Financial Report 2024-2025

Arthritis Society Canada, in consultation with and approved by its Board of Directors, has chosen to make investments over the last two years in key mission areas such as research and the nationwide Arthritis Action Plan. These investments have resulted in deficit positions, which will be offset by the pending sale of a building.

Sources of Revenue

Revenue graph

Expenditures

Expense graph

For year ended March 31, 2025


Statement of Financial Activities

Year ended March 31, 2025, with comparative information for 2024.

  2025 2024

REVENUE

$ $
Major Gifts 4,579,871 4,412,616
Planned Giving 4,613,175 6,866,761
Direct Response 7,423,937 7,580,090
Events 3,109,661 1,777,618
Government 5,930,795 7,356,139
Other 2,200,226 2,644,612
TOTAL REVENUE 27,857,665 30,637,837

EXPENSES


$

$
Research 7,031,652 6,558,865
Programs and services 11,744,127 11,799,527
Building operation 718,532 807,915
Administration 3,139,458 3,161,659
Subtotal 22,633,769 22,327,966
Cost of raising funds from the public 9,888,114 9,391,484
TOTAL EXPENSES 32,521,883 31,719,450
Deficiency of revenue over expenses before the undernoted (4,664,218) (1,081,613)
Gain on sale of property 4,703,302
Unrealized gain (loss) 14,709 (44,589)

Excess (deficiency) of revenue over expenses

53,793

(1,126,202)

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Accreditation

Arthritis Society Canada is accredited by the Imagine Canada Standards Program, Canada’s highest measure of excellence for charities and not-for-profits.