2018 Financial Summary
1) We began 2018 projecting a deficit of about $7,700. We ended the year over $12,000 in the black!
2) This was due, in part, to offerings totaling nearly $541,000, $15,000 more than forecast.
3) We received $24,500 from groups using the building, $12,000 more than budgeted.
4) Staff members were careful stewards of your giving, spending $8,000 less than budgeted.
Thank you, everyone, for your amazing generosity! Let's do it again in 2019!