2021 Financial Report

42ND ANNUAL RELIEF SALE

RECEIPTS AMOUNT
Quilt Auction 10,278.00
General Auction 25,369.00
Art Auction 7,020.00
Pork Auction 4,150.00
To-Go Food Items 6,623.00
My Coins Count 3,749.82
T-Shirts & Mugs 862.00
Cash Donations 28,522.26
MCC Special Project 2,880.00
Golf Tournament 3,332.63
Misc. Receipts 118.87
TOTAL RECEIPTS $ 92,905.58
EXPENSES AMOUNT
Food & Supplies 424.96
Advertising 767.81
Misc. Expenses 23.00
TOTAL EXPENSES $ 1,215.77
FUNDS HELD FROM 2020 $ 9,242.75
2020 FUNDS SENT TO MCC $ 9,547.24
. .
OVERSENT FUNDS $ 304.49
NET PROFIT $ 91,689.81
CASH TO RETAIN $ 304.49
. .
FUNDS SENT TO MCC $ 91,385.32
Previous
Previous

2022 Financial Report

Next
Next

2020 Financial Report