Sinai Congregation, Executive Board Minutes
March 22, 1881
(Budget 1881)
Receipts.
Estimated surplus of present fiscal year | $ 900.00 |
Dues from 86 members @ $40.00 | 3,440.00 |
Assessment on pews valued at $59,900 @ 8% | 4,760.00 |
Pew Rents | 3,000.00 |
Interest on Bills Receivable | 550.00 |
$12,650.00 |
Expenditures
Salary of minister | 3,600.00 |
Life Insurance | 200.00 |
Sexton | 500.00 |
Janitor | 300.00 |
Salary of Reader | 700.00 |
Organist and choir | 2,000.00 |
Taxes | 100.00 |
Coal | 250.00 |
Gas | 50.00 |
Sabbath School Teachers | 650.00 |
U. H. Rel. Assoc. | 100.00 |
Incidentals | 600.00 |
Repair of Temple and Parsonage | 1,500.00 |
Interest on $17,000 from July 1, 1881 to April 1882 | 765.00 |
Interest due July 26 | 1,200.00 |
Total | $12,575.00 |
