Civic Intelligence

Chippewa Cnty War Memorial Hospital Inc

EIN 38-2602147 • 501(c)3 • Sault Ste Marie, MI

Profile

Our commitment is to improve the quality of life and health through partnerships with those we serve.

500 Osborn BoulevardSault Ste Marie, MI 49783

www.warmemorialhospital.org

Siviq Scores

Precomputed percentiles relative to similar nonprofits. These scores are descriptive rather than judgmental.

Liabilities / Assets

55th percentile

0.31x

Higher debt load relative to assets than 55% of similar nonprofits.

501(c)3 • $100M-$250M nonprofits • Source year 2024

Liabilities / Revenue

33rd percentile

0.23x

Higher debt load relative to revenue than 33% of similar nonprofits.

501(c)3 • $100M-$250M nonprofits • Source year 2024

Net Margin

18th percentile

-6.3%

Higher net margin than 18% of similar nonprofits.

501(c)3 • $100M-$250M nonprofits • Source year 2024

Top Officer Pay

92nd percentile

$2,012,878

Higher top officer pay than 92% of similar nonprofits.

Top officer pay equals 1.5% of source-year revenue.

501(c)3 • $100M-$250M nonprofits • Source year 2024

Asset Growth

10th percentile

-5.7%

Faster asset growth than 10% of similar nonprofits.

501(c)3 • $100M-$250M nonprofits • Annualized from 2023 to 2024

Revenue Growth

23rd percentile

-1.9%

Faster revenue growth than 23% of similar nonprofits.

501(c)3 • $100M-$250M nonprofits • Annualized from 2023 to 2024

Assets

Down

$100,306,116

Down $6,116,252 (-5.7%) from 2023

Liabilities

Down

$31,083,375

Down $1,313,762 (-4.1%) from 2023

Net Assets

Down

$69,222,741

Down $4,802,490 (-6.5%) from 2023

Revenue

Down

$137,333,768

Down $2,711,249 (-1.9%) from 2023

Expenses

Up

$145,949,074

Up $2,730,432 (+1.9%) from 2023

Net Income

Down

-$8,615,306

Down $5,441,681 (-171%) from 2023

Trend Graphs

Balance Sheet Trend

Grouped bars show assets, liabilities, and net assets across loaded filings.

$150M$100M$50M$0Assets 2010: $43,532,934Liabilities 2010: $22,366,219Net Assets 2010: $21,166,7152010Assets 2011: $59,779,002Liabilities 2011: $36,557,356Net Assets 2011: $23,221,6462011Assets 2012: $65,405,011Liabilities 2012: $43,284,634Net Assets 2012: $22,120,3772012Assets 2013: $69,368,473Liabilities 2013: $46,650,859Net Assets 2013: $22,717,6142013Assets 2014: $69,963,819Liabilities 2014: $45,192,929Net Assets 2014: $24,770,8902014Assets 2015: $71,010,159Liabilities 2015: $45,006,900Net Assets 2015: $26,003,2592015Assets 2016: $74,873,465Liabilities 2016: $45,670,482Net Assets 2016: $29,202,9832016Assets 2017: $77,054,820Liabilities 2017: $49,558,526Net Assets 2017: $27,496,2942017Assets 2018: $66,477,662Liabilities 2018: $43,782,196Net Assets 2018: $22,695,4662018Assets 2019: $72,653,435Liabilities 2019: $43,338,408Net Assets 2019: $29,315,0272019Assets 2020: $96,220,386Liabilities 2020: $56,621,995Net Assets 2020: $39,598,3912020Assets 2021: $104,046,577Liabilities 2021: $53,018,405Net Assets 2021: $51,028,1722021Assets 2022: $111,839,563Liabilities 2022: $57,073,263Net Assets 2022: $54,766,3002022Assets 2023: $106,422,368Liabilities 2023: $32,397,137Net Assets 2023: $74,025,2312023Assets 2024: $100,306,116Liabilities 2024: $31,083,375Net Assets 2024: $69,222,7412024

Highlighted filing

2024

Assets$100,306,116
Liabilities$31,083,375
Net Assets$69,222,741

Operations Trend

Revenue, expenses, and net income by year, with the latest filing highlighted.

