JANUARY 1, 2019 ~ JANUARY 31, 2019
*********************
INCOME
Building Use 0.00
Capital Improvement 0.00
Contributions 1,608.29
Designated Giving 22.00
Designated Mission 0.00
Fundraising 0.00
Interest 0.00
Loose Offering 187.37
Pledges 4,998.00
Reimbursement 6.00
6,821.66
EXPENSES
Christian Education 0.00
Community Outreach 99.00
Facility 1,769.88
Membership 100.00
Mission 696.00
Personnel 4,836.90
Stewardship 864.27
Worship 0.00
8,366.05
~ Transferred from Memorial Fund 1,398.55
CHECKBOOK BALANCE $2,990.15