| 11-05 | 
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 | Form CMS-216-94 | 
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 | 3390(Cont.) | 
	
		| This report is required by law (42 USC 1395g) and 42CFR 413.20 and 413.24. | 
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		| Failure to report can result in all payments made during the reporting period | 
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 | FORM APPROVED | 
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		| being deemed overpayments (42 USC 1395g). | 
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 | OMB NO. 0938-0102 | 
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		| ORGAN PROCUREMENT ORGANIZATION | 
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 | PROVIDER NO. | PERIOD: | WORKSHEET | 
	
		| HISTOCOMPATIBILITY LABORATORY GENERAL | 
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 | FROM:_______ | S | 
	
		| DATA AND CERTIFICATION STATEMENT | 
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 | _______________ | TO:__________ | 
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		| Intermediary Use Only: | 
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 | [      ]  Audited | Date Received ________________ | 
 | [      ]  Initial | [     ]  Re-opened | 
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 | [      ]  Desk Reviewed | Intermediary No.  ______________ | 
 | [      ]  Final | 
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		| PART I - GENERAL | 
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		| Check | 
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 | [     ] Electronic filed cost report | 
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 | Date: | 
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		| applicable box | 
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 | [     ] Manually submitted cost report | 
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 | Time: | 
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		| 1 | Name: | 
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 | Medicare Number: | 
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		| 1.01 | Street: | 
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 | P.O. Box: | 
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		| 1.02 | City: | 
 | State: | 
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		| 2 | Name: | 
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 | Medicare Number: | 
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		| 2.01 | Street: | 
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 | P.O. Box: | 
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		| 2.02 | City: | 
 | State: | 
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		| 3 | Reporting Period: From                                                     To | 
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 | Type of Control | 
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 | (see instructions) | 
 | (see instructions) | Participation Date | 
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		| PART II-CERTIFICATION BY OFFICER OR ADMINISTRATOR OF FACILITY | 
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		| MISREPRESENTATION OR FALSIFICATION OF ANY INFORMATION CONTAINED IN THIS COST REPORT MAY | 
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		| BE PUNISHABLE BY CRIMINAL, CIVIL AND ADMINISTRATIVE ACTION, FINE AND/OR  IMPRISONMENT | 
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		| UNDER FEDERAL LAW. FUTHERMORE, IF SERVICES IDENTIFIED IN THIS COST REPORT WERE PROVIDED | 
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		| OR PROCURED THROUGH THE PAYMENT DIRECTLY OR INDIRECTLYOF A KICKBACK OR WERE OTHERWISE | 
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		| ILLEGAL, CRIMINAL, CIVIL AND ADMINISTRATION ACTION, FINES AND/OR IMPRISONMENT MAY RESULT | 
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		| CERTIFICATION BY OFFICER, ADMINISTRATOR OR DIRECTOR OF ORGANIZATION/LABORATORY | 
	
		| I HEREBY CERTIFY that I have read the above statement and that I have examined the accompanying Statement  of Reimbursable Cost | 
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		| and the Balance Sheet and Statement of Revenue and Expenses prepared by _____________________________________________ | 
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		| _________________________________________________________________________________________ | 
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		| (name(s) and number(s) for the cost reporting period beginning _____________________ and ending_________________________, | 
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		| and that to the best of my knowledge and belief, it is a true, correct and complete ststement prepared from the books and records of the | 
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		| Organization/Laboratory in accordance with applicable instructions, except as noted. I further certify that I am familiar with the laws | 
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		| and regulations regarding the provision of health care services, and that the services identified in this cost report were provided in | 
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		| compliance with such laws and regulations. | 
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 | (Signed) | ______________________________________________ | 
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 | Officer, Administrator or Director | 
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 | ______________________________________________ | 
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		| PART III - SETTLEMENT SUMMARY | 
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 | TITLE XVIII | 
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 | Organ Acquisition | Tissue Typing | 
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		| 1 | OPO/Lab | 
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		| According to the Paperwork Reduction Act of 1995, no persons are required to respond to a collection of information unless it displays a | 
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		| valid OMB control number. The valid OMB Control Number for this information collection is 0938-0102. The time required to complete | 
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		| this information collection is estimated to average 45 hours per response, including the time to review instructions, search existing data | 
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		| resources, gather the data needed, and complete and review the information collection. If you have comments concerning the accuracy of | 
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		| the time estimate(s) or suggestions for improving this form please write to: Centers for Medicare and Medicaid Services, 7500 Security | 
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		| Boulevard, Attn: PRA Reports Clearance Officer, Mail Stop C4-26-05, Baltimore, Maryland 21244-1850. | 
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		| FORM CMS-216-94 (11-2005) (INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB. 15-II, | 
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		| SECTIONS 3302,3302.1 and 3302.2) | 
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		| Rev. 4 | 
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 | 33-303 | 
	
	
	
	
	
	
	
	
		| 3390 (Cont.) | 
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 | Form CMS 216-94 | 
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 | 11-05 | 
	
		| ORGAN  PROCUREMENT  ORGANIZATION/ | 
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 | MEDICARE | PERIOD: | 
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		| HISTOCOMPATIBILITY  LABORATORY | 
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 | NUMBER | FROM_______________ | 
 | WORKSHEET S-1 | 
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		| IDENTIFICATION  DATA | 
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 | ___________________ | TO________________ | 
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		| PART I-OPO STATISTICS | 
	
