1996-2001
Financial Reports of Four Quarters
Lets do the
Numbers! (From the January 2002 Members Muse
Fiscal 2001 has closed out as a tremendous year for Four Quarters. We have more
than met our goal for Members giving to the Capital Funds Drive, revenues
from Four Quarters sponsored fund-raisers saw a major increase and we mostly met
our expense budget for the year. Most importantly, we have $36,000 in the Land
Trust CD on deposit. Woo-Hoo! As you read this commentary,
glance across the page at the line item listings, and in particular the changes
over the past four years. They will give a good picture of our growth over the
years. And we will not be publishing a 2002 budget until after our bank loan to
purchase the Leisinger Tract is locked in. This financial report was created in
mid December 2001, so there will be some changes when we post the final figures
to the website. Income
Memberships and Donations are always the purest form of support
and are the most genuine indicator of the health of any Church or nonprofit. Donations,
Pledges, and Memberships increased 20% over 2000, to $27,500. Gifts specifically
to the Land Trust totaled an additional $25,000. Taken together they constitute
a phenomenal 31% of our total income. This is without a doubt the strongest charitable
support of any Earth Religious-NeoPagan organization
simply unprecedented.
In this way our Members are leading the NeoPagan-EarthReligious community.
Our own Fund-Raisers have grown from
2000s total of $39,000 to this years $56,500, a 45% increase from
last year. Stones Rising and Drum n Splash both posted strong increases
in attendance, and meal plans through the Starvin Artist have doubled for
the year. We served almost 2,500 meals at Stones Rising alone. We expect that
these trends will continue for the 2002 season, particularly with the introduction
of Ecstasis for Beltaine and the return of The Body Tribal. It is worth pointing
out that by the close of the 2001 season over 40% of our registrations were coming
in by credit card, through our website. Grounds
Fees include individual weekend camping fees and charges to outside
groups for use of the camp. This is the only area where we fell under income budget
for 2001. Sadly, the SHARE organization has ceased to exist and with it their
fine music festivals. The loss of this event is directly tied to our falling below
budget projections for outside events. Land
Fund Gifts are those moneys, separate from pledges and general contributions,
that have been given specifically for the Capital Funds Drive. In 2001 these gifts
totaled $25,000 and have been matched by $11,000 from the Church. Because they
are viewed as one time gifts, they are shown as a separate income line item in
order not to be confused with regular operating income. Elsewhere in this Muse
you can read about our plans for the purchase of the Leisinger Tract, and possibilities
for the future of this incredible fund-raising appeal.
Our Business Line of Credit with Hagerstown Trust is
a major development for the financial health of Four Quarters; building our credit-worthiness
while providing wintertime operating funds. In fact it is what allowed us to print
the color cover for the 2002 calendar. The $13,500 we have borrowed in 2001 is
shown as a separate line item so that it does not become confused with regular
operating income. Expenses
basically group themselves into three classes: Permanent assets that have real
tangible value; Basic holding costs that keep the doors open; and Program and
mission costs that provide the services for which Four Quarters was founded.
Capital Equipment, Land Purchase and Improvements
both increased above our budgeted levels, largely through continued improvements
to the Meeting Hall building and the kitchen it contains. When meal plans are
increasing and volunteer staff works so hard, it seems right to go over budget
with continued improvements. Mortgage payments for the Members Village have settled
down to $2,500 for the next four years when the property will be paid off. Taken
together these three classes of expenses totaled $30,250 for 2001. Although this
was just a slight increase in spending over 2000, it was way over our budget.
Its hard not to continue making Four Quarters better.
The Leasehold, Office Supplies, Professional Services, Repairs, Transportation
and Utilities are expenses that constitute our overhead and are
difficult to reduce. Professional services went over budget,
and almost all of this was due to the setup and fees from the new Merchant Credit
Card account. Many of these are one-time fees associated with setting up the account
and equipment and will not occur next year. Our recurring transaction fees are
running about 4% of the $30,000 that was charged this year.
Taken together our holding costs totaled just under $42,000 for the year, up from
$40,500 in 2000. Our Program Costs; Communications,
Church Ward Support, Community Support, Operations and Presenters Costs
all go towards sustaining the mission of Four Quarters, and as is proper this
is the largest category of costs. In 2000 these costs totalled $36,000, of which
$12,000 was Moon Service and meal plan food and about $6,000 directly to cover
health and clothing of the Church Wards. For 2001 these costs increased to just
under $57,000. In 2001 Church Ward support went over budget
for two reasons. We have encountered unexpected health costs for one of the Church
Wards, and these costs alone account for most of the increase. Secondly, we have
become much better at tracking Household Food separate from Moon Service or Meal
Plan food, and these costs were larger than we had planned due to better accounting
and the large number of guests that share meals separate from Moon Services.
