2022 Financial Statement

CAHL has $111,680.81 of total assets in reserve.  The chapter’s financial performance increased favorably by $12,883.54 from last year’s due to a combination of activities including corporate sponsorship, programming events, and cost utilization.

2023 CAHL Committee Initiatives

CAHL’s 13 board committees work cross-functionally with stakeholders to create and deliver valuable offerings and services that operationalize our mission and vision. In collaboration with ACHE, we are committed to delivering tools, thought-leadership, and services to...