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BOARD: CF MANAGERS BUDGET FOR_1975°°*
1274 1975
RECEIPTS
Givings - locel purpose $. 19,185 $ 26,000
- missions 1,995 2,000
- other 3,000
365i, 3-000
EXPENSES
Minister - Selary 4,333 8,000
- Car Allowance 1,100 2,500
- Benefits 755 1,400
Orgenist 1,400 . 1,400
Janitorial 1,300 1,300
Mortgage Payments 5,563 5,312
Church - Hydro 678 650
- Heat 1,778 2,000
- Taxes 95 100
- Insurance 464 400
- Repairs and Meintenance 620 1,000
- Telephone 243 300
Manse - Hydro 214 300
- Heat 203 300
- Taxes 409 400
- Insurance s =
- Repairs and Maintenance 77 500
- Telephone 77 100
Administrative - Advertising F—543 400
- Bank Interest 315 300
“= Postege, Stationery etc. 351 400
- Music Supplies 109 150
- Audit * »
. - Presbytery Dues 283 300
- Pulpit Supply 1,044 200
- Moving Expenses 7 200,
Missicns -1:995__ 2,000
$23,939 ___—* $30,912
Surplus (deficit) fees:
AUDTTORS' STATEMENT
We have audited the current funds of Westminster-St. Paul's
Presbyterian: Church for the year ending December 31, 1974 and find
them to be in order. :
Helen McGillivary
Jan. 15, 1975. Donna Currie

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