return
STATEMENT OF REVENUES AND EXPENDITURES
FOR THE YEAR ENDED DECEMBER 31, 1973
(with comparative figues for 1972)
1973 1972
. Revenues $ 23,814 $ 26,793
Expehditures 21,670 21,074
Excess of revenues over expenditures $ 2.144 $ _5,719
Subject to our comments atteched hereto and dated Jenuary 23, 1974.
PREPARED WITHOUT AUDIT
STATEMENT OF REVENUE
FOR THE YEAR ENDED DECEMBER 31, 1973
Board of Menagers $ 29
Collections 1,398
Flower Sele 200
Fowl Supper 485
Local Purpose 17,623
Missions 2,027
Presbyterian Women's Association 1,250
Rental 577
Reverend Gordon Moore - donation 25
Session —200
$23,814
Subject to our comments attached and dated January 23, 1974.
PREFARED WITHOUT AUDIT
STATEMENT CF EXPENDITURES FOR THE YEAR ENDED DECEMBER 31, 1973
Advertising $ 367
Automotive 1,500
Building Repairs - Church 376
- Manse 136
Employees! benefits 262
Extension Table 99
Ground Maintenance %
Heating 1,717
Hyéro - Church 537
- Manse 282
Insurance - Church 431
- Manse 99
Interest and Bank Cherges 207
Janitorial Supplies 78
Lawn Mower 129
Minister's Pension Plan Premium 246
Miscellaneous 49
Missions 2,027
Mortgage Interest 1,916
Music Supplies 164
Postage 56
Professional Fees 225
Synod & Presbytery Dues 275
Printing and Stationery 286
3 Snow Removal 82
Special Hymn Books 13
Taxes - Manse 403
- Church 93
Telephone 330
eer een es Ey

return