REMNANT Magazine

Church Matters

Quarterly Financial Report

January – March 2001

Original issueThe Heartbeat of The Remnant · May/June 2001 · Volume 7 · Number 3
An audio cassette.
Water cascading through a green woodland.

Dear Brothers and Sisters,

Below, you will find the quarterly financial records for the Tape Ministry and the Remnant. The bottom line needs a little explanation. There are two reasons for the large negative balance. First of all, we have changed the way we produce the Godly Home Series. The continued increase in demand for this set has been a real challenge to the workers that produce the tapes. Because of this, we sought for other ways to meet this rising demand. We found a place that would produce them for us at just a little more than what we have to pay. However, we must order them a thousand sets at a time. Then we must also pay for them when we receive them. This was a large expense all at once. The second reason has to do with the tape set albums. We ordered a very large quantity of these, at a sizeable discount. This also had to be paid up front, thus, another large negative balance.

We are committed to keep these ministries functioning on a freewill basis. This has its challenges at times, I’m sure you can imagine. We get so many positive, grateful responses from people who have been touched and changed, who didn’t have the money, that the other approach is not an option. To those who do help us financially, Thank You again. Your labors are not in vain. In my twenty-five years of ministry I have never seen a more fruitful ministry than the tapes, and the other ministries that have flowed out from the tapes. The letters never cease to slow down. Letters of beautiful testimony, “God changed my life through a tape”, or, “God changed my life through an article that I received.”

God Bless You All!

--Bro. Denny

01/01/01 Beginning Balance$1,294.00
Receipts
Tape Ministry Donations$36,875.33
Remnant Subscription Donations$4,753.37
Total Receipts$41,628.70
Disbursements
UPS & Postage$6,431.46
Tapes & Albums$41,107.78
Computer/Equipment/Supplies$1,696.16
Equipment Maint & Repairs$1,055.36
Electricity$306.22
Telephone$940.93
Miscellaneous$800.00
Payroll Expense$5,675.00
Books & Catalogs$519.00
Remnant Publishing & Mailing$10,906.56
Total Disbursements$69,438.47
03/31/00 Ending Balance-$26,515.77
Difference-$27,809.77

Magazine citation

Quarterly Financial Report. --Bro. Denny. The Heartbeat of The Remnant, May/June 2001 · Volume 7 · Number 3. Source pages 24.

Charity Christian Fellowship

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