$150M$100M$50M$0-$50MExpenses 2010: $83,929,7002010Expenses 2011: $88,141,1152011Revenue 2012: $94,266,085Expenses 2012: $94,441,353Net Income 2012: -$175,2682012Revenue 2013: $95,670,541Expenses 2013: $94,142,626Net Income 2013: $1,527,9152013Revenue 2014: $95,773,466Expenses 2014: $92,990,946Net Income 2014: $2,782,5202014Revenue 2015: $100,443,428Expenses 2015: $99,178,634Net Income 2015: $1,264,7942015Revenue 2016: $107,163,835Expenses 2016: $104,253,174Net Income 2016: $2,910,6612016Revenue 2017: $108,444,025Expenses 2017: $111,115,413Net Income 2017: -$2,671,3882017Revenue 2018: $107,851,339Expenses 2018: $112,666,763Net Income 2018: -$4,815,4242018Revenue 2019: $113,199,603Expenses 2019: $107,903,312Net Income 2019: $5,296,2912019Revenue 2020: $117,432,660Expenses 2020: $108,113,320Net Income 2020: $9,319,3402020Revenue 2021: $126,853,788Expenses 2021: $117,077,750Net Income 2021: $9,776,0382021Revenue 2022: $61,935,531Expenses 2022: $63,809,277Net Income 2022: -$1,873,7462022Revenue 2023: $140,045,017Expenses 2023: $143,218,642Net Income 2023: -$3,173,6252023Revenue 2024: $137,333,768Expenses 2024: $145,949,074Net Income 2024: -$8,615,3062024

Highlighted filing

2024

Revenue$137,333,768
Expenses$145,949,074
Net Income-$8,615,306

Filings

Balance SheetOperations
YearAssetsLiabilitiesNet AssetsRevenueExpensesNet Income
2024Facts available. Structured filing facts are available, but richer extracted sections are limited.$100$31.1$69.2$137$146$8.62
2023XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$106$32.4$74.0$140$143$3.17
2022XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$112$57.1$54.8$61.9$63.8$1.87
2021XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$104$53.0$51.0$127$117$9.78
2020Facts available. Structured filing facts are available, but richer extracted sections are limited.$96.2$56.6$39.6$117$108$9.32
2019Facts available. Structured filing facts are available, but richer extracted sections are limited.$72.7$43.3$29.3$113$108$5.30
2018Facts available. Structured filing facts are available, but richer extracted sections are limited.$66.5$43.8$22.7$108$113$4.82
2017Facts available. Structured filing facts are available, but richer extracted sections are limited.$77.1$49.6$27.5$108$111$2.67
2016XML pending. An XML filing is linked for this year, but detailed extraction is still pending.$74.9$45.7$29.2$107$104$2.91
2015Detailed filing. Detailed filing data is available for this year.$71.0$45.0$26.0$100$99.2$1.26
2014Detailed filing. Detailed filing data is available for this year.$70.0$45.2$24.8$95.8$93.0$2.78
2013Import issue. A filing source exists for this year, but detailed import did not complete cleanly.$69.4$46.7$22.7$95.7$94.1$1.53
2012Summary only. Only limited summary data is available for this year.$65.4$43.3$22.1$94.3$94.4$0.18
2011Facts available. Structured filing facts are available, but richer extracted sections are limited.$59.8$36.6$23.2$88.1
2010Facts available. Structured filing facts are available, but richer extracted sections are limited.$43.5$22.4$21.2$83.9
Latest Filing Detail
Jump To
Filing Snapshot
Filing Period
Jul 1, 2023 to Jun 30, 2024
Signed
May 14, 2025
Return Version
2023v6.0
Gross Receipts
$143,513,062
Mission and Program Overview

Mission

Our commitment is to improve the quality of life and health through partnerships with those we serve.