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 | 1 | 2 | 3 | 
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 | Local | Imported | Total (Columns 1 & 2) | 
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		| 1 | Total number of kidneys retrieved (viable and non-viable) | 
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 | 1 | 
	
		| 2 | Total number of kidneys included in line 1 that were non-viable. | 
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 | 2 | 
	
		| 3 | Net number of kidneys for which payment should | 
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 | have been received (line 1 minus line 2). | 
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 | USA | Foreign Country | Total | 
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		| 4 | Total number of kidneys included in line 3, column 3 that | 
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 | were exported out of local retrieval areas | 
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 | Military | VA | Total | 
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		| 5 | Total number of kidneys sent to military or DVA | 
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 | hospitals that were included in line 3,column 3. | 
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		| 6 | Amount received for kidneys listed in line 5. | 
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 | Amount Received | 
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 | Number of Kidneys | Amount Received | 
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		| 7 | Was payment received for kidneys furnished to foreign countries and included | 
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 | 7 | 
	
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 | on line 4,column 2. Enter "Y" for yes or "N" for no.  If yes, enter the total number | 
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 | of kidneys and amount received in columns 2 and 3, respectively. | 
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 | Total number of organs/tissue other than kidneys retrieved and administratively processed. In the amount received column enter | 
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 | the total amount of payment received for each type of organ. | 
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 | Organ | Total | Nonviable | Amount Received | 
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 | 8 | Cornea | 
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 | 8.01 | Liver | 
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 | 8.01 | 
	
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 | 8.02 | Pancreas | 
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 | 8.02 | 
	
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 | 8.03 | Pancreas Islet | 
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 | 8.03 | 
	
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 | 8.04 | Heart | 
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 | 8.04 | 
	
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 | 8.05 | Heart Valves | 
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 | 8.05 | 
	
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 | 8.06 | Heart/Lung | 
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 | 8.06 | 
	
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 | 8.07 | Bone | 
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 | 8.07 | 
	
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 | 8.08 | Skin | 
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 | 8.08 | 
	
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 | 8.09 | Lung | 
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 | 8.09 | 
	
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 | 8.10 | Other | 
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 | 8.20 | Total | 
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 | 8.20 | 
	
		| PART II-LAB STATISTICS | 
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		| 1 | Total number of tests performed- all laboratory. | 
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		| 2 | Total number of tests performed-tissue typing laboratory. | 
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		| 3 | Total number of pre-transplant tests performed for kidney transplantation that are included in line 2. | 
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 | Tissue typing pre-transplant tests performed for kidney transplant: | 
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 | Test Name | Number of Tests | 
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 | 4 | 
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 | 4.01 | 
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 | 4.02 | 
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 | 4.03 | 
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 | 4.09 | 
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 | 4.10 | 
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 | 4.10 | 
	
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 | 4.20 | Total Tests | 
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 | 4.20 | 
	
		| PART III-FTEs | 
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 | Number of full-time equivalent employees | 
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 | Administrative | OPO | Histo-Lab | 
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 | 1 | 2 | 3 | 4 | 5 | 6 | 
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 | 1 | Medical Director | 
 | Medical Director | 
 | Lab Director | 
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 | 1.01 | Exec. Director | 
 | Procurement Coordinator | 
 | Technicians | 
 | 1.01 | 
	
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 | 1.02 | Clerical | 
 | Preservation Technicians | 
 | Tissue Typing Tech. | 
 | 1.02 | 
	
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 | 1.03 | Other | 
 | Other | 
 | Other | 
 | 1.03 | 
	
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		| 2 | Total FTEs | 
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		| FORM CMS 216-94 (11-2005)  (INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB 15-II SECTIONS 3303, 3303.1, 3303.2 and 3303.3) | 
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		| 33-304 | 
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 | Rev. 4 | 
	
	
	
	
	
	
		| 11-05 | 
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 | Form CMS-216-94 | 
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 | 3390 (Cont.) | 
	
