Tuesday 23 October 2012

Financial Report January - September 2012


General

ActualBudget
RECEIPTS
Offering$166,375$233,850
Rental Income, Interest and Others $41,701$42,176
Total Receipts$208,076$276,026
EXPENDITURES
Administration & Grounds$190,617$193,767
Ministries$8,004$15,903
CBWCF Loan Repayments$57,285$65,325
Total Expenditures$255,906$274,995
General surplus (deficit)($47,830)$1,031


Loans

CBWCF Loan
Other than Regular Loan Repayments $160,000
Additional Mortgage$40,000
Net Loan Repayments ( Loan Proceeds)$120,000
CBWCF Loan Payable$10,806
 
Congregational Loan
Loan Repayments$89,965
Additional Loan$270,800
Net Loan Repayments  ( Loan Proceeds)($180,835)
Congregational Loan Payables$519,328
 
Total Loans
Loan Repayments$249,965
Additional Loans$310,800
Net Loan Repayments ( Loan Proceeds)($60,835)
Total Loans$530,134

Renovation Capital Campaign(October 2011 - September 2012)


ActualBudget
Offerings$65,405$65,000
Expenses$50,194

Note: Cheques for the church should be made payable to "Westside Baptist Church."  Please do not use abbreviations.

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