Financial Support

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Offering for November 11th/12th

Contributions from envelopes

Actual Goal
Actual

$11,301.61

$12,000.00

Reserve Fund $144,520.48 Goal: $250,000.00

Please note: The financial committee has agreed to maintain a bank balance of $50,000.00 for general operations.  Any amount over that will be invested into the reserve fund on a quarterly basis.

*PAD - Personal Automatic Debit - This method of contributing provides the church with a stable and identifiable level of support. Forms are available at the church office. These contributions are processed only once per month. For the purpose of this report only, the total of the PAD is averaged and reported weekly in order to provide a more consistent account of our weekly budget

Help us to serve each of our 1100+ households by contributing to operations and giving some time in ministry.

"Now finish the work, so that your eager willingness to do it may be matched by your completion of it, according to your means. For if the willingness is there, the gift is acceptable according to what one has, not according to what he does not have." 2 Corinthians 8:11-12

Thank-you for your gift!

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PAD form.pdf58.51 KB
 
 

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