
Dear Parishioners: We have $53,593.04 of operating income for the month of December and $12,731.96 of operating income for the six months ending December 31, 2025.
Please note there was a reclass from the Property Maintenance & Repair expense account to the Extraordinary expense - Building and Equipment Purchases this month. This reclass was for items that were related to capital improvements versus normal maintenance.
We are continually watching expenses to achieve a surplus. We are very grateful for the generous Christmas collection of $23,665.00 which turned the year to date ordinary income to a surplus. We appreciate your generosity.
Please know that we will continue to be good stewards of your donations and they will be used for the betterment of the parish.
Please let us know if you have any questions. Feel free to ask any member of the Finance Committee.
Mrs. Marie McInerney, Chairperson
Click Below for Current Report Details:
December 31, 2025