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