CareArc continued to see positive financial gains according to the monthly financial report delivered Tuesday afternoon.
According to the report, presented to the CareArc Board of Directors, the month of July saw a net gain of $15,188, favorable to a budgeted gain of $5,172. Days cash on hand increased from 170 days to 223.82 days.
Year-to-date, CareArc has had a financial gain of $880,835.
In other business, the board received the standard clinic reports and approved pharmacy audits, the monthly CEO and human resources reports along with clinical dashboards as part of the consent agenda portion of the meeting. One executive session for financial matters was also held with no action taken.
The CareArc Board will reconvene for its monthly meeting on Tuesday, September 26 at noon inside of the CareArc Emporia campus.