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Financial Statements for the Association of the Bar of the City of New York


Statement of Financial Position
As of April 30, 2009

Assets
Cash and cash equivalents
$ 2,450,227
Accounts receivable, net
864,854
Prepaid expenses
354,127
Investments
7,494,962
Land, property and equipment, net
13,725,672

Total assets

$ 24,889,842

Liabilities and Net Assets
Liabilities:
Accounts payable and accrued expenses
$ 1,453,140
Dues received in advance
1,234,930
Accrued pension cost
1,470,642

Total liabilities

4,158,712
Unrestricted net assets:
Operating funds
239,558
Invested in land, property and library
9,913,962
Executive Committee Designated Funds:
Long-term investment
5,181,880
Capital improvements
153,681
Endowments
1,140,863
Cumulative gains on permanently restricted endowments
754,014

Total unrestricted net assets

17,383,958
Temporarily restricted net assets:
Spendable restricted funds
466,169
Funds functioning as endowments
1,188,791
Cumulative gains on permanently restricted endowments
900,995

Total temporarily restricted net assets

2,555,955
Permanently restricted net assets
791,217

Total net assets

20,731,130
Total Liabilities and Net Assets


$ 24,889,842




Statement of Activities
Year Ended April 30, 2009

Operating revenues:
Dues and admission fees
$ 7,018,787
Investment earnings appropriated for current operations
698,509
Continuing legal education
3,208,530
Legal referral service
1,590,576
Catering services
1,253,628
Library services
75,582
Committee and legislative programs
145,225
Royalty income
249,793
Membership program income
81,035
Other income
270,998

Revenues before net assets released from restrictions

14,592,663
Net assets released from restrictions
99,920

Total operating revenues

14,692,583
Operating expenses:
Program activities
11,524,634
General and administrative
3,155,296

Total operating expenses

14,679,930
Operating Surplus

12,653
Nonoperating activities:

Net investment losses in excess of amounts designated
for current operations
(3,070,492)
Other income
237,470
Depreciation
(562,844)
Loss in actuarial valuation of pension cost
(368,251)

Change in unrestricted net assets

(3,751,464)
Change in temporarily restricted net assets:
Net investment losses
(773,128)
Other income
26,312
Net assets released from restrictions for current operations
(99,920)

Change in temporarily restricted net assets

(846,736)
Change in net assets
(4,598,200)
Net assets – beginning of year
25,329,330
 
Net assets – end of year
$ 20,731,130
 




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