Tài Chính 2017-2018
Giáo Xứ La Vang Thông Báo Năm Tài Chính 2017-2018
Financial Report of Fiscal Year 2017 – 2018
From July 1, 2017 To June 30, 2018
REVENUE (Thu Nhập) | |
Sunday Collections | $ 121,860 |
Holy Day Collection | $ 4,934 |
Fundraising | $ 62,037 |
ACA Rebate | $ 18,461 |
Designated Donations | $ 7,852 |
Fees General | $ 593 |
Interest | $ 1,295 |
Total Revenue = | $ 217,032 |
EXPENDITURES (Chi Phí) | |
Clergy Administration | $ 33,540 |
Administrative Support | $ 49,271 |
Altar Worship Support | $ 5,943 |
Building & Land Operation | $ 30,742 |
Capital Building | $ 18,813 |
Total Expenditures = | $ 138,309 |
Year Ending Balance | $ 78,722 |
Rev. Hoi Tran, Pastor
Đặng Trần Nhân, Finance Chairperson