Creating healthy communities together by providing excellent health services to improve the quality of life for people in our communities.

Balance Sheet Detail
LineBeginningEndChange
Assets
Land, Buildings, and Equipment, Net$28,747,481$49,277,384▲ $20,529,903
Investments in Publicly Traded Securities$18,425,349$18,509,264▲ $83,915
Investments Other Securities$15,463,053$14,042,651▼ $1,420,402
Accounts Receivable$15,161,945$14,035,704▼ $1,126,241
Prepaid Expenses and Deferred Charges$22,842,192$2,756,689▼ $20,085,503
Savings and Temporary Cash Investments$4,316,485$850,861▼ $3,465,624
Inventories for Sale or Use$1,203,506$571,282▼ $632,224
Investments Program Related$256,681$256,681→ $0
Cash and Non-Interest-Bearing Accounts$5,676$5,600▼ $76
Total Assets$106,422,368$100,306,116▼ $6,116,252
Liabilities
Accounts Payable and Accrued Expenses$15,941,316$12,999,082▼ $2,942,234
Other Liabilities$6,986,490$9,318,192▲ $2,331,702
Mortgage Notes Payable Secured by Investment Property$9,469,331$8,766,101▼ $703,230
Total Liabilities$32,397,137$31,083,375▼ $1,313,762
Net Assets / Fund Balance
Net Assets Without Donor Restrictions$73,581,799$69,222,741▼ $4,359,058
Net Assets With Donor Restrictions$443,432$0▼ $443,432
Total Net Assets Fund Balance$74,025,231$69,222,741▼ $4,802,490
Total Liabilities and Net Assets / Fund Balance$106,422,368$100,306,116▼ $6,116,252

Asset Categories

AssetBook ValueDepreciationBasis
Buildings$37,568,070$8,185,790$45,753,860
Equipment$8,404,105$6,760,780$15,164,885
Other Land Buildings$1,756,332-$1,756,332
Land$1,330,000-$1,330,000
Leasehold Improvements$218,877$74,819$293,696
Other Securities$4,827,690--
Compensation and Service Providers

Employees

NameTitleFull / Part TimeBaseOtherTotal
Adair Md JamieDirector (part Year)-$761,990$761,990$761,990
Turfe Md ZaahirPhysicianFT$688,674$71,459$760,133
Rechner Md PaulaPhysicianFT$696,550$56,426$752,976
Cotant Md MichaelPhysicianFT$663,302$39,042$702,344
Sardar Md MuhammadPhysicianFT$550,000$77,559$627,559
Paplawski Md MichaelPhysicianFT$500,001$81,597$581,598
Amo Md SarahDirector (part Year)FT$402,349$122,350$524,699
Bunker MarlaVP Nursing (part Year)FT$51,983$467,512$519,495
Raycraft Md KyleDirectorFT$446,923$39,688$486,611
Kalchik KevinPresidentFT$297,772$138,016$435,788
Chander Md VishnuDirector (part Year)FT$334,222$58,278$392,500
Jahn DavidFormer President-$195,150$63,682$258,832
Savoie MarkVice Chair-$6,705$1,200$7,905
Coates ThomasChair-$7,870-$7,870
Anderson MaxineDirector-$6,840-$6,840
Macmaster GarthDirector-$6,795-$6,795
Goetz AmyDirector-$6,705-$6,705
Palmer CharlesDirector-$6,705-$6,705
Kibble HollyDirector (part Year)-$5,625-$5,625
Duman Md RalphDirector-$3,825-$3,825
Jorgenson JohnDirector (part Year)-$2,475-$2,475

Board Members and Trustees

NameTitle
Watson Pinney Md LydiaDirector
Scott-kronemeyer AmyDirector (part Year)
Rose MichaelSecretary/treasurer

