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$5,400 IS PAID ON PARISH BUILDINGS

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Annual Report of St. Mary's Catholic Church Will Be

Distributed to Members, Today.

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$63,519.35 REMAINING TOTAL INDEBTEDNESS

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Interest in Sum of $4,206.07 Paid. Balance on Hand Dec. 10, 1925, Aggregates $580.68.

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According to the annual report of St. Mary's Catholic parish of this city, which will be distributed to members by Rev. A. J. Losleben, pastor, today, a total of $5,400was paid off on the parish buildings during the past year, leaving a total remaining indebtedness of $63,519.35.

Receipts Total $32,329.82

The total receipts of St. Mary's parish for the fiscal year ending December 10, 1925, aggregate $32,329.82, including a balance on hand, at the beginning of December of $1,374.86. The important items among the receipts are: Pastoral support, $1,371; pew rent, $3,612; subscriptions,$397.95; loans, $13,600; church fund collections, $3,496; bazaar, $2,-977.44; Sunday collections,$1,785.63;Easter collection, $742.68; Christmas collection, $765.18; St. Mary's Altar society,$650;St. Theresa Court, $225; St. Anthony society, picnic, $109.03; school plays, $141.15. Various smaller items made up the balance.

$31,749.14 Expended

The total disbursements for the year amounted to $31,749.14, leaving a balance on hand, December 10,1925, of $580.68. Among the principal items are: Loans paid, $19,000; interest,$4,206.97; salary of pastor, $1,300; salary of janitor, $900; Sisters of Christian Charity, salary, $1,500; assistant pastor's salary, $205; organist's salary,$250; garage, $328.90; Scheman & Schwendinger, labor and material,$153; Nagel & Leary, coal,$1,150.10; light and water, $228; sewer assessment, $104.23; insurance premiums,$425; seminary assessments, $200; cathedraticum assessment, $125; orphanage assessment, $100; home and foreign missions, $40.45; Nazareth hall, $47.25; Holy See, $42.40.

Societies' Finances

The total receipts and disbursements of the various societies of the parish are briefly noted in the annual financial report.

St. Mary's Altar society had total receipts of $1,627.78, and disbursements of $1,674.55. There was cash on hand of $9.61, Dec. 15. Total receipts of the St. Rose of Lima Young Ladies' society aggregated $126.27, including a cash balance of $46.27 on hand at the beginning of the year, while the expenditures were $49.18, leaving a balance on hand of $77.09 at the close of the fiscal year.

Brown County Journal,

Dec. 25, 1925

Starting at /week.