		| RECLASSIFICATION AND ADJUSTMENT OF TRIAL | 
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 | MEDICARE NUMBER | 
 | REPORTING PERIOD | 
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 | WORKSHEET A | 
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		| BALANCE OF EXPENSES | 
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 | FROM:_______________________ | 
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 | RECLASS. | RECLASSIFIED | ADJUSTMENTS | NET COST | 
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 | TO EXPENSES | TRIAL BALANCE | TO COST | FOR COST | 
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 | COST CENTERS (OMIT CENTS) |  | 
 | TOTAL | (FROM | (COL.3 | (FROM | ALLOCATION | 
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 | SALARIES | OTHER | (Cols. 1 & 2) | WKST.A-4) | +/- COL.4) | (WKST. A-5) | (COL.5+/-COL.6) | 
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 | GENERAL SERVICE COST CENTERS | 
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		| 1 | 0100 | Capital Costs--Buildings and Fixtures | 
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		| 2 | 0200 | Capital Costs--Movable Equipment | 
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		| 3 | 0300 | Employee Benefits | 
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		| 4 | 0400 | Administrative and General-Cols. 1-3-From W/S-A-1 | 
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		| 5 | 0500 | Operation and Maintenance of Plant | 
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		| 6 | 0600 | Housekeeping | 
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		| 7 | 0700 | Medical Supplies | 
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		| 8 | 0800 | Other Overhead (Specify) | 
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 | ORGAN ACQUISITION OVERHEAD | 
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		| 9 | 0900 | Procurement Coordinators | 
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		| 10 | 1000 | Professional Education | 
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		| 11 | 1100 | Public Education | 
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		| 12 | 1200 | Other Acquisition (Specify) | 
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 | REIMBURSABLE COST CENTERS | 
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		| 13 | 1300 | Kidney Acquisition(From W/S A-2 Cols. 1-3,line 23) | 
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		| 14 | 1400 | Tissue Typing Laboratory (Cols. 1-3,From W/S-A-3, Line 11) | 
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 | NON-REIMBURSABLE COST CENTERS | 
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		| 15 | 1500 | Liver Acquisitions (W/S-A-2, Col. 1-3, Line 23) | 
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		| 16 | 1600 | Heart Acquisitions (W/S-A-2, Col.1-3, Line 23) | 
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		| 17 | 1700 | Pancreas Acquisitions (W/S-A-2, Col.1-3, Line 23) | 
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		| 18 | 1800 | Lung Acquisitions (W/S-A-2, Col. 1-3, line 23) | 
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		| 19 | 1900 | Other Acquisitions (W/S-A-2, Col. 1-3, line 23) | 
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		| 20 | 2000 | Other Acquisitions (W/S-A-2, Col. 1-3) | 
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		| 21 | 2100 | Research | 
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		| 22 | 2200 | Blood Bank | 
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		| 23 | 2300 | Laboratory-Non-Tissue Typing | 
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		| 24 | 2400 | Dialysis Units | 
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		| 25 | 2500 | Other Non-Reimbursable (Specify) | 
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		| 26 | 
 | Total Expenses (Sum of lines 1-25), Transfer Column 7 to W/S-B | 
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 | 26 | 
	
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 | line 1, or W/S-C, as per instructions | 
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		| FORM CMS-216-94 (11-2005)  (INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB. 15-II, SECTION 3304) | 
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		| Rev. 4 | 
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 | 33-305 | 
	
	
	
	
	
		| 06-02 | 
 | Form CMS-216-94 | 
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 | 3390 (Cont.) | 
	
		| ORGAN ACQUISITION COST | 
 | MEDICARE | REPORTING | WORKSHEET A-2 | 
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		| 
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 | NUMBER | PERIOD: | 
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		| 
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 | FROM___________ | 
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		| 
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 | TO______________ | 
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		| Check One: | 
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		| [ ] Kidney     [ ] Liver     [ ] Heart     [ ] Pancreas     [ ] Lung     [ ] Other ___________ | 
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		| 
 | COST CENTER | SALARIES | OTHER | TOTAL | 
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		| 
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 | 1 | 2 | 3 | 
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		| 
 | Organ Acquisition Costs | 
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		| 
 | Amounts Paid To Excision Hospitals | 
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		| 1 | Operating Room | 
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		| 2 | Anesthesiology | 
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 | 2 | 
	
		| 3 | Respiratory Therapy | 
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 | 3 | 
	
		| 4 | Intensive Care Unit | 
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 | 4 | 
	
		| 5 | Medical Supplies | 
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 | 5 | 
	
		| 6 | Pharmacy | 
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		| 7 | Electroencephalography | 
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		| 8 | Hospital Laboratory | 
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		| 9 | Other Excision Hospital Cost | 
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		| 10 | Subtotal-Excision Hospital Cost (Sum of Lines 1-9) | 
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		| 
 | Other Acquisitions Costs | 
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		| 11 | Computer Registry | 
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		| 12 | Donor Evaluation | 
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		| 13 | Surgeon Fee | 
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		| 14 | Organ Preservation | 
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		| 15 | Donor Tissue Typing | 
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		| 16 | Recipient Crossmatch | 
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		| 17 | Imported Organ Cost | 
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		| 18 | Transportation of Organs | 
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		| 19 | Tissue Typing Lab-Under Agreement | 
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		| 20 | Anesthesiologist Professional Fees | 
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		| 21 | Other Acquisition Costs | 
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		| 22 | Subtotal-Other Acquisition Cost (Sum of Lines 11-21) | 
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 | 22 | 
	
		| 23 | Total-Organ Acquisition Cost | 
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 | 23 | 
	
		| 
 | (Sum of Lines 10 and 22) | 
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		| 
 | Transfer Line 23 columns 1-3 to W/S A | 
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		| 
 | Lines 13, 15-20, Cols 1-3 as Appropriate | 
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		| FORM CMS 216-94 (3/95) (INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB 15-II, | 
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		| SECTION 3306) | 
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		| 
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		| Rev. 3 | 
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 | 33-307 | 
	
	
	
	
	
	
	
	
	
