Financial Report for the year ended 30th June 2019
Operating income for the year was $287,138 and expenditure $388,075. Expenditure included almost $111,000 on essential Church and Presbytery repairs, painting and maintenance.
Planned giving receipts were $105,908, down approximately $3,000 from the previous year. Second collections amounted to $44,610, down approximately $2,600.
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