Description | Church Trust account book showing: Monies received for offertories (pp.1-1a, 17-18), Covenanted subscriptions (p.2, 26), class money (p.2), Donations (p.3, 19), Covenants - tax refunds (p.3, 26), Methosdist Stewardship Organisation (p.4) and special collections (p.6)
Monies paid for printing and stationery (p.4, 22), stewardship campaign expenses (p.5, 25), circuit assessment (p.6, 20), allocations (p.7), special expenditure (p.7), repairs and renewals (p.8, 25), heating, lighting and cleaning (p.9, 23), wages and commission (p.10, 21), national insurance (p.10, 20), insurances, rates and piano tuning (p.11, 24), cafeteria (p.12, 19), reserve fund transfers, equipment, loan repayments (p.12) and connexional funds and miscellaneous (p.13, 27), use of rooms (p.27) and hymn books and allocations (p.28)
Statement of accounts 1972 (p.14), 1973 (p.29) |