August Financial Report
We are thankful to all who give generously in spirit of gratitude to God. Below we present a report of
of income and expenses at Mt. Tabor the past six monthsr. Our hope is to continue to provide quartely
reports in the newsletter that help communicate the health of the budget - both costs and income -
that help us Live God’s Love in the World throughout the year.
January- June, 2021
Projected Actual Total Income*: $78,000.00 $92,221.97
Total Expenses: $86,874.10 $79,959.15
* Some parishioners gave a yearly donation in January totaling 19,000.00.