 | $519,452,479 | 0.1449 | 
| 32 | Coronary Care Unit | $25,260,230 | $148,565,924 | 0.1700 | 
| 43 | Nursery | $4,488,183 | $47,972,095 | 0.0936 | 
| 44 | Skilled Nursing Care | $0 | $0 | |
| 50 | Operating Room | $176,659,342 | $2,246,826,680 | 0.0786 | 
| 51 | Recovery Room | $0 | $0 | |
| 52 | Labor and Delivery Room | $53,147,635 | $201,961,659 | 0.2632 | 
| Lines | Description | Amount | Lines | Description | Amount | 
| 01 | Capital Related - Building and Fixtures | $216,557,793 | 13 | Nursing Administration | $30,729,866 | 
| 02,03 | Captial Related - Movable Equipment | $114,402,756 | 14 | Central Services and Supply | $24,804,536 | 
| 04 | Employee Benefits | $511,935,275 | 15 | Pharmacy | $20,903,369 | 
| 05 | Administrative and General | $625,071,304 | 16 | Medical Records and Medical Library | $22,383,778 | 
| 06 | Maintenance and Repairs | $16,658,449 | 17 | Social Services | $14,388,479 | 
| 07 | Operation of Plant | $57,971,442 | 18 | Other General Service Expense | $0 | 
| 08,09 | Laundry, Linen and Housekeeping | $38,658,484 | 19 | Non Physician Anesthetist | $0 | 
| 10,11 | Dietary and Cafeteria | $23,277,913 | 20,21,22,23 | Education Programs | $46,607,489 | 
| Total General Service Cost Centers | $1,764,350,933 |