| LONG ISLAND JEWISH MEDICAL CENTER | Hospital POS Number | 330195 |
| 275-05 76TH STREET | Hospital Control | Nonprofit - Other |
| NEW HYDE PARK , NY 11040 | Hospital Type | General Short Term |
| QUEENS | Medicare Utilization | Full Util |
| Hospital Location is Rural | ||
| Total Cost Report Beds 991 | ||
| Cost Report 776265 12/31/2023 for 365 Days | Cost Report Status is Submitted | Total POS Beds 0 |
| Financial KPI's | Operating KPI's | ||||
| Current Ratio | 1.7 | Patient Occupancy Percent | 91.1% | ||
| Days to Collect in AR | 54.8 Days | Avg Length of Stay (LOS) | 5.1 Days | ||
| Avg AP Payment Days | 35.5 Days | Medicare LOS | 7.0 Days | ||
| Days of Cash in Bank | 0.1 Days | Employee Avg Hourly Wages | $63.90 | ||
| Balance Sheet | Income Statement | ||||
| Current Assets | $1,292,668,000 | Total Charges | $13,822,049,311 | ||
| Fixed Assets | $1,385,631,000 | Contract Allowance | $10,672,337,810; | 77.2% | |
| Other Assets | $959,018,000 | Operating Revenue | $3,149,711,501 | 22.8% | |
| Total Assets | $3,637,317,000 | Operating Expenses | $4,003,637,074 | 127.1% | |
| Current Liabilities | $776,999,000 | Operating Margin | ($853,925,573) | -27.1% | |
| Long Term Liabilities | $1,757,220,000 | Other Income | $1,118,060,166 | 35.5% | |
| Total Equity | $1,103,098,000 | Other Expense | $2,714,001 | 0.1% | |
| Total Liabilities and Equity | $3,637,317,000 | Net Profit or Loss | $261,420,592 | 8.3% | |
| Line | Account | Cost | Charges | Ratio |
| 30 | Adults and Pediatrics - General Routine Care | $604,184,859 | $3,987,356,367 | 0.1515 |
| 31 | Intensive Care Unit | $107,441,407 | $351,843,232 | 0.3054 |
| 32 | Coronary Care Unit | $25,447,218 | $48,054,684 | 0.5295 |
| 43 | Nursery | $9,053,221 | $158,888,613 | 0.0570 |
| 44 | Skilled Nursing Care | $22,689,362 | $31,502,732 | 0.7202 |
| 50 | Operating Room | $164,122,719 | $712,154,907 | 0.2305 |
| 51 | Recovery Room | $38,954,597 | $154,046,131 | 0.2529 |
| 52 | Labor and Delivery Room | $50,359,850 | $60,687,392 | 0.8298 |
| Lines | Description | Amount | Lines | Description | Amount |
| 01 | Capital Related - Building and Fixtures | $120,180,631 | 13 | Nursing Administration | $0 |
| 02,03 | Captial Related - Movable Equipment | $98,634,972 | 14 | Central Services and Supply | $0 |
| 04 | Employee Benefits | $394,145,294 | 15 | Pharmacy | $0 |
| 05 | Administrative and General | $384,205,110 | 16 | Medical Records and Medical Library | $5,314,358 |
| 06 | Maintenance and Repairs | $56,486,478 | 17 | Social Services | $8,676,503 |
| 07 | Operation of Plant | $28,031,970 | 18 | Other General Service Expense | $73,750,245 |
| 08,09 | Laundry, Linen and Housekeeping | $41,963,739 | 19 | Non Physician Anesthetist | $0 |
| 10,11 | Dietary and Cafeteria | $33,155,537 | 20,21,22,23 | Education Programs | $105,164,691 |
| Total General Service Cost Centers | $1,349,709,528 |