Financial Sustainability

LA Family Housing balances diverse revenue streams to support our work to end homelessness in people’s lives. Our revenue includes public government contracts and private philanthropic support from a wide range of individual donors, foundations, and corporations, as well as earned revenue from our affordable housing properties and developer fees.  

2024 Donor Roll

STATEMENT OF FINANCIAL POSITION

ASSETS

2024

2023

2022

Cash & Cash Equivalents $6,258,308 $8,975,285 $10,343,221
Restricted Cash $14,374,757 $6,678,201 $5,947,628
Receivable, Net $14,449,343 $25,840,796 $25,285,994
Notes Receivable $2,164,655 $2,614,796 $14,429,340
Property and Equipment $325,049,202 $297,010,832 $233,712,163
Prepaid Expenses and Other Assets $14,523,946 $13,942,390 $23,732,163
TOTAL ASSETS $376,820,211 $354,612,159 $313,450,509

LIABILITIES & NET ASSETS

LIABILITIES 2024 2023 2022
Accounts Payable $24,937,398 $19,116,521 $25,229,292
Notes Payable $232,284,814 $220,142,467 $176,512,198
Long Term Accrued Expenses $21,155,433 $22,308,472 $19,070,770
Other Liabilities $15,531,314 $19,594,419 $16,725,689
TOTAL LIABILITIES $242,492,779 $281,161,879 $237,537,949

NET ASSETS 2024 2023 2022
Unrestricted $53,895,210 $48,925,723 $51,251,872
Donor Restricted $21,678,943 $24,524,557 $24,660,688
TOTAL NET ASSETS $75,574,153 $73,450,280 $75,912,560

STATEMENT OF FINANCIAL ACTIVITIES

REVENUE

2024

2023

2022

Government Contracts $74,918,229 $65,145,048 $70,773,593
Private and In-Kind Contributions $15,536,737 $9,116,466 $31,684,123
Rental Revenue $10,167,283 $7,975,296 $5,910,835
Development Fees $3,568,390 $1,376,408 $1,525,455
Other Income (Investment income, gains on cancellation of debt) $6,700,198 $6,966,579 $6,144,598
TOTAL REVENUE $110,890,837 $90,579,797 $116,038,604

EXPENSES

2024

2023

2022

Direct Services $92,305,538 $69,730,248 $67,664,930
Administrative Services $19,490,091 $19,783,099 $14,040,735
TOTAL BEFORE FINANCIAL EXPENSES $111,795,629 $89,513,347 $81,705,665
CHANGE IN NET ASSETS BEFORE FINANCIAL EXPENSES ($904,792) $1,066,450 $34,332,939
Depreciation & Amortization Expense $7,302,826 $8,115,354 $4,979,489
Residual Receipt & Interest Expense $5,214,527 $2,731,877 $2,400,914

TOTAL CHANGE IN NET ASSETS

($13,422,145)

($9,780,781)

$26,952,536

2024 Revenue Streams

2024 Expense Distribution

Data is based on audited financial statements prepared by Holthouse, Carlin, and Van Trigt, LLP.