FINANCIAL STEWARDSHIP thru December 31, 2011
Operating Income (Month) $34,989 $286,668
Operating Expense - 25,390 -295,405
Surplus/(Deficit) $ 9,599 $ -(8,737)
Weekly offering to meet 2011 budgeted ministry needs $6,120.10
Last Sunday's offering (operating fund): $4,410.43
Donations for Permanent Fund Dividend "Fill-In' Station" to-date: $19,391.80
(year end 2009 $10,423.30 - year end of 2010 $12,552.91) THANK YOU, ST. MATTHEW'S
Paypal donations during December: $4,034