JULY - DECEMBER 2022 TOTAL RECEIPTS: $481,573 DISBURSEMENTS: $441,426 SURPLUS: $40,147 JULY—DECEMBER 2021 DONATIONS $ 307,764 RESTRICTED DONATIONS $ 64,546 SACRAMENTS & SERVICES $ 85,749 MISCELLANEOUS $ 1,031 TOTAL RECEIPTS $ 459,090 CLERGY SALARIES, STIPENDS, & BENEFITS $ 49,874 MUSICIANS & CANTORS $ 13,381 CHURCH SUPPLIES & EXPENSES $ 6,695 RECTORY SUPPLIES & EXPENSES $ 6,586 RELIGIOUS EDUCATION $ 44,627 OTHER MINISTRY EXPENSES $ 3,406 OFFICE STAFF SALARIES & BENEFITS $ 40,823 OFFICE SUPPLIES & EXPENSES $ 19,276 ADLA ASSESSMENTS $ 38,220 INSURANCE $ 54,390 REPAIRS & MAINTENANCE $ 26,799 CAPITAL EXPENDITURES $ 58,490 UTILITIES $ 28,578 MISCELLANEOUS $ 5,034 TOTAL DISBURSEMENTS $ 396,179 RECEIPTS OVER DISBURSEMENTS $62,911 |