Oct 2022 Financial Snapshot

Cash Flow – Operating Fund as of 9/30/22

      ACTUAL     BUDGETED
Income YTD:    $995,584       $937,500
Expenses YTD:       849,896         970,457
Surplus/(Deficit) YTD:       145,688         (32,957)

Notes from the treasurer:

  • Contributions are about $82K ahead of 2021 and $51K ahead of estimated contributions through August
  • Mission and Peace is $24K behind 2021. Building & Grounds is about $38K below 2021. We do expect these committees to spend their 2022 budget.