2023 Quarterly Provider Tax Reports - Quarter 1

PROVIDER-RELATED DONATIONS AND
HEALTH CARE RELATED TAXES, FEES AND ASSESSMENTS RECEIVED UNDER PUBLIC HEALTH LAW 102-334 BY

New York State Department of Health
(Print or type name of agency)

FOR THE QUARTER ENDED

MARCH 31, 2023
CODE NAME OF TAX/ASSESSMENT PROGRAM ST. CITE PROVIDER/SERVICE CLASS (42 CFR) AMOUNT
1 Bad Debt and Charity Care and Capital Statewide Pool Assessment PHL 2807-c(18) Inpatient Hospital Services 123,319,747.00
1 Bad Debt and Charity Care Regional Allowance PHL 2807-c(14) & (16) Inpatient Hospital Services 0.00
1 Patient Services Payments PHL 2807-j Inpatient Hospital Services 643,939,685.29
1 Patient Services Payments PHL 2807-j Outpatient Hospital Services 530,004,684.05
1 Patient Services Payments PHL 2807-j Ambulatory Surgical Center Services 20,794,450.59
1 Patient Services Payments PHL 2807-j Diagnostic and Treatment Centers 18,745,902.10
1 Patient Services Payments PHL 2807-j Clinical Laboratories 0.00
1 Patient Services Payments PHL 2807-s Inpatient Hospital Services 1,012,354.00
1 Health Facility Cash Assessment Program PHL 2807-d Nursing Facility Services (6.0%) 133,081,936.45
1 Health Facility Cash Assessment Program PHL 2807-d Nursing Facility Services (5.0%) 8,433.01
1 Health Facility Cash Assessment Program PHL 2807-d Inpatient Hospital Services (.35%) 77,040,836.00
1 Health Facility Cash Assessment Program PHL 3614-a & b Home Health Care Services (.35%) 1,450,029.10
1 Health Facility Cash Assessment Program PHL 3614-a & b LT Home Health Care Services (.35%) 6,277.00
5 Health Facility Cash Assessment Program Social Services Law 367-i Personal Care Providers (.35%) 1,751,235.67
1 Health Facility Cash Assessment Program Section 90 of Part H of Chapter 59 of the Laws of 2011 LT Home Health Care Services (.7%) 0.00
1 Health Facility Cash Assessment Program Section 90 of Part H of Chapter 59 of the Laws of 2011 Nursing Facility Services (.8%) 17,742,512.13
1 Health Facility Cash Assessment Program PHL 2807-dd Nursing Facility Services (.4%) 0.00
1 Health Facility Cash Assessment Program PHL 2807-dd Nursing Facility Services (.2%) 0.00
1 Hospital Quality Contribution Report PHL 2807-d-1 Inpatient Hospital Services (1.6%) 15,639,115.00
  Total     1,584,537,197.39

I certify that this report represents a true and accurate statement of actual cash revenues collected by the above agency during the quarter described above.

Dated: 5/4/2023
Signature: Emily Hoops-Darling
Title: Acting Bureau Director

Codes 1 - Permissible