SAINT ANNE OF WINONA
WINONA, MN  55987

Medicare Provider Number: 245233
Cost report status: Settled Without Audit
[Record Code 1342370 - 2010]

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STATEMENT OF REVENUES AND EXPENSES Provider CCN: 245233
PERIOD:
FROM 07/01/2021
TO 06/30/2022
WORKSHEET G-3
1 Total patient revenues (from Wkst. G-2, Pt. I, col. 3, line 14) ### 1
2 Less: contractual allowances and discounts on patients accounts ### 2
3 Net patient revenues (line 1 minus line 2) ### 3
4 Less: total operating expenses (form Wkst. G-2, Pt. II, line 15) ### 4
5 Net income from service to patients (line 3 minus 4) ### 5
  Other income:    
6 Contributions, donations, bequests, etc. 6
7 Income from investments ### 7
8 Revenues from communications (telephone and internet service) 8
9 Revenue from television and radio service 9
10 Purchase discounts 10
11 Rebates and refunds of expenses 11
12 Parking lot receipts 12
13 Revenue from laundry and linen service 13
14 Revenue from meals sold to employees and guests ### 14
15 Revenue from rental of living quarters 15
16 Revenue from sale of medical and surgical supplies to other than patients 16
17 Revenue from sale of drugs to other than patients 17
18 Revenue from sale of medical records and abstracts 18
19 Tuition (fees, sale of textbooks, uniforms, etc.) 19
20 Revenue from gifts, flower, coffee shops, canteen 20
21 Rental of vending machines 21
22 Rental of skilled nursing space 22
23 Governmental appropriations 23
24 Other miscellaneous revenue (specify __BEAUTY SHOP____) ### 24
24.01 OT HOME VISITS ### 24.01
24.02 PT HOME VISITS ### 24.02
24.03 GRANT REVENUE ### 24.03
24.04 MISC INCOME ### 24.04
24.05 UNEARANED REVENUE COVID ### 24.05
24.06 MN EMERGENCY STAFFING FUNDS COVID ### 24.06
24.07 UNRESTRICTED REALIZED GAIN ### 24.07
24.08 ST HOME VISITS ### 24.08
24.09 HOME VISITS ### 24.09
24.10 ADC REVENUE ### 24.10
24.11 GIFT SHOP INCOME ### 24.11
24.12 TRAINING REVENUE ### 24.12
24.13 HCBS MISC INCOME ### 24.13
24.14 HCBS GRANT REVENUE ### 24.14
24.15 MISC TAXABLE REVENUE ### 24.15
24.16 ROUNDING ### 24.16
24.50 COVID-19 PHE Funding 24.50
25 Total other income (sum of lines 6 - 24) ### 25
26 Total (line 5 plus line 25) ### 26
27 Other expenses (specify ___UNRESTRICTED UNREALIZED LOSS__) ### 27
28 FINANCE CHARGES ### 28
29 INVESTMENT FEES ### 29
29.01 PRIOR YEAR ### 29.01
29.03 CALISTA COURT NET LOSS ### 29.03
29.04 TRAINING REV RECLASS ### 29.04
30 Total other expenses (sum of lines 27 - 29) 30
31 Net income (or loss) for the period (line 26 minus line 30) ### 31
FORM CMS-2540-10 (06/2021) (INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB. 15-2, SECTION 4140)
06-21     Rev. 10