	
	
		| 3390 (Cont.) | 
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 | Form CMS-216-94 | 
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 | 06-02 | 
	
		| ADJUSTMENTS TO EXPENSES | 
 | MEDICARE NUMBER | 
 | 
 | REPORTING PERIOD: | 
 | WORKSHEET A-5 | 
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		| 
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 | FROM:_____________ | 
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		| 
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 | ___________________ | 
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 | TO:____________ | 
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		| 
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 | Basis for | 
 | Expense Classification on Worksheet A | 
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		| 
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 | Adjust- | 
 | from which amount is to be deducted | 
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		| 
 | Description (1) | ment | 
 | or to which the amount is to be added | 
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		| 
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 | (2) | Amount | Cost Center | 
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 | Ln No. | 
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 | 1 | 2 | 3 | 
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 | 4 | 
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		| 1 | Purchase Discounts (Chapter 8) | 
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		| 2 | Rebates and Refunds (Chapter 8) | 
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		| 3 | Home Office Costs (Chapter 21) | 
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		| 4 | Adjustments resulting from transactions | From | 
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 | with related organizations (Chapter 10) | Supp. W/S | 
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 | A-5-1 | 
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		| 5 | Income received from the procurement | 
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		| 
 | of organs other than kidneys. (3) | 
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		| 6 | Vending Machines | 
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		| 7 | Rental or Lease Income | 
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		| 8 | Organs Sold for Research | 
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		| 9 | Public Relations-Not related to | 
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 | Organ Procurement | 
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		| 10 | Income received from Professional | 
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 | 10 | 
	
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 | Education | 
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		| 11 | Sale of Supplies | 
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 | 11 | 
	
		| 12 | Interest Income applied to interest exp. | 
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 | 12 | 
	
		| 13 | Capital Costs -Buildings & Fixtures | 
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 | 13 | 
	
		| 14 | Capital Costs -Movable Equipment | 
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 | 14 | 
	
		| 15 | 
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		| 16 | 
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 | 16 | 
	
		| 17 | Total -Transfer to W/S. A, Column 6, | 
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 | 17 | 
	
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 | Line as Appropriate | 
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		| 
 | (1) Description-all line references in this column pertain to CMS Pub. 15-I | 
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		| 
 | (2) Basis for adjustment (SEE INSTRUCTIONS) | 
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		| 
 | A. Costs-if cost, including applicable overhead, can be determined | 
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		| 
 | B. Amount Received-if cost cannot be determined | 
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		| 
 | (3) Only the income from organs such as Cornea, Skin, Heart Valves, Bone, and Pancreas Islet may be offset. | 
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 | All internal organs such as Kidneys, Hearts, Livers, Lung, and Pancreas must go through cost finding on W/S B | 
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		| 
 | FORM CMS-216-94 (3/95) (INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN CMS | 
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		| 
 | PUB 15-II, SECTION 3309) | 
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		| 33-310 | 
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 | Rev. 3 | 
	
	
	
	
	
		| 11-05 | 
 | 
 | Form CMS-216-94 | 
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 | 
 | 
 | 3390 (Cont.) | 
	
		| CAPITAL EXPENDITURES AND | 
 | MEDICARE NUMBER | 
 | REPORTING PERIOD | 
 | 
 | WORKSHEET | 
 | 
	
		| DEPRECIATION RECONCILIATION | 
 | 
 | 
 | FROM:__________________ | 
 | 
 | A-6 | 
	
		| 
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 | 
 | TO:_____________________ | 
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 | 
	
		| Part I - Analysis of Changes in | 
 | Beginning | Acquisitions | 
 | Ending | 
 | 
	
		| Capital Asset Balances During Cost | 
 | Balance | Purchase | Donations | Total | Disposals | Balance | 
 | 
	
		| Reporting Period | 
 | 1 | 2 | 3 | 4 | 5 | 6 | 
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		| 1 | Land | 
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 | 1 | 
	
		| 2 | Land Improvements | 
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 | 2 | 
	
		| 3 | Building and Fixtures | 
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 | 3 | 
	
		| 4 | Fixed Equipment | 
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 | 4 | 
	
		| 5 | Movable Equipment | 
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 | 5 | 
	
		| 6 | Auto,Truck, Van | 
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 | 6 | 
	
		| 7 | Other (Specify) | 
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 | 7 | 
	
		| 8 | Total | 
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 | 8 | 
	
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		| Part II - Analysis of Changes | 
 | 
 | Beginning | 
 | 
 | Ending | 
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		| In Accumulated Depreciation | 
 | 
 | Balance | Additions | Deletions | Balance | 
 | 
	
		| Description | 
 | 
 | 1 | 2 | 3 | 4 | 
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		| 1 | Land | 
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 | 1 | 
	
		| 2 | Land Improvements | 
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 | 2 | 
	
		| 3 | Buildings and Fixtures | 
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 | 3 | 
	
		| 4 | Building Improvements | 
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 | 4 | 
	
		| 5 | Fixed Equipment | 
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 | 5 | 
	
		| 6 | Movable Equipment | 
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 | 6 | 
	
		| 7 | Auto,Truck, Van | 
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 | 7 | 
	
		| 8 | Other (Specify) | 
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 | 8 | 
	
		| 9 | Total | 
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 | 9 | 
	
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		| Part III - Depreciation Reported In Cost Statement | 
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		| 1 | Straight Line | 
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 | 1 | 
	
		| 2 | Declining Balance | 
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 | 2 | 
	
		| 3 | Sum of Years Digits | 
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 | 3 | 
	
		| 4 | Depreciation reported on W/S -A column 7. (Total- Sum of 1, 2 and 3) | 
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 | 4 | 
	
		| 
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 | 1 | 2 | 
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		| 5 | Is depreciation funded?  Enter "Y" for yes or "N" for no in column 1.  If yes, | 
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 | 5 | 
	
		| 
 | enter in column 2 the balance in fund at the end of the period. | 
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		| 6 | Was there a gain or loss on the sale of assets during the cost reporting | 
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 | 6 | 
	
		| 
 | period? (See CMS Pub-15-1, Section 132) | 
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		| 
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		| FORM CMS-216-94 (11-2005) (INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB 15-II | 
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 | 
 | 
 | 
	
		| SECTION 3310) | 
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		| 
 | 
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 | 
	
		| Rev. 4 | 
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 | 
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 | 33-311 | 
	
