Finance Team Ministry
The St. Teresa’s Finance Team accounts for all inflows and outflows for the church, provides reporting and guidance for financial procedures and processes, and helps with compliance to financial commitments.
Inflow activities include accounting for deposits from new and existing pledges, fundraising, non-cash contributions, endowments/grants, plate offerings, and other income. Outflow activities include accounting for bill payments, check writing, and payroll. Reporting includes all financial reports (Including monthly reports to the congregation), bank reconciliations, monthly closings, 941’s, W2’s and 1099’s. Guidance includes coordination and development of a yearly budget, and recommendations about the budget status, as well as the overall financial health of St. Teresa’s Church.
We strive for complete transparency in everything we do. We also need volunteers to help with all our activities.
If you have any questions about the finance team ministry or wish to get involved, please contact Dan Krankel at email@example.com
| | Share