or your not-or grofit hospit Below yos re provided Ending Balnos from 2018 finanial statements Hint the below informacion is necessary for you to complete the asignment Vulcan Balance Sheet and O Accounts Receivable,Net Prepaid Expanse Net Building and Equipment 86250 $195,500 28,750 S235,750 S230,000 $345,000 Land Salaries and Benefits Medical Supplies and Drugs 6,325 S11,500 ,750 17,250 s 805,000 9,200 6,900 Insurance Interest Provision for Bad Debs Other Operating Expenses Accounts Payable Wages Payable Mortgage Payable S575,000 S 402,500 S 201,2s0 S 402,500 S287,500 115,000 2Tamporaily Restricted Pemanently Restricted S 862,500 S 172,500 5,750 e Net Patient Sarvices Revenue Premium Revnue Other Operating Revanue 1 Complete the jounal antries and comasponding T account records that ane provided to you in "Joumal Entries wokshest 2 using the hinnation provided to you fill out Noter-Profiteder including the beginniag and ending bala 3 By using the information provided to you and infomation that you ganeratod in the lodger, prepare your The Balance Sheet and The Income Statement as of Decomber 31 2019 by utilizing sens 4 By using the information provided to you and infomation that you generatod, prepare your Cash Flow statement as of Decoamber 31 2019 by utilizing the Statemon of the Cecl Flow Templaste Hlat: Please use the direct method for your Cash Flow Statement 5 Calculate Common Size Ratios fr your The Balance Sheet and The Income Statement and interpret the n salts Hist: Pleaie suse the Total Assets as Balasoe Shoet's denominator and Total Reveneues from Opanationsncome Statenmant's denominator 6 Calculate Liquidty, Solvancy, Efficiancy and Prottability ratios for your The Balance Sheet and The Income Statoment nd inerpret the results 08 These are the hat took place daring Flcal Year 2019 Journal Entries Not-for-Profit Ledger Income Statement wages dueto mpieythet had been previeanly rearded liability are new paid in cash im ehe amount "f sa sa,see. sa efenplayee' wege is recegeised as sa expense. Journal Entries Not-for-Profit Ledger CashFlow Statement Ratic COMMUNITY HOSPITA Operating Statement For the Year Ending Decennber 31. 2019 A r Net Patient Services Revenue Premium Revenue Other Operating Revenue Total Reveneues from Operations Salaries and Benefits Medical Supplies and Drugs Depreciation interest Provision for Bad Debts Other Operating Expenses Total Expenses from Operations Excess of Revenues Over Expenses Unrestricted Contributions Transfer to parents, Net Income Common size ratios' comments: VULCAN COMMUNITY HOSPITAL Ralance Sheet As of I r 31, 2019 Liabilities Current Assets Cask Accounts Receivable, Net Inventory Prepaid Expense Total Current Assets Current liabilities Accounts Payable Wages Payable Tetal Current Liabilities Long-term liabilities Mortgage Payable Total Long-term liabilities Total Liabilities Fixed Asrts Net Building and Equipment Land Tetal Fixed Assets Net Assets Unrestricted Temporarily Restricted Permanently Restricted Total Net Assets Goodwil TOTAL ASSETS TOTAL LIABILITIES&NET ASSETS Common size ratios' comments VULCAN COMMUNITY HOSPITAL Statement of Cash Flows For the Year Ending Decamber 31, 2019 Cash Flows from Operating Activities Collections Payments to Sellers Payments to Employees Interest Payments Net Cash from Operating Activities Cash Flows from Investing Activities Purchase of New Equipment Net Cash Used for Investing Activities Cash Flows from Financing Activities Payment of mortgage principal Net Cash from Financing Activities NET INCREASE/(DECREASE) IN CASH CASH, BEGINNING OF YEAR CASH, END OF YEAR VULCAN COMMUNTTY BOSPTTAL FINANCIAL RATIOS Net Accoum Recevabe Operating Expens Deprecision)/345 Total Revesue 7 Taul Amet Tursever ret Expen 10 L.rm Debe". Ne' A. Rates Instructions Journal Entries Not-for-Profit Ledger Income Statement BalanceSheet CashFlow Statement