	
	
	
	
	
		| 11-05 | 
 | Form CMS-216-94 | 
 | 
 | 3390 (Cont.) | 
	
		| COMPUTATION OF MEDICARE COST | 
 | MEDICARE NUMBER | REPORTING PERIOD | WORKSHEET C | 
 | 
	
		| 
 | 
 | 
 | FROM_____________ | 
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 | 
	
		| 
 | 
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 | TO________________ | 
 | 
 | 
	
		| 
 | Part I - KIDNEY ACQUISITION | 
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 | 
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		| 1 | Total Number of Viable Kidneys Procured (W/S S-1,Part 1, Line 3, Column 3) | 
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 | 1 | 
	
		| 2 | Total Number of Medicare Kidneys (See Instructions) | 
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 | 2 | 
	
		| 3 | Ratio of Medicare Kidneys to Total Kidneys (Line 2/line 1) | 
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 | 3 | 
	
		| 4 | Total Cost Applicable to Kidney Acquisition from W/S B, Col. 11, Line 3 or W/S A, | 
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 | 4 | 
	
		| 
 | Col. 7, Line 26 | 
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		| 5 | Total Medicare Kidney Acquisition Costs (Line 3 x Line 4) (1) | 
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 | 5 | 
	
		| (1) Transfer amount on line 5 to Worksheet D, Column 1, Line 1 | 
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		| 
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		| 
 | Part II - TISSUE TYPING LABORATORY | 
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		| 1 | Gross Revenues-Tissue Typing Laboratory-All Tests | 
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 | 1 | 
	
		| 2 | Gross Revenues-Tissue Typing Laboratory-Kidney Transplant Related Tests Only (2) | 
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 | 2 | 
	
		| 3 | Ration of Kidney Transplant to Total (Line 2/Line 1) | 
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 | 3 | 
	
		| 4 | Total Cost Applicable to Tissue Typing Lab. From W/S-B, Col. 11, Line 4 or W/S-A, | 
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 | 4 | 
	
		| 
 | Col.7, Line 26 | 
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		| 5 | Reimbursable Kidney Transplant Related Costs (Line 3 x Line 4) (3) | 
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 | 5 | 
	
		| (2) If the cost report is a partial year under the program, show only the kidney related revenue earned since | 
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		| the participation date | 
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		| (3) Transfer Line 5 to Worksheet D, Column 2, Line 1. | 
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		| Form CMS-216-94 (11-2005) (INSTRUCTION FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB. 15-II, Section 3312) | 
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		| 
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		| 
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		| 33-314 | 
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 | Rev. 4 | 
	
	
	
	
	
	
		| 06-02 | 
 | Form CMS-216-94 | 
 | 3390 (Cont.) | 
	
		| CALCULATION OF REIMBURSEMENT | 
 | MEDICARE | REPORTING PERIOD | WORKSHEET D | 
 | 
	
		| SETTLEMENT | 
 | NUMBER | FROM_____________ | 
 | 
 | 
	
		| 
 | 
 | 
 | TO________________ | 
 | 
 | 
	
		| 
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 | 
 | 1 | 2 | 
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		| 
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 | 
 | Kidney Acquisition | Tissue Typing Lab | 
 | 
	
		| 1 | Medicare Reimbursable Cost-Kidney Acquisition- | 
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 | 1 | 
	
		| 
 | Worksheet-C,Column 1,line 5 | 
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		| 
 | Tissue Typing-Laboratory W/S-C, Column 2, Line 5 | 
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		| 2 | Total Revenue Received for Lab Services Furnished to | 
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 | 2 | 
	
		| 
 | Foreign Countries, Military and DVA Hospitals | 
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		| 3 | Total Cost Reimbursable to OPO/LAB (Line 1-Line 2) | 
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 | 3 | 
	
		| 4 | Total Payments Received and Receivable from OPOs | 
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 | 4 | 
	
		| 
 | and Transplant Hospitals for Kidneys Furnished or | 
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		| 
 | Laboratory Services Provided for Kidney Transplantation | 
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		| 
 | (From Your Records) | 
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		| 5 | Subtotal (Line 3-Line 4) | 
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 | 5 | 
	
		| 6 | Sequestration Adjustment (See Instructions) | 
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 | 6 | 
	
		| 7 | Interim Payments | 
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 | 7 | 
	
		| 8 | Net Balance Due OPO/LAB (Medicare Program) | 
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 | 8 | 
	
		| 
 | (Line 5 - (Line 6 + Line 7) | 
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		| Form CMS-216-94 (3/95) (INSTRUCTION FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB. 15-II, Section 3313) | 
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		| 
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		| 
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		| Rev. 3 | 
 | 
 | 
 | 
 | 33-315 | 
	
	
	
	
	