Highest Paid Contractors

ContractorServicesLocationCompensation
American Healthcare StaffingProfessional Fees226 EAST SIXTEENTH STREET, Traverse City, MI 49684$3,000,372
Virtual Radiologic ProfessionalsProfessional Fees25983 NETWORK PLACE, Chicago, IL 60673$1,271,788
Riverside Medical Associates PCProfessional Fees601 OSBORN BOULEVARD, Sault Ste Marie, MI 49783$1,157,772
Marquette General Health SystemsProfessional Fees5012 WEST 5 MILE ROAD, Sault Ste Marie, MI 49783$1,114,583
-Professional Services420 WEST MAGNETIC STREET, Marquette, MI 49855$783,883
Revenue and Support

Revenue Composition

Contributions and Grants
$329,963
Program Service Revenue
$133,905,432
Investment Income
$1,051,866
Other Revenue
$2,046,507
All Other Contributions
$329,963
Change in Net Assets
$-8,615,306
Expenses and Functional Allocation

Major Expense Lines

Line ItemAmount
Other Expenses$74,093,319
Salaries, Compensation, and Employee Benefits$71,855,755
Total Fundraising Expense$10,713
Grants and Similar Amounts Paid$0
Professional Fundraising Fees$0

Functional Expense Allocation

Line ItemProgramManagementFundraisingTotal
Other Salaries and Wages$52,584,545$3,462,794-$56,047,339
Fees for Services Other$19,273,774$5,284,783-$24,558,557
Other Employee Benefits$5,802,624$706,782-$6,509,406
Depreciation Depletion$4,679,630$1,053,402-$5,733,032
Other Expenses$5,566,682--$5,566,682
Payroll Taxes$3,498,694$276,417-$3,775,111
Current Officers, Directors, Trustees, and Key Employees$2,636,858$902,197-$3,539,055
Occupancy$1,614,350$1,744,078-$3,358,428
Office Expenses$2,262,666$834,011$1,280$3,097,957
Pension Plan Contributions$1,984,844--$1,984,844
Insurance$248,511$208,368-$456,879
Travel$404,933$21,575-$426,508
Interest$410,940--$410,940
Conferences and Meetings$296,019$4,310-$300,329
Fees for Services Accounting-$44,250-$44,250
Fees for Services Legal-$42,875-$42,875
Advertising$1,171$41,582-$42,753
Fees for Services Lobbying--$9,433$9,433
Fees for Service Investment Mgmnt Fees-$2,066-$2,066
Total Functional Expenses$131,308,871$14,629,490$10,713$145,949,074
Fundraising, Events, and Gaming
Fundraising activities
No
Gaming activities
No
Professional fundraiser used
No

Fundraising and Gaming Totals

Line ItemAmount
Professional Fundraising Fees$0
Political and Lobbying Activity
Political campaign activity
No
Lobbying activity
Yes
Subject to proxy tax
No
Insider Transactions and Loans

Interested-Person Transactions

Interested PartyRelationshipDescriptionShared RevenueAmount
Michael GoetzOWNED MORE THAN 35%Payment for Professional RadiologistNo$215,000
-Family Member of Garth Macmaster, DirectorEmploymentNo$148,424
Jennifer MacmasterFamily Member of Amy Goetz, DirectorEmploymentNo$57,918
Debt and Bond Financing

Other Reported Liabilities

LiabilityAmount
Deferred Comp, Self Insurance, and Other$6,697,321
Asset Retirement Obligation$2,143,810
Operating Lease Liability$473,355
Capital Lease Obligation$3,706
Governance and Compliance

Governance Checklist

Compiled or reviewed by an accountant
No
Annual disclosure for covered persons
Yes
Audit committee
Yes
Backup withholding compliance
Yes
Business relationship with 35% controlled entity
Yes
Business relationship with family members
Yes
Business relationship with organization members
Yes
Material changes to governing documents
No
Compensation from other sources disclosed
No
CEO compensation reviewed
Yes
Other officer compensation reviewed
Yes
Conflict-of-interest policy
Yes
Audited financial statements prepared
Yes
Key decisions subject to board approval
Yes
Management duties delegated
No

Governance Explanations

Form 990, Part VI, Section A, Line 6

The sole member of the corporation is mymichigan health.

