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

Treasurer’s Report June 30, 2025

 

 

Treasurer’s Report
June 2025
Income This Period Actual YTD Actual Annual Budget Annual Budget Remaining
Pledge Income $29,245.85 $494,239.06 $474,320.00 ($19,919.06)
Rental Income $19,068.00 $168,169.25 $164,668.00 ($3,501.25)
Trust Income $18,604.00 $223,258.58 $227,052.00 $3793.42
Other Income ($43.76) $29,641.17 $32,300.00 $2,658.83
Total Income $66,874.09 $915,308.06 $898,340.00 ($16,968.06)
Expenses
Payroll & Benefits $57,852.01 $649,314.40 $656,204.02 $6,889.62
Governance & Ministry $4,329.10 $32,444.64 $53,410.00 $20,965.36
Operating Expenses $30,111.97 $144,444.33 $150,436.00 $5,991.67
Building & Site $5,672.91 $79,917.54 $80,070.00 $152.46
Total Expenses $97,965.99 $906,120.91 $940,120.02 $33,999.11
Difference ($31,091.90) $9,187.15 ($41,780.02)