Money Talk
Summer Options for Giving
January through April, 2025 our receipts for the current account were $81.658.40 (in 2024 it was $74.996.51). Our net loss at the end of April was -$12,002.67 (in 2024 it was -$23,247.92).
Summer is a concern. Many of us will be away from church. Our bills still have to be paid!
We are asking for your prayers. Prayer that you will see your way clear to continue your financial responsibilities to the work of the church, especially over the summer.
You can if you wish, give post dated cheques or sign up for the monthly “automatic debit”.
The Treasurer's Report
by Diane Sowers

April, 2025
Monthly | Year-to-Date | |
Income | $22,372.86 | $81,658.40 |
Expenses | $22,040.97 | $93,661.08 |
Net Income | $331.89 | -$12,002.67 |
Tithes and Offerings
Automatic debit has helped the church's cash flow.
Once a month, on the 20th, your automatic offering would go into the church's bank account.
At present we have 30 individuals/families signed up.
Please see Gina Feere to arrange automatic debit. There is no charge to you.