Form 990, Part VI, Section A, Line 7A

The board of directors of mymichigan health, the organization's sole corporate member, elects the members of the organization's governing body.

Form 990, Part VI, Section A, Line 7B

The following rights and responsibilities are reserved to the sole member: a) approve any change in the corporation's purposes; b) approve any change in the corporation's articles of incorporation or bylaws; c) approve plans of merger, consolidation, or dissolution of the corporation, joint venture, or the creation by the corporation of any controlled corporation or other entity; d) approve any proposed sale, transfer, lease, pledge, or encumbrance of all or substantially all of the assets of the corporation, or the proposed sale, transfer, lease, pledge or encumbrance of any asset or assets of the corporation other than in the ordinary course of business; e) approve the corporation's budget and any capital expenditures of the corporation in excess of an amount designated from time to time by the mymichigan health board; f) approve the guarantee by the corporation of the debt of others; and g) approve the incurrence by the corporation of any debt or lease obligation in an amount in excess of an amount designated from time to time by the mymichigan health board.

Form 990, Part VI, Section B, Line 11B

The finance staff at each subsidiary uploads information into the software which is then reviewed by the corporate controller at mymichigan health, the sole member of this corporation. The corporate controller requests additional information and obtains clarification. A final review is then done by the svp and cfo. In addition, all compensation disclosures are reviewed with the mymichigan health ceo prior to filing. The form 990 part vii and schedule j compensation information is reviewed by the compensation committee prior to filing. Form 990, including all schedules, is made available to this organization's board of directors in a secure electronic format with a summary of all the major changes from the prior year return. Questions or concerns are addressed by the svp and cfo. The questions or concerns of these reviews are presented to the mymichigan health board of directors and this organization's board of directors, if any are identified.

Form 990, Part VI, Section B, Line 12C

The organization requires each director, officer, key employee and member of a committee of the board annually: 1) to review the organization's conflict of interest policy (the "policy"); 2) to disclose any possible personal, familial, or business relationship that reasonably could give rise to a conflict of interest or the appearance of a conflcit of interest; and 3) to acknowledge by his or her signature that he or she is acting in accordance with the letter and spirit of the policy. The completed forms are reviewed by the mymichigan health secretary and filed for reference as needed. A listing of any conflicts are provided to the board chair, vice chair, and president of the organization. Voting board members with conflicts on specific issues may be asked to leave the meeting during discussions and at a minimum are required to abstain from voting on any issues in which they are not independent.

Form 990, Part VI, Section B, Line 15

All ceos and operating officers compensation is annually reviewed by an independent compensation consultant for reasonableness and approved by the compensation committee of mymichigan health. The compensation is then reviewed by the organization's board of directors (or subcommittee thereof). All officers and key employee compensation (including physicians) is reviewed annually by the compensation committee of mymichigan health for adherence to corporate policies. For detailed information on compensation, please see schedule j.

Form 990, Part VI, Section C, Line 19

All documents are available upon request.

