St. Anthony’s Parish

Roman Catholic

Maronite Rite

                                                                                                             August, 2004

 

 Dear Parishioners & Friends,

 

On behalf of the Parish Council, Pastoral, Financial & Bingo Committees and myself, I would like to thank each and every one of you for supporting, helping, and having faith in your Parish.

 

I would like to present to you the Financial Statement for the past six months. We thank God and you for all these accomplishments. With cooperation and togetherness, we will be able to face the future thanks to your kindness and generosity.

 

Please note the following accomplishments and future projects.

 

ACCOMPLISHMENTS

* Easter Celebrations.

* Parking Lot maintenance.

* Easter Play.

* Children’s Fun Day at Wheels Inn

* Youth Participation in the NAM Convention.

* Car Wash & Barbecue

* St. Joseph’s Lounge.

* Fathers & Mothers Day.

* Renovate the rooms in the Basement, paint & carpet.

* Children Souvenirs.

* St. Anthony’s Palm Sunday Procession.

* Our Lady of the Cape visits the houses.

 

 

 

 

FUTURE PLANS:

-         Buy a New Church

 

Thank you all for your generosity and support. May the Lord bless you and keep you safe with your families. We hope that you will continue to help us to make our future plans a reality.

 

          Sincerely Yours in Christ,

         

          Father Elie Zouein, P. P.

           St. Anthony’s Parish

           Pastor

 

 

 

                                                                      

 

RECEIPTS / INCOME

 

 

Offertory : Weekly Collection                                                                              

 

$ 35.588.00

Donations                                                                                                    

 

7,540.00

Candle Offerings                                                                                       

 

6,264.00

Social Activities, 1st Communion                                                             

 

3,640.00

Bingo & Raffle Proceeds                                                                       

 

10,991.00

Refunds & Rebates: GST

 

1,143.00

Interest

 

0

Miscellaneous: Bulletin Ads., Hall Rent

 

1,550.00

TOTAL RECEIPTS                                                                               

 

$ 66,716.00

 

 

 

EXPENDITURES

 

 

Pastor Salaries                                                                                       

 

$ 9,000.00

Secretary / Janitor / Assistant Priest                                             

 

10,839.00

Education & Training                                                                           

 

1.095.00

Rectory Needs                                                                                          

 

378.00

Utilities                                                                                                      

 

6,187.00

Car Allowance                                                                                        

 

2,100.00

Alarm System                                                                                         

 

162.00

Church Supplies: Update Basement room ,Carpet, Painting,

 

7,054.00

Repairs & Maintenance                                                                          
 
3,138.00

Office Supplies : New Filing Cabinet

 

2,928.00

Phone                                                                                                       

 

1,129.00

Property Taxes                                                                                        

 

567.00

Social Events & 1st Comm., Bingo License

 

5,770.00

Charities / Visiting Priests / Janitorial Services                                                                                                

 

5,050.00

Bank Charges

 

14.00

Bookkeeping

 

450.00

GST Paid                                                                                                        

 

1,193.00

Insurance                                                    

 

2479.00

10%Cathedraticum  ,St. Maron’ s Eparchy              

 

3,557.00

TOTAL EXPENDITURES                                                               

 

$ 63.090.00

 

 

 

NET INCOME (DEFICIT)                                                                     

 

3,626.00

BEGINNING BALANCE       

 

40,886.00

ENDING BALANCE AS OF  June 2004

 

$ 44,512.00