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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
2
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
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