	
	
		| 3390 (Cont.) | 
 | Form CMS 216-94 | 
 | 06-02 | 
	
		| 
 | 
 | MEDICARE | 
 | PERIOD: | 
 | 
 | 
	
		| BALANCE   SHEET | NUMBER | 
 | FROM _____________________ | 
 | WORKSHEET | 
	
		| 
 | 
 | 
 | 
 | TO ________________________ | 
 | E | 
	
		| 
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		| 
 | 
 | 
 | 
 | Liabilities and Fund | 
 | 
 | 
	
		| 
 | Assets | General | 
 | Balance | 
 | General | 
	
		| 
 | (Omit cents) | Fund | 
 | (Omit Cents) | 
 | Fund | 
	
		| 
 | 
 | 1 | 
 | 
 | 
 | 1 | 
	
		| 
 | CURRENT  ASSETS | 
 | 
 | CURRENT  LIABILITIES | 
 | 
 | 
	
		| 1 | Cash on hand and in banks | 
 | 34 | Accounts payable | 
 | 
 | 
	
		| 2 | Temporary investments | 
 | 35 | Salaries, wages & fees payable | 
 | 
 | 
	
		| 3 | Notes receivable | 
 | 36 | Payroll taxes payable | 
 | 
 | 
	
		| 4 | Accounts receivable | 
 | 37 | Notes & loans payable (Short term) | 
 | 
 | 
	
		| 5 | Other receivables | 
 | 38 | Advanced blood deposits | 
 | 
 | 
	
		| 6 | Less: allowances for uncollectible | (                   ) | 39 | 
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 | 
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		| 
 | notes and accounts receivable | 
 | 40 | Due to other funds | 
 | 
 | 
	
		| 7 | Inventory | 
 | 41 | 
 | 
 | 
 | 
	
		| 8 | Prepaid expenses | 
 | 42 | TOTAL  CURRENT  LIABILITIES | 
 | 
 | 
	
		| 9 | Other current assets | 
 | 
 | (Sum of lines 34 - 41) | 
 | 
 | 
	
		| 10 | Due from other funds | 
 | 
 | LONG  TERM  LIABILITIES | 
 | 
 | 
	
		| 11 | TOTAL  CURRENT  ASSETS | 
 | 43 | Mortgage payable | 
 | 
 | 
	
		| 
 | (Sum of lines 1 - 10) | 
 | 44 | Notes payable | 
 | 
 | 
	
		| 
 | FIXED  ASSETS | 
 | 45 | Unsecured loans | 
 | 
 | 
	
		| 12 | Land | 
 | 46 | 
 | 
 | 
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		| 13 | Land improvements | 
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		| 14 | Less: Accumulated depreciation | (                   ) | 47 | 
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 | 
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		| 15 | Buildings | 
 | 48 | 
 | 
 | 
 | 
	
		| 16 | Less: Accumulated depreciation | (                   ) | 49 | TOTAL  LONG  TERM  LIABILITIES | 
 | 
 | 
	
		| 17 | Leasehold improvements | 
 | 
 | (Sum of lines 43 - 48) | 
 | 
 | 
	
		| 18 | Less: Accumulated depreciation | (                   ) | 50 | TOTAL  LIABILITIES | 
 | 
 | 
	
		| 19 | Fixed equipment | 
 | 
 | (Sum of lines 42 and 49) | 
 | 
 | 
	
		| 20 | Less: Accumulated depreciation | (                   ) | 
 | CAPITAL  ACCOUNTS | 
 | 
 | 
	
		| 21 | Automobiles and trucks | 
 | 51 | General fund balance | 
 | 
 | 
	
		| 22 | Less: Accumulated depreciation | (                   ) | 52 | Specific purpose fund balance | 
 | 
 | 
	
		| 23 | Major movable equipment | 
 | 53 | Donor created - endowment fund | 
 | 
 | 
	
		| 24 | Less: Accumulated depreciation | (                   ) | 
 | balance - restricted | 
 | 
 | 
	
		| 25 | Minor equipment nondepreciable | 
 | 54 | Donor created - endowment fund | 
 | 
 | 
	
		| 26 | Other fixed assets | 
 | 
 | balance - unrestricted | 
 | 
 | 
	
		| 27 | TOTAL  FIXED  ASSETS | 
 | 55 | Governing board created - endowment | 
 | 
 | 
	
		| 
 | (Sum of lines 12 - 26) | 
 | 
 | fund balance | 
 | 
 | 
	
		| 
 | OTHER  ASSETS | 
 | 56 | Plant fund balance - invested in plant | 
 | 
 | 
	
		| 28 | Investments | 
 | 57 | Plant fund balance - reserve for | 
 | 
 | 
	
		| 29 | Deposits on leases | 
 | 
 | plant improvement, replacement and | 
 | 
 | 
	
		| 30 | Due from owners/officers | 
 | 
 | expansion | 
 | 
 | 
	
		| 31 | 
 | 
 | 58 | TOTAL  FUND  BALANCE | 
 | 
 | 
	
		| 32 | TOTAL  OTHER  ASSETS | 
 | 
 | (Sum of lines 51 thru 57) | 
 | 
 | 
	
		| 
 | (Sum of lines 28 - 31) | 
 | 59 | TOTAL  LIABILITIES  AND | 
 | 
 | 
	
		| 33 | TOTAL  ASSETS | 
 | 
 | FUND  BALANCE | 
 | 
 | 
	
		| 
 | (Sum of lines 11, 27 and 32) | 
 | 
 | (Sum of lines 50 and 58) | 
 | 
 | 
	
		| 
 | (         ) = contra amount | 
 | 
 | 
 | 
 | 
 | 
	
		| FORM CMS -216-94 ( 03/95 ) (INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN | 
 | 
 | 
 | 
 | 
 | 
 | 
	
		| CMS PUB. 15-II, SECTION 3314 ) | 
 | 
 | 
 | 
 | 
 | 
 | 
	
		| 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
	
		| 33-316 | 
 | 
 | 
 | 
 | 
 | Rev. 3 | 
	
	
	
