Sept 2020 Financial Snapshot

Cash Flow – Operating Fund as of 8/31/20

 ACTUAL   BUDGETED
Income YTD:     $836,929    $906,747
Expenses YTD:$787,860   $906,751
Surplus/(Deficit) YTD:    $ 49,069   $         (4)

Notes from the treasurer:

  • Contributions are trailing 2019 and budget. This was expected with COVID.
  • Committees in general are spending less than in 2019. We expect this to continue while church activities are occurring remotely and as we have asked committees to be mindful of spending. Personnel spending will start to increase with the associate pastor and music director positions filled.
  • Cash flow remains okay with an increase in Net Assets of about $49k so far this year. The expectation is that this will start to decrease as we are now fully staffed and with the financial impacts of COVID.