Beloved Brothers and Sisters,
We find ourselves rejoicing again and again as the Lord keeps caring for His tape ministry and publication ministry. Our faith is being strengthened as we watch the many different ways that the financial needs are being meet. Thank you for your help and prayers. I assure you that both of these investments are bearing much fruit in the kingdom. As you can see by the financial statement, the bottom lines look encouraging.
It is with much excitement that I bring you the report published below. This is the tape ministry in full action. Beautiful things are happening among a very special people group called the Hutterites living in Manitoba, Canada. They are a people of German descent, and there are about forty thousand of them living in North America. They are a religious group who live in community; that is, they have one purse and live on large farms together. Many of them are in need of the new birth. Thousands of cassette tapes, as well as many copies of the Remnant magazine, have been distributed among this people group for the last several years. The people have very little personal money, and have not been able to cover costs for the tapes and magazines. That means you have been covering the expenses of this work.
There is a sowing time, and there is a reaping time. We have felt for some time that reaping time is coming among these dear people. Well, it has begun. The Spirit of God is beginning to visit these hungry souls with light, and life, and salvation. Praise be to God!!! Look and see what God is doing, and join in with the angels in heaven as they rejoice.
-Bro. Denny
| 07/01/01 Beginning Balance | $2,185.47 |
|---|---|
| Receipts | |
| Tape Ministry Donations | $54,067.05 |
| Remnant Subscription Donations | $7,851.33 |
| Total Receipts | $61,918.38 |
| Disbursements | |
| UPS & Postage | $6,968.16 |
| Tapes & Albums | $13,492.43 |
| Computer/Equipment/Supplies | $3,801.91 |
| Equipment Maint & Repairs | $259.50 |
| Electricity | $301.58 |
| Telephone | $1,296.35 |
| Miscellaneous | $616.30 |
| Payroll Expense | $4,730.00 |
| Books & Catalogs | $1,356.00 |
| Remnant Publishing & Mailing | $13,046.30 |
| Total Disbursements | $45,868.53 |
| 09/30/01 Ending Balance | $13,864.38 |
| Difference | $16,049.85 |