Moon Service and Meal Plan food costs increased to $13,000
even though the amount of food served increased quite a bit more. This is due
to better storage and equipment, buying in larger quantities, excellent kitchen
staff and assigning more of these food costs to Church Ward Support.
Communications costs increased significantly, from $7,500 to almost $10,000, due
to a 6,500 print run for the 2001 calendar and large print runs for event flyers
and the Members Muse. We expect this trend will continue and we plan to print
and give away 10,000 copies of the Wheel of the Year Calendar this year. We never
seem to be able to meet demand for our publications and they are a very important
form of outreach for Four Quarters. Another significant
trend in Program costs is a doubling of Church contributions to other religious
and nonprofit groups. For 2001 this totaled just under $3,000. We feel this is
an important way of acknowledging our own blessings of support while furthering
the growth of EarthReligion. Our payments to our Business
Line of Credit are separately listed so that they do not become confused with
regular operating expenses. The $8,000 we have paid against our Line of Credit
leaves a current $5,500 liability which is carried over to our account balances.
In conclusion, a very strong year of growth and change
at Four Quarters. The Capital Funds Drive is very close to our original goal of
$40,000 and we have established a commercial credit relationship with Hagerstown
Trust. Our Merchant Credit Card and website-based memberships and registrations
have met with great success. And while all of this occurred we continued with
improvements to the Camp and equipment for the kitchen.
All in all, much to be proud of. I think that the coming year will be every bit
as successful as this last. Orren Whiddon Fiscal 2001 Treasurers
Report Four Quarters Interfaith Sanctuary of EarthReligion
Four Quarters InterFaith Sanctuary Financial Report
for Fiscal 2001 Jan 1998 Through Dec 15, 2001 Income and Expense by Category
INCOME
1998
1999 2000 2001 Budget
2001 Actual 4QF MEMBSHP
12,870 19,615
22,905 [20,000]
27,547 WARD INCOME
7,425
723 71,990 [3,000]
5,856 CONTRIBUTION
10,808 11,937 16,438
[12,000] 13,578
BELTAINE SPRING
0 960
2,175 [2,500]
3,562 DRUM
AND SPLASH 5,134
5,142 7,385 [8,500]
17,300 HEALING SPIRIT
1,566 8150
0
MAGIC MOUNTAIN 2,960
4,642 3,918
0 STONES
RISING 18,443
13,435 20,570 [24,000]
31,407
SWEAT LODGE
0 290
[500]
256 WOMENS GATHERING
0 1,090
1,890 [2,500]
3,502 GROUNDS
FEES 11,473
17,735 30,986 [36,000]
31,000 ESPIRITU SANTO
0 01,090 [1000]
575
OTHER INCOME
5,848 1,142 4,819
[3,000] 3,607
SUMMER CAMP
1,050 420995 [1,000]
0
Total
Operating Income 79,258 84,929 115,658
[114,000] 138,190
Land Fund
Donations
[20,000] 25,198 (actual)
Credit Line Principle Borrowed
13,500 (5,500)
TOTAL 2001 INFLOWS 176,889 EXPENSES
1998 1999
2000 2001 Budget 2001 Actual
CAP EQUIPMENT
4,724 5,796
11,133 [4,000]
10,901 WARD SUPPORT
1,777
2,501 5,715 [8,000]
16,137
COMMNCTNS
7,151 7,084
7,417 [6,000]
9,984 COMNTY SUPRT
1,005
405 1,350 [2,000]
2,902
IMPROVEMENTS
4,199 8,801
14,928 [4,400]
16,799 LAND PURCHASE
0
4,552 9,631
[2,600] 2,593
LEASEHOLD
20,800 19,550
18,408 [19,000] 18,328
LOANS
715 136
2,550
0
0 OFFICE SUPPLIES
787
745 426
[500] 1,328
OPERATIONS
11,169 12,049
18,881 [25,000] 21,845
OTHER EXPENSE
1,446 1,563
842 [1,500]
2,421 PRESENTERS COSTS
4,479 5,394
5,137 [2,000]
2,740 PROFESNL SERVICES
6,002 8,057
5,467 [3,500]
6,890 REFUND
2,650
1,170 355
[500]
949 REPAIRS+MAINT
2,329 2,105
3,917 [2,500]
1,052 TRANSPORTATION
1,836 1,400
4,510 [3,000]
5,487 UTILITIES
5,385
4,422
7,839 [9,000]
8,603
1998 1999
2000 2001 Budget
2001 Actual Total Operating Expenses76,760
86,125 117,717 [93,500]
128,959
Credit Line Principle Paid 8,000
TOTAL OUTFLOWS 136,959 Total Operating Income 79,258
84,929 115,658 [114,000]
138,190 Land Fund
Donations
0 5,800
3,500 [20,000]
25,198
Credit Line Principle Borrowed 13,500
(5,500)
TOTAL INFLOWS 176,889
BALANCE
2,498 -1,196
-2,058 [20,500]
