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April Financial Update

Our Financial Secretary, Steve Smith, provides monthly reports to the Congregation Council – contents of which were previously made available through weekly bulletins, hard copies of reports in the hallway stand in the church as well as hard copies of the Council Meeting minutes. In the absence of that opportunity for sharing, we will be posting information on the website. The spreadsheet below provides the actual financial information so far this year. Prior years’ information was available in the Annual Report that you would have received in January.

 Mar-21Year to Date
Total Contributions and
Income for Budgeted Items
 $17,749 $34,897
Expenses($18,880) $(55,350)
Actual Deficit($1,132)($20,453)
Transfer from Keeping God’s House $2,766 $ 9,010
Adjusted Deficit/Surplus$ 1,634($11,443)

Total Contributions and Income for Budgeted Items during March were improved as compared with the first two months of the year as well as with any individual month in 2020. We are hopeful that with the Stewardship Campaign and the continued focus on supporting Good Shepherd’s ministries, this favorable trend will continue. We continued to receive contributions “Keeping God’s House” as well. This fund can be used for facility improvements and has, over the last few years, been used to offset utility/maintenance expenses during the month. Expenditures in the month of March were fairly normal with higher expenses for snow removal and natural gas than will be anticipated with the onset of spring. In this chart, “Operating Deficit” is meant to be the deficit before transferring money from Keeping God’s House to cover utility and other maintenance type expenses. “Recorded” deficit is the deficit after use of the Keeping God’s House fund for those specific expenses.