• Worship in the Park
Financial Report for Newsletter
 
We are thankful to all who give generously in the spirit of gratitude to God.  Below we present a report of income and expenses at Mt. Tabor up to September 2021. 
 
                          January- September, 2021
 
                          Projected                Actual
Total Income*:  $117,000.00         $135,167.97
 
Total Expenses: $128,323.77         $127,474.86
 
* Some parishioners gave a yearly donation in January totaling 19,000.00.
 
In October, we awarded $4,800 in scholarships. Four students (Kenney Workman, Eric Jensen, Emma Workman, and Thomas Jensen) received $1,200 each. Endowment & Memorials Fund was gracious enough to contribute $2,800 for the scholarship awards this year.   We currently have $527.00 in the Scholarship Fund for next year.
 
The Food Assistance fund sent out $460 in cards and received a $50 donation with a balance of $1,417.05. Thank you to Dolly Germundsen for her volunteer time and energy with distributing these monthly cards from Smith's!
 
The Emergency Assistance fund also received $50, with a current balance of $3,355.25.
 
This generosity is made possible by the unfailing donations from our wonderful members!
 
Respectfully submitted,
Sharon Heightman
Treasurer