Stewardship News

Categories: Finance,Homepage,Stewardship

Our Stewardship – November 2016 (ytd)
Gifts & other Revenue $134,449
Actual Expenses $138,661
Variance $(4,212)

Funds Balances – November 2016 (ytd)
Cash on Hand $70,855
Less Restricted Funds:
– Shelf of Hope $29,262
– Capital Improvements $17,752
– Other $5,836
Operating cash available $18,005