財務報告
二零零四年一月至五月 (未經審核)
Financial Report January to May, 2004 (unaudited)
收入
Income
$
410,070
支出 Expenditure
$
506,623
不敷 Deficit
$
(96,553)
多謝弟兄姊妹對中信經常費累積不敷的關心,最近奉獻有所增加,我們財務壓力得以減輕。
We appreciate your concern towards our deficit in General Fund.
Our donations have increased recently, easing off our financial pressure. Thank you