2024 AR - Flipbook - Page 15
FINANCIAL OVERVIEW: fiscal year ending June 30, 2024
In FY2024, Second Chance Center demonstrated strong fiscal stewardship and continued growth. With
$8.89 million in total revenue and $7.49 million in expenses, SCC ended the year with a surplus of $1.45
million, bringing total net assets to $6.48 million.
total revenue = $8,893,105
total expenses = $7,491,591
86.4%
73%
GRANTS & CONTRIBUTIONS
$7,686,454
PROGRAM SERVICES
$5,454,646
73ยข
of every
dollar goes to
programs
23%
DEV. FEE INCOME
5.5% $488,526