Financial Information
Annual Sales
$680,938 (2021), 589,600 (2020), $520,690 (2019)
Annual Net Profit
$93,452 (2021), $122,099 (2020), $92,157 (2019)
Recasted Cashflow:
$125,457 (2021), $122,099 (2020), $131,137 (2019)
Equipment Value
$10,000
Inventory Value
$1,000
Terms
Cash
Building & Property
Monthly Rental
$302
Lease Information
Month to Month Leases
Square Footage
500
General Information
Years EST
6 year(s)
Required Liscense(s)
Home Health
Employees
8 FT, 20 PT
Business Hours
24 hours – seven days –
Reason for Sale
Retirement