Stewardship Updates

 

 

Monthly Financial Update

April 2018

 Month Year to Date 
General Giving, Fees, Other Income  $830,235 $3,046,016
Missions Giving  $136,162 $721,687
TOTAL INCOME $966,397 $3,767,703
     
Designated Spending from 2017 Collections $0 $0
Spending $854,548 $3,660,731
TOTAL SPENDING  $854,548 $3,660,731
NET CASH FLOW  $111,849 $106,972

 

Construction Loan Balance (as of 5/11/2018): $181,091

 

To download complete financial statement, go here.