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2025 Impact Figures

 

2026 IMPACT REPORT

Financial Information

Your generosity changes lives. Financial stewardship helps ensure that resources entrusted to The Salvation Army are used to bring hope, dignity and support to individuals and families throughout Metro Detroit.

 
FINANCIAL STEWARDSHIP
 

ACCOUNTABILITY

Your generosity at work.

These figures reflect Metro Detroit financial activity for the fiscal year ending September 30, 2025.

 

TOTAL REVENUE

$58.0M

$57,978,800 in total revenue.

 

TOTAL EXPENSES

$62.9M

$62,897,099 in total expenses.

 

NET REVENUE / (EXPENSE)

($4,918,299)

 
 

REVENUE

Where support comes from

 
Government Fees $37,261,522 64.3%
Contributions $18,029,918 31.1%
Program Fees $1,229,813 2.1%
Sales to the Public $991,076 1.7%
Miscellaneous $454,444 0.8%
United Way $12,027 <0.1%
 
 

EXPENSES

How resources are used

 
Other Social Services $25,945,052 41.2%
Residential & Institutional Services $17,517,004 27.9%
Corps Community Centers $6,524,810 10.4%
Fundraising $5,863,519 9.3%
Management $4,595,025 7.3%
Echo Grove Camp $2,451,689 3.9%
 

83.4%

of total expenses supported programs and services, excluding management and fundraising.

 
 

YOUR GENEROSITY IN ACTION

More than dollars and cents.

 

2,597,804

Meals
Served

413,413

Nights of
Shelter

95,986

Toys &
Gifts

10,872

Christmas
Gift Cards

1,800

Legal Aid
Cases

 
Financial information reflects TSA Metro Detroit activity for the fiscal year ending September 30, 2025. Southeast Adult Rehabilitation Center expenses and income are not included.
DOING THE MOST GOOD   |   SERVING METRO DETROIT