Stewardship News

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

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