LCM Annual Report 2017ARprint | Page 7
Financial
Stewardship
Income
Benevolence $ 368,847
Lightkeepers $ 169,842
Resale $ 138,791
Total Income
$ 677,481
Operational Expenses
Personnel $ 331,050
Building
$ 36,064
Administration
$ 31,833
Total Operational
Programming Expenses
Resale
Food
Health and Dental
Financial Assistance
Educational
Outreach
Harvey Relief
Total Programming
Fundraising Expenses
Net Surplus (Deficit)
$ 398,947
$
$
$
$
$
$
$
5,215
12,282
32,735
36,914
32,387
25,121
24,041
$ 168,695
$ 50,607
$ 59,231
Thank you to our
Accounting Sponsor