• Worship in the Park
Financial Report for Newsletter
 
We are thankful to all who give generously in a spirit of gratitude to God.    Below we present a report of the income and expenses at Mt. Tabor up to August 2021.  .  
January- August, 2021
 
Projected
Actual
Total Income*:
$ 104,000.00
$ 119,637.97
Total Expenses:
$ 114,332.06
$ 105,397.97
 
 
*  Some parishioners gave a yearly donation in January totaling 19,000.00. 
 
Respectfully submitted,
Sharon Heightman
 
Treasurer