Professional Documents
Culture Documents
Church Financial Report-2
Church Financial Report-2
Expenses
Date Transport Electricity Palace Holy Communion Books
05.01.2020 - - - - -
12.01.2020 - - - - -
19.01.2020 - - - - -
26.01.2020 - - - - -
Total - - - - -
Excess/Deficit 4,662
Other Total
- -
- -
- -
- -
- -
Income
Date Tithe Offering Total
Expenses
Date Transport Electricity Palace Holy Communion Books
02.02.2020 - - - - -
09.02.2020 - - - - -
16.02.2020 - - - - -
22.02.2020 - - - - -
Total - - - - -
Excess/Deficit 2,989
Other Total
- -
- -
- -
- -
- -
Income
Date Tithe Offering Total
Expenses
Date Transport Electricity Palace Holy Communion Books
01.03.2020
08.03.2020
15.03.2020
22.03.2020 4,400.00 1,100.00 550.00
29.03.2020 120.00 50
Total 4,520.00 1,100.00 550.00 50.00 -
Excess/Deficit (6,634)
Other Total
-
-
1,794.50 1,794.50
700.00 6,750.00
200
2,694.50 8,544.50
Quarterly Income
Month Tithe Offering Total
Quarterly Expenses
Month Transport Electricity Palace Holy Communion Books
January - - - - -
February - - - - -
March 4,520.00 1,100.00 550.00 50.00 -
Excess/Deficit (68)
Other Total
- -
- -
2,694.50 8,914.50
2,694.50 8,914.50