FUUSB Board Policy Book

Bylaws approved at June 2017 Annual Meeting

Board of Trustees Minutes and Documents

Fiscal Year 2021/2022 Year End Financial Report

 

 

Treasurer’s Report
March 2023
Income This Period Actual YTD Actual Annual Budget Annual Budget Remaining
Pledge Income $33,337.30 $325,209.04 $477,582.00 $152,372.96
Rental Income $10,600.00 $109,430.00 $158,095.00 $28,950.00
Trust Income $51,640.67 $153,922.01 $201,590.00 $47,667.99
Other Income $4,355.42 $94,817.55 $48,950.00 ($45,867.55)
Total Income $99,933.39 $683,378.60 $886,217.00 $202,838.40
Expenses
Payroll & Benefits $71,368.41 $495,073.15 $658,918.00 $163,844.85
Governance & Ministry $4,771.63 $22,206.90 $62,400.00 $40,193.10
Operating Expenses $12,750.27 $107,672.42 $140,236.00 $32,563.58
Building & Site $14,406.23 $64,746.72 $75,615.00 $10,868.28
Total Expenses $103,296.54 $689,699.19 $937,169.00 $247,469.81
Difference ($3,363.15) ($6,320.59) ($50,952.00)