San Miguel Church & Missions
Report to the Parish
For Fiscal Year
July 2021 Thru June 2022 |
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Pastor's Message
My Dear Sisters and Brothers in Christ,
On behalf of San Miguel and its Missions, I write to express our gratitude and appreciation once again to Our Deacons, the Parish Pastoral Council, Finance Council, Staff, All the Majordomos, Ministers of the various ministries, Catechists, Members of the Choirs, Fiesta Committee, Gift Shop Volunteers, All Volunteers and All of You, my dear parishioners, for your sacrifices and commitments to the growth and progress of our dear Parish, San Miguel and its Missions.
We thank God for all His love and mercies and you all for being there for our dear parish despite the current realities facing us.
I remain eternally grateful to you all.
While we keep praying for our brothers and sisters who have gone before us, especially those who died due to Covid complications, we also keep our beloved parishioners who are battling with health challenges always in our prayers and masses.
Rev. John Anasiudu |
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Sacramental Celebrations
July 1, 2021 thru June 30, 2022
Baptisms |
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27 |
Confirmations |
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19 |
1st Holy Communion |
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16 |
Marriages |
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2 |
Funerals |
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72 |
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Brief Financial Status
As of June 30, 2022 |
Income - San Miguel
Sunday Collection |
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$236,213.04 |
Fiestas |
|
29,809.28 |
Other Income |
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92,996.75 |
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Total Income |
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359,019.07 |
Savings Account |
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243,358.60 |
Hilton Grant |
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368,520.18 |
Fixed Assets |
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11,316,000.00 |
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Expenses - San Miguel
Salaries |
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108,594.56 |
Worship & Education |
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20,879.42 |
Clergy Supplies |
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20,982.24 |
Fiestas |
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3,875.44 |
Maintenance |
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27,950.51 |
Utilities |
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38,472.45 |
Prop. & Liability Ins. |
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30,927.00 |
Other |
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33,041.40 |
Assessment |
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28,768.14 |
Capital Expenses |
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7,029.54 |
PPP Loan |
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- 23,895.00 |
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Total Expenses |
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296,625.70 |
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Income - Magdalena
Sunday Collection |
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$26,425.30 |
Fiestas |
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3,891.00 |
Other Donations |
|
9,169.72 |
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Total Income |
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39,486.02 |
Savings Account |
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79,854.80 |
Fixed Assets |
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1,675,000.00 |
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Expenses - Magdalena
Worship & Education |
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6,724.42 |
Fiestas |
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3,072.25 |
Maintenance |
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10,037.54 |
Utilities |
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6,462.22 |
Prop. & Liability Ins. |
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4,569.00 |
Other |
|
356.42 |
Assessment |
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3,266.88 |
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Total Expenses |
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34,488.73 |
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