Encounter Church
Thank You Stewards!!
Thank You Stewards!!
We want to say thank you for remaining faithful during this pandemic and time of financial uncertainty for our country. Your stewardship shows your love and heart for God! Below you will find the members report for the month of March.
March 2020 Stewardship Report
Stewardship Ministry Members
David Charles
Stacey Hopson
Elizabeth Campbell
"We want to avoid any criticism of the way we administer this liberal gift. 21 For we are taking pains to do what is right, not only in the eyes of the Lord but also in the eyes of man."- 2 Corinthians 18:20-21 NIV
March 2020 Stewardship Report
Stewardship Ministry Members
David Charles
Stacey Hopson
Elizabeth Campbell
"We want to avoid any criticism of the way we administer this liberal gift. 21 For we are taking pains to do what is right, not only in the eyes of the Lord but also in the eyes of man."- 2 Corinthians 18:20-21 NIV
The four highest priority values that direct the actions of the ministry are:
- Obedience to the Lord (Jesus stated in John 8:29 NIV that He always did what pleased the Father)
- Accountability to God, the leadership, and the membership of this body
- Transparency in our actions
- Servant Leadership rather than positional authority
Month Ending March 31, 2020
Given to Budget
April Giving .....................................................$7.024.53
April General Expenses..............................$5,937.85
Difference $1,086.00
Project expenditures from earmarked funds
(These projects already have previously saved and allocated funds)
Sign Fund Final Payment..........................................$1,250.00
Total earmarked project expenditures $1,250.00
Total Monthly Expenses (Including pre-allocated project funds) $7,187.85
Month Ending April 30, 2020
Given to Budget
March Giving .....................................................$8,063.57
March General Expenses...............................$8,161.45
Difference $(-97.88)
Project expenditures from earmarked funds
(These projects already have previously saved and allocated funds)
Sign Fund Payment.....................................................$1250.00
Youth Fund for T-Shirts...............................................$375.00
Total earmarked project expenditures $1625.00
Total Monthly Expenses (Including pre-allocated project funds) $9,786.45
Month Ending May 31, 2020
Given to Budget
March Giving .....................................................$7,918.59
March General Expenses.............................$7,790.88
Difference $(-127.71)