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 xina@uusociety.org.

 

 

Treasurer’s Report
January 2026
Income This Period Actual YTD Actual Annual Budget Annual Budget Remaining
Pledge Income $43,386.38 $350,974.51 $506,050.00 $155,075.49
Rental Income $15,305.50 $121,152.00 $175,496.00 $54,344.00
Trust Income $20,986.92 $141,352.94 $251,843.00 $110,490.06
Other Income $987.07 $14,437.34 $44,803.00 $30,365.66
Total Income $80,665.87 $627,916.79 $978,192.00 $350,275.21
Expenses
Payroll & Benefits $54,916.19 $416,581.86 $683,356.02 $266,774.16
Governance & Ministry $2,985.08 $22,781.47 $55,610.00 $32,828.53
Operating Expenses $7,711.61 $78,075.52 $156,328.00 $78,252.48
Building & Site $5,923.94 $54,112.40 $82,900.00 $28,787.60
Total Expenses $71,542.82 $571,551.25 $978,194.02 $406,642.77
Difference $9,123.05 $56,365.54 ($2.02)