FUUSB Board Policy Handbook

Bylaws approved at June 2017 Annual Meeting

Board of Trustees Minutes and Documents

2025 Year End Financial Report – Narrative 

Balance Sheet June 2025

A Detailed Treasurer’s Report is available by contacting [email protected].

 

 

Treasurer’s Report
November 2025
Income This Period Actual YTD Actual Annual Budget Annual Budget Remaining
Pledge Income $74,183.49 $247,170.46 $506,050.00 $258,879.54
Rental Income $16,178.12 $91,847.12 $175,496.00 $83,648.88
Trust Income $20,986.92 $99,379.10 $251,843.00 $152,463.90
Other Income $4,045.42 $8,847.20 $44,803.00 $35,955.80
Total Income $115,393.95 $447,243.88 $978,192.00 $530,948.12
Expenses
Payroll & Benefits $54,830.36 $281,648.59 $683,356.02 $401,707.43
Governance & Ministry $1,637.17 $12,052.29 $55,610.00 $43,557.71
Operating Expenses $12,647.40 $58,674.36 $156,328.00 $97,653.64
Building & Site $3,671.05 $27,813.37 $82,900.00 $55,086.63
Total Expenses $72,785.98 $380,188.61 $978,194.02 $598,005.41
Difference $42,607.97 $67,055.27 ($2.02)