	
	
		| 06-02 | 
 | Form CMS-216-94 | 
 | 
 | 3390 (Cont.) | 
	
		| STATEMENT OF OPERATING EXPENSES | 
 | MEDICARE NUMBER | REPORTING PERIOD | WORKSHEET E-1 | 
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		| AND REVENUES | 
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 | FROM_____________ | 
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		| 
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 | TO________________ | 
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		| PART I | 
 | OPO | BLOOD BANK/LAB | TOTAL | 
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		| REVENUES | 
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		| 1 | Whole Blood and Components | 
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 | 
 | 1 | 
	
		| 2 | Processing Fees | 
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 | 2 | 
	
		| 3 | Other Blood Products and Services | 
 | 
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 | 3 | 
	
		| 4 | Tissue Typing Services | 
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 | 4 | 
	
		| 5 | Other Laboratory Services | 
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 | 5 | 
	
		| 6 | Other Patient Service Fees: | 
 | 
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 | 6 | 
	
		| 7 | 
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 | 7 | 
	
		| 8 | 
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 | 8 | 
	
		| 9 | 
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 | 9 | 
	
		| 10 | Kidney Procurement Revenue | 
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 | 10 | 
	
		| 11 | Other Organ Procurement Revenue | 
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 | 11 | 
	
		| 12 | Total Revenue for Services Provided | 
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 | 
 | 12 | 
	
		| PART II | 
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		| EXPENSES | 
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		| 1 | Operating Expenses (Per W/S-A, Column 3, Line 26) | 
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 | 1 | 
	
		| 2 | Add (Specify) | 
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 | 2 | 
	
		| 3 | 
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 | 3 | 
	
		| 4 | 
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 | 4 | 
	
		| 5 | 
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 | 5 | 
	
		| 6 | Total Additions | 
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 | 6 | 
	
		| 7 | Deduct (Specify) | 
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 | 7 | 
	
		| 8 | 
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 | (                               ) | 
 | 8 | 
	
		| 9 | 
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 | (                               ) | 
 | 9 | 
	
		| 10 | 
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 | (                               ) | 
 | 10 | 
	
		| 11 | Total Deductions | 
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 | (                               ) | 11 | 
	
		| 12 | Total Operating Expenses (Sum of Lines 1 and 6 minus 11) | 
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 | 12 | 
	
		| 
 | Transfer to Worksheet E-2 Line 4 | 
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		| 
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		| 
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		| Form CMS 216-94 (3/95) ( INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB 15-II | 
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		| Section 3315) | 
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		| 
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		| Rev. 3 | 
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 | 33-317 | 
	
	
	
	
	
	
		| 3390 (Cont.) | 
 | Form CMS-216-94 | 
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 | 06-02 | 
	
		| STATEMENT OF REVENUES | 
 | MEDICARE NUMBER | REPORTING PERIOD | WORKSHEET E-2 | 
 | 
	
		| AND EXPENSES | 
 | 
 | FROM_____________ | 
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		| 
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 | TO________________ | 
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		| 1 | Total Revenues for Services Provided (From W/S E-1, Part I, Line 12) | 
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 | 1 | 
	
		| 2 | Less: Allowances for Discounts on Services | 
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 | (                               ) | 2 | 
	
		| 3 | Net Revenue for Services Provided | 
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 | 3 | 
	
		| 4 | Less: Total Operating Expenses (From W/S E-1, Part II Line 12) | 
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 | (                               ) | 4 | 
	
		| 5 | Net Income From Services | 
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 | 5 | 
	
		| 6 | Other Income: | 
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 | 6 | 
	
		| 7 | Contributions | 
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 | 7 | 
	
		| 8 | Income From Investments | 
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 | 8 | 
	
		| 9 | Purchase Discounts | 
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 | 9 | 
	
		| 10 | Rebates and Refunds of Expenses | 
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 | 10 | 
	
		| 11 | Parking Lot Receipts | 
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 | 11 | 
	
		| 12 | Vending Machine Receipts | 
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 | 12 | 
	
		| 13 | Rental or Lease Income | 
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 | 13 | 
	
		| 14 | Income From Sales of Supplies | 
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 | 14 | 
	
		| 15 | Federal Research Grants (Specify) | 
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 | 15 | 
	
		| 16 | Federal Research Grants (Specify) | 
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 | 16 | 
	
		| 17 | Federal Research Grants (Specify) | 
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 | 17 | 
	
		| 18 | Other Research Grants (Specify) | 
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 | 18 | 
	
		| 19 | Other Research Grants (Specify) | 
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 | 19 | 
	
		| 20 | Other (Specify) | 
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 | 20 | 
	
		| 21 | Other (Specify) | 
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 | 21 | 
	
		| 22 | Other (Specify) | 
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 | 22 | 
	
		| 23 | Other (Specify) | 
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 | 23 | 
	
		| 24 | Total Other Income (Sum of Lines 6-23) | 
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 | 24 | 
	
		| 25 | Total (Line 5 plus line 24) | 
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 | 25 | 
	
		| 26 | Other Expenses(Specify) | 
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 | 26 | 
	
		| 27 | Other Expenses(Specify) | 
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 | 27 | 
	
		| 28 | Total Other Expenses (Sum of lines 26 & 27) | 
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 | (                               ) | 28 | 
	
		| 29 | Net Income (or Loss) for the Period (Line 25 minus Line 28) | 
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 | 29 | 
	
