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FORM 990, PART VI, SECTION B, LINE 11 |
FORM 990 IS PREPARED BY THE ASSISTANT CONTROLLER OF THE HOSPITAL AND REVIEWED BY THE VICE PRESIDENT OF FINANCE AND CFO. THE HOSPITAL'S EXTERNAL ACCOUNTANT ALSO REVIEWS THE FORM 990. ONCE FORM 990 IS COMPLETED, THE FORM AND ALL ITS ACCOMPANYING SCHEDULES ARE MADE AVAILABLE TO THE HOSPITAL'S BOARD OF TRUSTEES VIA A SECURE INTERNET PORTAL FOR REVIEW. THE VICE PRESIDENT OF FINANCE AND CFO ARE MADE AVAILABLE TO FACILITATE THE REVIEW AND ANSWER ANY QUESTIONS REGARDING THE FORM THE TRUSTEES MAY HAVE. |
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FORM 990, PART VI, SECTION B, LINE 12C |
ON AN ANNUAL BASIS, THE HOSPITAL DISTRIBUTES A CONFLICT OF INTEREST POLICY TO THE BOARD OF TRUSTEES. THE TRUSTEES ARE REQUIRED TO DISCLOSE IN WRITING, ANY POTENTIAL CONFLICT THAT THEY ARE AWARE OF. ALL KNOWN INTEREST HAVE BEEN DISCLOSED IN SCHEDULE L. |
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FORM 990, PART VI, SECTION B, LINE 15 |
THE CEO'S ANNUAL COMPENSATION IS REVIEWED & APPROVED BY AN EXECUTIVE COMPENSATION COMMITTEE OF THE BOARD OF TRUSTEES. THE COMPENSATION FOR THE CFO, COO, AND SENIOR MANAGEMENT IS DETERMINED BY THE CEO AND REVIEWED BY AN EXECUTIVE COMPENSATION COMMITTEE OF THE BOARD OF TRUSTEES. INDEPENDENT SURVEYS ARE ALSO PERFORMED TO DETERMINE SALARY REASONABLENESS. |
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FORM 990, PART VI, SECTION C, LINE 18 |
THE HOSPITAL MAKES ALL DOCUMENTS INCLUDING FORM 990 AVAILABLE TO THE GENERAL PUBLIC UPON REQUEST. |
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FORM 990, PART VI, SECTION C, LINE 19 |
THE HOSPITAL MAKES ALL DOCUMENTS INCLUDING COPIES OF ITS BY-LAWS, CONFLICT OF INTEREST POLICY, AND FINANCIAL STATEMENTS AVAILABLE TO THE GENERAL PUBLIC UPON REQUEST. |
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FORM 990, PART VIII, LINE 11A: |
ON DECEMBER 20, 2011, CMS APPROVED A THREE-YEAR MASSACHUSETTS MEDICAID WAIVER EXTENSION FOR THE PERIOD OF JULY 1, 2011 THROUGH JUNE 30, 2014 THAT INCLUDED DELIVERY SYSTEM TRANSFORMATION INITIATIVE ("DSTI") POTENTIAL FUNDING OF $14,433,000 ANNUALLY FOR LGH FOR EACH YEAR OF THE WAIVER. THE DSTI FUNDING IS DESIGNED AS INCENTIVE PAYMENTS TO SUPPORT INITIATIVES THAT FURTHER INVESTS IN HEALTHCARE DELIVERY SYSTEMS. THE AMOUNT IS REFLECTED AS OTHER OPERATING REVENUE IN OUR FINANCIAL STATEMENTS AND FORM 990. |
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FORM 990 PART IX LINE 24(F) |
CHEMICAL REAGANTS (PROGRAM EXPENSES) = $2,163,544 CARDIAC CATH LAB SUPPLIES (PROGRAM EXPENSES) = $2,053,922 FOOD (PROGRAM EXPENSES) = $1,374,062 OTHER (PROGRAM EXPENSES) = $9,612,286 TOTAL PROGRAM EXPENSES = $15,203,814 OTHER (MANAGEMENT EXPENSES) = $4,287,404 TOTAL MANAGEMENT EXPENSES = $4,287,404 OTHER (FUNDRAISING EXPENSES) = $42,476 TOTAL OTHER MANAGEMENT EXPENSES = $42,476 |
CHANGES IN NET ASSETS OR FUND BALANCES: |
FORM 990, PART XI, LINE 9: |
NET ASSET TRANSFER TO COMMUNITY MEDICAL ASSOCIATES, INC. -482,000. CONTRIBUTIONS -36,000. CHANGE IN VALUE OF NET ASSETS HELD BY LGH CHARITABLE TRUST 1,253,000. OTHER 1,086. CAPITAL GRANT FROM LGH CHARITABLE TRUST, INC. 287,000. |