📄 Extracted Text (696 words)
Donald M. Pomeranz, D.D.S.
Profit & Loss
Accrual Basis January through December 2012
Jan - Dec 12 Jan - Dec 11
Ordinary Income/Expense
Income
Fees
Donald Pomeranz 1,069,937.97 1,174,956.42
Total Fees 1,069,937.97 1,174,956.42
Misc Income- voided checks 0.00 374.61
Total Income 1,069,937.97 1,175,331.03
Gross Profit 1,069,937.97 1.175.331.03
Expense
Salaries I Wages
Officer Salary 156.000.00 156,000.00
Salaries / Wages - Other 309,489.57 301,166.51
Total Salaries I Wages 465,489.57 457,166.51
Dental Supplies 61,334.10 66.339.91
Laboratory Fees 108,842.49 121,797.20
Advertising 2,484.50 4,297.85
Automobile Expense 2,853.65 6,362.35
Bad Debt 1,308.10 0.00
Bank Service Charges 22.654.73 22,472.71
Contributions 4,619.25 8,832.86
Dues and Subscriptions 6,017.55 5,700.03
Employee Benefits - Health ins. 57,078.38 54,378.50
Employee Bonus 3,350.00 3200.00
Insurance
Auto 3,503.36 0.00
Disability 6,894.03 0.00
Health - MASA 1.791.64 1,298.78
Life 5,209.72 7,256.54
Malpractice 1,254.00 1,254.00
Work Comp 4.413.57 263.02
Insurance - Other 0.00 4,772.70
Total Insurance 23,066.32 14,845.04
Interest Expense 3,604.18 656.39
Janitorial 7,812.13 9,010.00
Office Supplies 13,926.03 18,442.12
Postage and Delivery 7,129.33 9,597.94
Printing and Reproduction 66t98 695.70
Professional Development 898.80 1,490.00
Professional Fees
Consulting/Training 209.00 35.00
Legal Fees 469.00 3,500.00
Professional Fees - Other 4,880.00 10,625.00
Total Professional Fees 5,558.00 14,160.00
Rent 25,200.00 25,200.00
EFTA00607445
Donald M. Pomeranz, D.D.S.
Profit & Loss
Accrual Basis January through December 2012
Jan • Dec 12 Jan - Dec 11
Repairs & Maintenance
Maintanence(exterminating) 0.00 625.00
Repairs & Maintenance - Other 11.757.41 10,831.02
Total Repairs & Maintenance 11,757.41 11,456.02
Taxes
Franchise 150.00 150.00
Excise 523.97 24.98
Licenses and Permits 915.00 200.00
Payroll taxes 34.078.96 31,867.56
Gross Receipts 51.427.13 50,573.90
Total Taxes 87.095.06 82.816.44
Telephone / Internet 15,986.69 13.027.50
Travel & Ent
Meals & Ent. 1.032.79 2,780.52
Travel 6.805.43 1,464.07
Total Travel & Ent 7,838.22 4.244.59
Uniforms 1,153.75 1,200.00
Utilities 19,815.85 24,086.21
Total Expense 967,536.07 981,475.87
Net Ordinary Income 102,401.90 193.855.16
Other Income/Expense
Other Expense
Depreciation Expense 11,157.00 8.624.00
Total Other Expense 11,157.00 8,624.00
Net Other Income -11,157.00 -8,624.00
Net Income 91,244.90 185,231.16
EFTA00607446
Donald M. Pomeranz, D.D.S.
Profit & Loss
Accrual Basis January through December 2014
Jan - Dec 14 Jan - Dec 13
Janitorial
Janitorial - Other 5.515.00 6.450.00
Total Janitorial 5,515.00 6,450.00
Office Supplies 15,308.12 16,392.05
Postage and Delivery 8,268.89 8,404.15
Printing and Reproduction 1,340.52 170.29
Professional Development 6,044.57 1,120.00
Professional Fees
Consulting/Training 1,252.85 130.00
Legal Fees 1,721.00 3,500.00
Professional Fees - Other 5,584.15 3,425.00
Total Professional Fees 8,558.00 7,055.00
Rent 25,200.00 25,200.00
Repairs & Maintenance
Repairs & Maintenance - Other 52,355.13 17,252.13
Total Repairs & Maintenance 52,355.13 17,252.13
Taxes
Franchise 150.00 150.00
Excise 1,624.61 1,099.95
Licenses and Permits 462.00 730.00
Payroll taxes 42,606.73 36,608.73
Gross Receipts 61.701.58 52,097.76
Total Taxes 106,544.92 90,686.44
Telephone / Internet 14,984.00 17,790.58
Travel & Ent
Meals & Ent. 1,320.60 920.50
Travel 0.00 1,751.60
Total Travel & Ent 1,320.60 2,672.10
Uniforms 1,789.64 1,246.05
Utilities 21,845.31 20,942.62
Total Expense 1,135,223.38 956,148.47
Net Ordinary Income 153,439.64 80,039.15
Other Income/Expense
Other Income
Prior Year Uncleared checks 0.00 469.60
Total Other income 0.00 469.60
Other Expense
Depreciation Expense 7,918.00 12,177.00
Total Other Expense 7,918.00 12,177.00
Net Other Income -7,918.00 -11,707.40
Net Income 145,521.64 68,331.75
EFTA00607447
Donald M. Pomeranz, D.D.S.
Profit & Loss
Accrual Basis January through December 2014
Jan - Dec 14 Jan - Dec 13
Ordinary Income/Expense
income
Fees
Donald Pomeranz 1.288.663.02 1,036.187.62
Total Fees 1,288,663.02 1,036,187.62
Total Income 1,288,663.02 1,036,187.62
Gross Profit 1,288,663.02 1,036,187.62
Expense
Salaries / Wages
Officer Salary 156,000.00 153,000.00
Salaries / Wages - Other 387,873.26 318.920.42
Total Salaries / Wages 543,873.26 471,920.42
Dental Supplies 80,242.18 48,426.92
Laboratory Fees
Dr. Gray 3,647.41 0.00
Laboratory Fees - Other 83,770.25 101,119.57
Total Laboratory Fees 87,417.66 101,119.57
Advertising 1,342.40 1,679.00
Automobile Expense 3.040.00 2,906.95
Bank Service Charges 29,704.09 23,213.15
Contributions 8,969.00 2,631.00
Dues and Subscriptions 5,383.04 4,412.05
Employee Benefits - Health Ins.
Employee Benefits - Health Ins. - Ot... 74,861.13 53,253.39
Total Employee Benefits • Health Ins. 74,861.13 53,253.39
Employee Bonus 3,700.00 3,500.00
Contract / Casual Labor
Contract / Casual Labor - Other 120.00 0.00
Total Contract / Casual Labor 120.00 0.00
Insurance
Auto 160.00 160.00
Disability 850.14 850.14
Health - MASA 845.00 1,619.20
Life 15,825.82 15,128.58
Malpractice 1,254.00 1,254.00
Work Comp 388.67 320.04
Property 2,277.00 2,186.00
Insurance - Other 2.369.15 0.00
Total Insurance 23,969.78 21,517.96
Interest Expense
Interest Expense - Other 3,526.14 6,186.65
Total Interest Expense 3,526.14 6,186.65
EFTA00607448
ℹ️ Document Details
SHA-256
d048891c35d2e2ef3547ee51d20a7a5aafc94acfc40c3089914741e35fe107ec
Bates Number
EFTA00607445
Dataset
DataSet-9
Document Type
document
Pages
4
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