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St. Anthony’s Parish Financial Statement for 2002

Dear Parishioners & Friends,

On behalf of the Parish Council, Pastoral, Financial, & Bingo Committees and myself, I would like to thank each and everyone of you for supporting, helping and having faith in your Parish.

I would like to present to you the Financial Statement for the year 2002.

We thank God and you for all these accomplishments. With cooperation and togetherness, we are able to face the future with hope thanks to your kindness and generosity.

Please note the following accomplishments and future projects:

ACCOMPLISHMENTS OF 2002:
Valentine’s Celebration for new couples. Confessional Booth. 
Children Easter Play. St. Lourdes Statue.
Preparation for First Communion. Souvenirs Shop.
Altar Servers Trip to Chatham. Rail Painting.
Pilgrimage to St. Anne. Outdoors Bell.
Mother’s Day Celebration. Outdoors Spot Light (2).
Father’s Day Celebration. Church entrance Landscaping.
World Youth Day Celebrations. New Shower installed in the Church Hall.
Our Lady of the Cape Procession & Prayers. New Garage Door.
St. Anne’s Relics Visit and Blessing of Statue. 3 New Space Heaters.
  Parking Lot Reconstruction.

FUTURE PLANS:

  • Church Windows.
  • P. A. Systemn.
  • Arabic School.
  • Renovating or relocating the Church.
  • More focus on Pastoral Work: Prayers Groups, Bible Studies…

These are the Statistics for 2002:
Total Baptisms  31 
Total First Communion 24
Total Marriages 05
Total Deaths in the Parish 05
Total Deaths overseas 07

Hosts (Small) 29,000

Hosts (Large) 360

Thank you all for your generosity and support. May the Lord bless you and keep you safe with your families. We hope that you will continue to help us to make our future plans a reality.

Sincerely Yours in Christ,
EZ:rn Rev. Fr. Elie Zouein, P.P.
St. Anthony’s Parish
Pastor.

RECEIPTS  
  Offertory Collection

62,251.00

  Donations

19,385.00

  Candle Offerings

10,092.00

  Social Activities, 1st Communion

7,780.00

  Bingo & Raffle Proceeds

28,624.00

  Refunds & Rebates

1,695.00

  Interest

702.00

  Miscellaneous

10,378.00

TOTAL RECEIPTS  

$ 140,907.00

     
DISBURSEMENTS    
  Pastor Salaries

18,000.00

  Priest, Secretary, Janitors, etc.

21,549.00

  Education & Training

4,203.00

  Rectory Needs

998.00

  Utilities

9,805.00

  Car Allowance

4,200.00

  Alarm System

324.00

  Church Supplies

11,813.00

  Repairs & Maintenance

17,508.00

  Office Supplies

6,511.00

  Phone

2,793.00

  Property Taxes

831.00

  Social Events, 1st Comm., Bingo License

21,337.00

  Charities

2,103.00

  Bank Charges

26.00

  GST Paid

2,722.00

  Insurance

3,610.98

  Cathedraticum

7,101.02

  Legal & Consulting

190.00

     
TOTAL DISBURSEMENTS

$ 135,625.98

     
  Net Income/ (Deficit)

5,282.98

     
  Beginning Balance

33,022.00

  Ending Balance December 31, 2002

$ 38,304.00

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