| FINANCIAL REPORT thru July 28, 2020 | Month | YTD 2020 |
| Bethel | $145.40 | $386.36 |
| Central | 0 | 0 |
| Clear Creek | 0 | $300 |
| Concord Union | $100 | $700 |
| Cranmore Cove | $889.19 | $2,310.94 |
| Dayton First | $897.11 | $4,309.02 |
| Garrison | $194.1 | $2,013.92 |
| Grandview | $50 | $350 |
| Graysville First | $50 | $250 |
| High Point | $34.26 | $325.32 |
| Lake Drive | $250.73 | $2,262.96 |
| Mercy Missionary | $100 | $700 |
| Mt. Vernon | $100 | $700 |
| Mt. Zion | $164.19 | $843.75 |
| New Union | $300 | $1,800 |
| Ogden | $50 | $350 |
| Old Washington | $250 | $1,750 |
| Pilgrim’s Rest | $600 | $1,200 |
| Saint Clair | $241.88 | $1,430.6 |
| Sale Creek First | $185 | $1,295 |
| Salem | $204.98 | $1,843.02 |
| Smyrna | 0 | $823 |
| Spring City First | $913.63 | $6,773.45 |
| TBC Supplement | $782 | $5,474 |
| Walden’s Ridge | $633 | $4,071 |
| Wolf Creek | $1,117 | $7,296 |
| Yellow Creek | $128.4 | $1,038.32 |
| | |
| Total Received: | $8,380.87 | |
| Total Expenses: | $6,969.53 | |
| Ending Balance: | $19,818.48 | |