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May Financial Update

Below is the Fellowship’s Income Statement as of May 31, 2025 along with the major fund balances. The monthly income statements and balance sheets are available in REALM. If you need directions to access these, reach out to Katy at [email protected].

As of 5/31/2025YTD ActualYTD BudgetFull Year Budget
Operating Budget Income Statement
Total Donation Income452,930.82438,262.00478,104.00
Total Fundraiser Income39,025.1329,333.3332,000.00
Total Rental Income69,555.7857,915.0163,180.00
Total Other Income12,465.5017,255.3318,824.00
Total Revenues573,977.23542,765.67592,108.00
Total Payroll and Benefits333,523.62358,779.72391,396.00
Total Building Expenses100,251.9595,424.97104,100.00
Total Other Expense99,032.5095,400.28104,073.00
Total Expenses532,808.07549,604.97599,569.00
Net Total41,169.16-6,839.30-7,461.00
Balances
Ops Budget Available Balance99,245.95
Ops Budget Pledges Receivable27,387.43
Endowment579,592.46as of 3/31
DRWW Pledges Receivable910,444.00
Construction Loan Balance1,194,000.00
Capital Campaign will continue to pay the monthly interest on the construction loan

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