Filing and Contact Details

Filer

Filer Name
Mymichigan Medical Center Sault
EIN
38-2602147
Phone
9898379039
Address
500 OSBORN BOULEVARD, SAULT STE MARIE, MI 49783

Signing Officer

Name
Judi Graves
Title
Corporate Controller
Phone
9898379039
Signed
2025-05-14

Organization Details

Principal Officer
Kevin Kalchik
Formed
1985
Legal Domicile
Mi
Voting Board Members
12
Independent Board Members
6
Employees
1,090
Volunteers
58

Preparer

Firm
Plante & Moran Pllc
Address
3000 TOWN CENTER SUITE 100, SOUTHFIELD, MI 48075
Preparer
David Lowenthal
Phone
2483522500
Supplemental Narrative

Additional Explanations

Form 990, Part IX, Line 11G

Purchased/contract services: program service expenses 10,491,515. Management and general expenses 1,800,642. Fundraising expenses 0. Total expenses 12,292,157. Association dues/other fees: program service expenses 8,782,259. Management and general expenses 3,429,594. Fundraising expenses 0. Total expenses 12,211,853. Other: program service expenses 0. Management and general expenses 54,547. Fundraising expenses 0. Total expenses 54,547.

FORM 990, PART XI, LINE 9:

Transfer of net assets to related 501(c)(3)-mymichigan health foundation -388,885. Transfer of net assets from related 501(c)(3)-mymichigan health foundation 33,504.

Form 990, Part XII, Line 2C

The audit process has not changed in the current year.

Raw XML AppendixShowing 400 of 1,287 raw XML fields

This appendix keeps the raw XML leaves available for debugging and edge-case review. The human report above is the primary experience.

Path#Value
IRS990/AccountantCompileOrReviewInd00
IRS990/AccountsPayableAccrExpnssGrp/BOYAmt015941316
IRS990/AccountsPayableAccrExpnssGrp/EOYAmt012999082
IRS990/AccountsReceivableGrp/BOYAmt015161945
IRS990/AccountsReceivableGrp/EOYAmt014035704
IRS990/ActivitiesConductedPrtshpInd00
IRS990/ActivityOrMissionDesc0CREATING HEALTHY COMMUNITIES TOGETHER BY PROVIDING EXCELLENT HEALTH SERVICES TO IMPROVE THE QUALITY OF LIFE FOR PEOPLE IN OUR COMMUNITIES.
IRS990/AdvertisingGrp/ManagementAndGeneralAmt041582
IRS990/AdvertisingGrp/ProgramServicesAmt01171
IRS990/AdvertisingGrp/TotalAmt042753
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IRS990/BooksInCareOfDetail/PhoneNum09898379039
IRS990/BooksInCareOfDetail/USAddress/AddressLine1Txt04000 WELLNESS DR
IRS990/BooksInCareOfDetail/USAddress/CityNm0MIDLAND
IRS990/BooksInCareOfDetail/USAddress/StateAbbreviationCd0MI
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IRS990/CollectionsOfArtInd00
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IRS990/CompCurrentOfcrDirectorsGrp/TotalAmt03539055
IRS990/CompensationFromOtherSrcsInd00
IRS990/CompensationProcessCEOInd01
IRS990/CompensationProcessOtherInd01
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IRS990/ContractorCompensationGrp/ContractorAddress/USAddress/StateAbbreviationCd0MI
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IRS990/ContractorCompensationGrp/ContractorName/PersonNm0WOOLEVER SHANE DO PC
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IRS990/ContractorCompensationGrp/ServicesDesc1PROFESSIONAL FEES
IRS990/ContractorCompensationGrp/ServicesDesc2PROFESSIONAL FEES
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IRS990/Desc0MYMICHIGAN MEDICAL CENTER SAULT PROVIDES INPATIENT AND OUTPATIENT SERVICES TO THE CITY OF SAULT STE MARIE AND ITS SURROUNDING COUNTIES. 2,131 TOTAL INPATIENT ADMISSIONS INCLUDING 1,737 ACUTE CARE, 271 NEWBORNS, AND 394 PSYCHIATRIC WERE PROVIDED. 16,806 VISITS IN OUR EMERGENCY ROOM, 4,728 OUTPATIENT SURGERY CASES AND 141,629 OTHER OUTPATIENT VISITS WERE ALSO PROVIDED. CARE IS PROVIDED REGARDLESS OF THE PATIENT'S ABILITY TO PAY.
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