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		| Form CMS 216-94 (3/95) ( INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB 15-II | 
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		| Section 3316) | 
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		| 
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		| 33-318 | 
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 | Rev. 3 | 
	
	
	
	
	
	
	
	
	
	
	
	
		| 06-02 | 
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 | Form CMS-216-94 | 
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 | 
 | 
 | 
 | 3390 (Cont.) | 
	
		| STATEMENT OF COSTS OF SERVICES | 
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 | MEDICARE NUMBER | 
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 | REPORTING PERIOD: | 
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 | SUPPLEMENTAL | 
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		| FROM RELATED ORGANIZATIONS | 
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 | FROM__________________ | 
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 | 
 | WORKSHEET | 
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		| 
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 | ____________________ | 
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 | TO_________________ | 
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 | A-5-1 | 
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		| A. | Are there any costs included on Worksheet A which resulted from transactions with related organizations as | 
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		| 
 | defined in the Provider Reimbursement Manual, Part I, Chapter 10? | 
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		| 
 | [   ] Yes | [   ]  No         (If  "Yes", complete Parts II and III ) | 
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		| B. | Costs incurred and adjustments required as result of transactions with related organizations: | 
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		| 
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 | AMOUNT | 
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 | NET | 
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		| LOCATION AND AMOUNT INCLUDED ON WORKSHEET A, COLUMN 6 | 
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 | ALLOWABLE | 
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 | ADJUSTMENT | 
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		| 
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 | IN COST | 
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 | (COL.4 MINUS | 
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		| 
 | LINE NO. | COST CENTER | EXPENSES ITEMS | 
 | 
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 | AMOUNT | 
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 | COL. 5) | 
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		| 
 | 1 | 2 | 
 | 3 | 
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 | 4 | 
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 | 5 | 
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 | 6 | 
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		| 1 | 
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 | 1 | 
	
		| 2 | 
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 | 2 | 
	
		| 3 | 
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 | 3 | 
	
		| 4 | 
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 | 4 | 
	
		| 5 | TOTALS (sum of lines 1-4) Transfer col.6, line 1-4 to Wkst. A,col.6 as appropriate) | 
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 | 5 | 
	
		| 
 | (Transfer col.6, line 5 to Wkst. A-5, col.2, line 4, Adjustment to Expenses) | 
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		| C. | Interrelationship of facility to related organization (s): | 
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		| The Secretary, by virtue of the authority granted under section 1814(b)(1) of the Social Security Act, | 
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		| requires the provider to furnish the information requested on Part C of this worksheet. | 
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		| This information will be used by the Centers for Medicare and Medicaid Services and its intermediaries in determining | 
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		| that the costs applicable to services, facilities, and supplies furnished by organizations related to the facility by | 
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		| common ownership or control, represent reasonable costs as determined under section 1861(v) (1) (a)  of the Social | 
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		| Security Act. If the provider does not provide all or any part of the requested information, the cost report is considered | 
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		| incomplete and not acceptable for purposes of claiming reimbursement under title XVIII. | 
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		| 
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 | RELATED ORGANIZATION (S) | 
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		| 
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 | Percentage | 
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 | Percentage | 
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		| 
 | SYMBOL | 
 | of | 
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 | of | 
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 | Type of | 
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		| 
 | (1) | Name | Ownership | 
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 | Name | 
 | Ownership | 
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 | Business | 
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		| 
 | 1 | 2 | 3 | 
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 | 4 | 
 | 5 | 
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 | 6 | 
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		| 1 | 
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 | 1 | 
	
		| 2 | 
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 | 2 | 
	
		| 3 | 
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 | 3 | 
	
		| 4 | 
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 | 4 | 
	
		| 
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		| 
 | (1) Use the following symbols to indicate interrelationship to related organizations: | 
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		| 
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 | A. Individual has financial interest (stockholder, partner, etc.) in both related organization and in the facility; | 
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		| 
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 | B. Corporation, partnership, or other organization has financial interest in  the facility; | 
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		| 
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 | C. Facility has financial interest in corporation, partnership, or other organization(s); | 
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		| 
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 | D. Director, officer, administrator, or key person of the facility or relative of such person has financial interest | 
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		| 
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 | in related organization; | 
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		| 
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 | E. Individual is director, officer, administrator, or key person of the facility and related organization; | 
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		| 
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 | F. Director, officer, administrator, or key person of related organization or relative of such person has | 
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		| 
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 | financial interest in the facility; | 
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		| 
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 | G. Other (financial or non-financial) specify _____________________________ | 
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		| 
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		| FORM CMS-216-94(3/95) (INSTRUCTIONS FOR THIS WORKSHEET ARE PUBLISHED IN CMS PUB. 15-II,Section 3317) | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
	
		| Rev. 3 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 
 | 33-319 |