About this document
Church Monthly Financial Overview by Timothy Sausa is a document available to read on EtoBox.
The consolidated cash flow report for FGGCCPI for November 2020 shows total money received of $970,873.46, with significant contributions from various sources including churches and individuals. Total operating expenses amounted to $691,792.02, resulting in a net collection of $279,081.44 after expenses. The ending cash balance was reported at $127,793.44, after accounting for other disbursements and beginning cash balance.
- Author
- Timothy Sausa
- Language
- EN