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Annual Financial Report

ARCHANGEL ST. RAPHAEL HOLY HEALING MINISTRY,INC.
FINANCIAL STATEMENTS for the YEARS ENDED
 
BALANCE SHEET12/31/2112/31/2212/31/2312/31/24
CASH$131,980$149,431$176,340$194,613
FUND BALANCE$131,980$149,431$176,340$194,613
 
STATEMENT OF OPERATIONS12/31/2112/31/2212/31/2312/31/24
CONTRIBUTIONS$122,746$109,940$104,240$115,070
BOOK INCOME--------$4,930$11,448
INTEREST INCOME--------$4,850$2,958
TOTAL REVENUES$122,746$109,940$114,020$129,476
 
EXPENSES12/31/2112/31/2212/31/2312/31/24
MATERIALS & SUPPLIES$18,483$13,755$20,707$32,774
POSTAGE & SHIPPING$28,424$30,065$19,318$30,920
PRINTING & COPYING$10,316$19,688$11,350$15,318
OFFICE EXPENSE$2,547$3,900$3,757$2,099
TELEPHONE$4,984$3,883$4,253$2,867
OTHER OPERATING EXPENSES$3,695$3,971----$3,785
OUTSIDE SERVICES$1,138$348$364$7,184
INSURANCE$985$1,085$1,121$1,208
OCCUPANCY EXPENSES$3,307$13,200$14,935$12,269
ACCOUNTING FEES$750----$1,500$800.
ADVERTISING$2,787$2,394$2,788$1,979
BOOK EXPENSE--------$7,021----
CONTRIBUTIONS, GRANTS------------$
TOTAL
EARNINGS (LOSS)
$77,416
$45,330
$92,289
$17,451
$87,111
$26,909
$111,203
$18,273
 
CASH BALANCES12/31/2112/31/2212/31/2312/31/24
CASH BALANCE, BEGINNING$86,650$131,980$149,431$194,613
CASH BALANCE, ENDING$131,980$149,431$176,340$194,613
 
This ministry is staffed by volunteers 100% of all contributions go to the production and distribution of the St. Raphael Oil.