Corpus Intelligence Financials — ST MARYS REGL MEDICAL CENTER 2026-04-26 04:05 UTC
Financials — ST MARYS REGL MEDICAL CENTER
3-statement model reconstructed from HCRIS + deal profile
🛡️ Public data only — no PHI permitted on this instance.

Income Statement

Line ItemAmount
Gross Patient Revenue estimated$213.9M
Contractual Allowances estimated$-117.6M
Net Patient Revenue deal_profile$96.3M
Bad Debt Expense benchmark 3%$-2.9M
Total Operating Revenue computed$93.4M
Salaries & Wages benchmark 55% opex$-48.7M
Supplies benchmark 18% opex$-15.9M
Other Operating residual$-23.9M
Total Operating Expenses estimated$-88.6M
EBITDA computed$4.8M
D&A benchmark 4% NPR$-3.9M
EBIT computed$1.0M
Interest benchmark 2% NPR$-1.9M
EBT computed$-1.0M
Taxes 25% rate$0.0M
Net Income computed$-1.0M

Balance Sheet

Line ItemAmount
Cash benchmark 45 days$11.9M
A/R deal_profile$7.8M
Inventory benchmark 15 days$4.0M
Other Current benchmark 2%$1.9M
Total Current Assets computed$25.5M
PP&E Net benchmark 60% NPR$57.8M
Other Assets benchmark 5%$4.8M
Total Assets computed$88.1M
A/P benchmark 40 days$9.7M
Accrued Liab benchmark 6% opex$5.3M
Current Debt benchmark 5% total debt$0.8M
Total Current Liab computed$15.9M
LT Debt benchmark 3.5x EBITDA$16.0M
Total Liabilities computed$31.9M
Total Equity plug (A - L)$56.2M
Total L + E computed$88.1M

What This Means

This 3-statement model reconstructs the hospital's income statement, balance sheet, and cash flow from HCRIS cost report data. Each line item is tagged with its data source: HCRIS (actual reported), deal_profile (user input), benchmark (industry estimate), computed (derived).

Use this to identify data quality: lines tagged "benchmark" are estimates that should be validated during diligence. Request actual data for these items via diligence questions.

Cash Flow Statement

Line ItemAmount
Net Income computed$-1.0M
+ D&A from IS$3.9M
Change in A/R 3% growth$-0.2M
Change in Inventory 2% growth$-0.1M
Change in A/P 2% growth$0.2M
CFO computed$2.8M
CapEx benchmark 4% NPR$-3.9M
CFI computed$-3.9M
Debt Repayment 5% of LT debt$-0.8M
CFF computed$-0.8M
Net Change computed$-1.9M
FCF CFO - CapEx$-1.1M