Some parishioners have inquired as to why we have a monthly Building & Maintenance envelope. Below is a small list of "one time" expenses that occurred during 2022-2023:
The revenue received from these collections totaled $108,617.00 over the same period. Building and Maintenance collections funded a mafor portion of these expenses. We appreciate your continued support of Sacred Heart of Jesus Catholic Church!
- Narthex restrooms upgrade $22,000.00
- Lower Hall stairs recovered $10,152.00
- Lower Hall kitchen upgrade $21,330.00
- Repair parking lot lights $ 9,200.00
- Replaced Chapel A/C $10,162.00
- Replaced A & E A/C (1 of 4) $ 7,939.00
- Replaced Chapel flooring $ 5,200.00
- Upper Hall flooring $16,187.00
- Filled parking lot cracks $15,440.00
- Various other expenses $ 8,680.00
The revenue received from these collections totaled $108,617.00 over the same period. Building and Maintenance collections funded a mafor portion of these expenses. We appreciate your continued support of Sacred Heart of Jesus Catholic Church!