or your not-or grofit hospit Below yos re provided Ending Balnos from 2018 finanial statements Hint the below informacion is necessary for you to complete the asignment Vulcan Balance Sheet and O Accounts Receivable,Net Prepaid Expanse Net Building and Equipment 86250 $195,500 28,750 S235,750 S230,000 $345,000 Land Salaries and Benefits Medical Supplies and Drugs 6,325 S11,500 ,750 17,250 s 805,000 9,200 6,900 Insurance Interest Provision for Bad Debs Other Operating Expenses Accounts Payable Wages Payable Mortgage Payable S575,000 S 402,500 S 201,2s0 S 402,500 S287,500 115,000 2Tamporaily Restricted Pemanently Restricted S 862,500 S 172,500 5,750 e Net Patient Sarvices Revenue Premium Revnue Other Operating Revanue 1 Complete the jounal antries and comasponding T account records that ane provided to you in "Joumal Entries wokshest 2 using the hinnation provided to you fill out Noter-Profiteder including the beginniag and ending bala 3 By using the information provided to you and infomation that you ganeratod in the lodger, prepare your The Balance Sheet and The Income Statement as of Decomber 31 2019 by utilizing sens 4 By using the information provided to you and infomation that you generatod, prepare your Cash Flow statement as of Decoamber 31 2019 by utilizing the Statemon of the Cecl Flow Templaste Hlat: Please use the direct method for your Cash Flow Statement 5 Calculate Common Size Ratios fr your The Balance Sheet and The Income Statement and interpret the n salts Hist: Pleaie suse the Total Assets as Balasoe Shoet's denominator and Total Reveneues from Opanationsncome Statenmant's denominator 6 Calculate Liquidty, Solvancy, Efficiancy and Prottability ratios for your The Balance Sheet and The Income Statoment nd inerpret the results 08 These are the hat took place daring Flcal Year 2019 Journal Entries Not-for-Profit Ledger Income Statement wages dueto mpieythet had been previeanly rearded liability are new paid in cash im ehe amount "f sa sa,see. sa efenplayee' wege is recegeised as sa expense. Journal Entries Not-for-Profit Ledger CashFlow Statement Ratic COMMUNITY HOSPITA Operating Statement For the Year Ending Decennber 31. 2019 A r Net Patient Services Revenue Premium Revenue Other Operating Revenue Total Reveneues from Operations Salaries and Benefits Medical Supplies and Drugs Depreciation interest Provision for Bad Debts Other Operating Expenses Total Expenses from Operations Excess of Revenues Over Expenses Unrestricted Contributions Transfer to parents, Net Income Common size ratios' comments: VULCAN COMMUNITY HOSPITAL Ralance Sheet As of I r 31, 2019 Liabilities Current Assets Cask Accounts Receivable, Net Inventory Prepaid Expense Total Current Assets Current liabilities Accounts Payable Wages Payable Tetal Current Liabilities Long-term liabilities Mortgage Payable Total Long-term liabilities Total Liabilities Fixed Asrts Net Building and Equipment Land Tetal Fixed Assets Net Assets Unrestricted Temporarily Restricted Permanently Restricted Total Net Assets Goodwil TOTAL ASSETS TOTAL LIABILITIES&NET ASSETS Common size ratios' comments VULCAN COMMUNITY HOSPITAL Statement of Cash Flows For the Year Ending Decamber 31, 2019 Cash Flows from Operating Activities Collections Payments to Sellers Payments to Employees Interest Payments Net Cash from Operating Activities Cash Flows from Investing Activities Purchase of New Equipment Net Cash Used for Investing Activities Cash Flows from Financing Activities Payment of mortgage principal Net Cash from Financing Activities NET INCREASE/(DECREASE) IN CASH CASH, BEGINNING OF YEAR CASH, END OF YEAR VULCAN COMMUNTTY BOSPTTAL FINANCIAL RATIOS Net Accoum Recevabe Operating Expens Deprecision)/345 Total Revesue 7 Taul Amet Tursever ret Expen 10 L.rm Debe". Ne' A. Rates Instructions Journal Entries Not-for-Profit Ledger Income Statement BalanceSheet CashFlow Statement