Finance Committee Report
- Our financial performance from operations (loss of $217k) is about $53k behind budget for the first three quarters of our fiscal year
- Pledge income of $409k is about $4k lower than budget
- Rental income of $27.5k is about $3k below budget
- Total operating revenue of $569k is $11k behind budget.
- Expenses of $786k are $41k higher than budget – mostly due to the capital campaign (both timing of expenses in the budget and the actual cost of the campaign).
- “Other income” of $20k is $171k better than budget due to investment gains of $126k (net of investment fees) and timing of some capital improvements projects
- NOTE: This excludes $712k in capital campaign receipts (and a small amount of interest on these funds) that are included in our financial statements
- Our overall finances show a loss of $197k vs a budgeted loss of $316k
- Again, this excludes the $712k of capital campaign receipts
Fiscal Year Actual vs. Budget
July 1, 2025 to March 31, 2026 25/26 Actual 25/26 Budget
Total Operating Revenue 568,995 580,133
Total Operational Expenses 785,936 744,572
Operational Surplus (Deficit) (216,941) (164,439)
Other Income/Expense* (Net) 20,527 (151,441)
* Investment Income & fees, unrealized gains/losses, depreciation, bequests; excludes capital campaign receipts
Revenue Breakdown
Through March 31, 2025 25/26 Actual 25/26 Budget
Pledges 409,452 412,883
Rentals 27,510 30,388
Net Assets Used for Operations 77,342 97,927
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