39,930 Financial
Reports 1998-1996 Below
you will find a brief summation of income and expense from fiscal 1996 through
1999. At the date of this tabulation 1999 lacks Decembers income and expense.
At first these tables may seem confusing, but they will reward a close examination.
Think of it a tree rings outlining the history of a living organism, year by year.
INCOME 4QF MEMBERSHIP CONTRIBUTIONS
EVENT-GROUNDS FEES CHURCH WARD-OTHER TOTAL INCOME | FY
1996 2,700 7,500 51,000 2,700 63,900 | FY
1997 6,900 6,500 68,300 5,000 86,700 | FY
1998 12,900 10,800 42,300 13,100 79,100 | FY
1999 18,700 10,300 44,000 8,300 81,300 | TOTAL
41,200 35,100 205,600 29,100 311,000 |
Noteworthy on the income side, in fall 1997 the
church made the decision to emphasize memberships and members privileges rather
than increasing general attendance at fundraising events. This was brought about
by our experience of the 1997 season, which although showing strong attendance,
brought with it high costs and all the attendant problems of hosting large numbers
of people who were unaware of the Culture of Four Quarters. 1998 saw a strong
increase in memberships and contributions, with many more people now attending
events as members with their subsidized registrations, and a much improved atmosphere
of sanctity on the Land. This growth was offset by the loss of income from the
cancellation of our fall 1998 music festival. 1999 saw continued growth in memberships
and the new lifetime memberships; and we will probably close the year just under
1997's levels. It is our expectation that Year 2000 will see 1997's levels exceeded
by Four Quarters Members or people seriously considering membership.
EXPENSES CAPITOL IMPROVEMENTS
COMMUNICATIONS COMMUNITY SUPPORT LEASE HOLD OFFICE SUPPLIES OPERATIONS
PRESENTERS COSTS PROFESSIONAL SERVICES MAINTENANCE TRANSPORTATION
UTILITIES REFUNDS, OTHER TOTAL EXPENSE INCOME LESS EXPENSES | FY
1996 15,300 3,300 900 15,400 500 12,200 6,800
1,900 1,600 1,000 400 1,600 60,900 3,000 | FY
1997 16,300 9,100 1,200 17,600 800 15,400 14,000
2,900 600 1,600 2,600 3,900 86,000 700 | FY
1998 8,900 7,200 1,700 20,800 800 12,100 4,600
6,000 2,300 1,800 5,400 5,100 76,700 2400 | FY
1999 19,000 7,000 1,600 17,800 700 13,600 5,400
7,300 2,100 1,400 4,400 2,700 83,000 (1,700) | TOTAL
59,500 26,600 5,400 71,600 2800 53,300 30,800
18,100 6,600 5,800 12,800 13,300 306,600 4,400 |
On the expense side, while 1997 was peak income,
it was far and away offset by the high costs, particularly Presenters, Communications
and Operations. Operations is where we classify food costs and it is worth pointing
out that in 1997 all food costs were catered by outside suppliers and paid for
by meal plan tickets. By 1999 all food was prepared by Church staff and almost
every festival featured a free Saturday Feast in addition to meal plans. Likewise
communal dinners are now the norm for Moon Services. All this while total costs
in the operations category dropped. 1999 has also seen a strong return to reinvestment
in Capitol Improvements, Maintenance and Professional Service; as the Church broke
ground for the Meeting Hall, bought the Members Village property and purchased
a site generator for the 2000 season. Service,
Ceremony and Celebration Joining the World of Spirit and the World of Today
a Work of Years... Stone by Stone |