Tullamore ParishThank YouSincere thanks to all parishioners who contributed to parish funds. Parish Finance Committee, 2008: Fr. Sean Heaney P.P. John Hannigan Joan Waldron Edward Gillick Tadgh O’Brien Pauline Murphy Mary Bergin Des Henry | Schedule 1 : Receipts | | | | | | 2008 | 2007 | 2006 | | | | € | € | | Plate Collections | 256,657 | 242,532 | 251,021 | | Weekly Collections | 179,420 | 166,446 | 143,952 | | Offering for the Support of the Clergy | 81,998 | 117,035 | 68,317 | | Shrine Offerings | 95,141 | 84,865 | 88,219 | | | | | | | Total | 613,216 | 610,778 | 551,509 |
TULLAMORE PARISH
| Receipts | € | € | | | | | | Plate Collections | ..................................... | 256,657 | | Weekly Envelope Collections | | 179,420 | | Offerings | | 81,998 | | Shrine offerings | | 95,141 | | Sub total | | 613,216 | | | | | | Sundry receipts | | | | Dividends & interest received | 2,020 | | | Bequests | 7,874 | | | From Tullamore Parish Trust Fund | 75,000 | | | Excess Receipts over (Expenses) for Cemetery | 1,674 | | | Tax refund | 23,701 | | | Chaplin Receipts | 32,812 | | | Sale of Books, Calendars, Candles & Mass Cards | 2,103 | | | Sundry receipts | | | | Refund of Loan for Durrow Hall Toilets | 8,313 | | | Charitable Donation | 2,758 | | | Family Support Agency | 2,600 | | | Novena income | 236 | | | Sale of crosses | 2,530 | | | Parish Centre Shop Sales | 3,026 | | | Rent of Parish Centre Rooms | 590 | | | Sale of Ballykilmurray Hall Part Payment | 11,923 | | | Donations for New Parish Centre | 92,919 | | | Parish Car Park | 23,264 | | | Total receipts | | 906,559 | | | | | | Total expences | | 721,343 | | | | | | Surplus 2008 | | 185,216 | | | | |
Note 1: Parish Development Work €110,811 Parish development expendeture in 2008 was comprised of grants paid to Parish Pastoral Council for the contracting of pastoral staff, the funding of various pastoral projects to do with youth, liturgy, prayer, bereavement support, adult religious education, hospitality, charitable donations and the development of various other ministries in the parish. Note 2: New Parish Centre The Parish Centre is completed. The total level of Bank borrowings for the Parish Centre as at 31 December 2008 is €1,435,218.
Accountants Report We have examined the books and records of Tullamore Parish and from information and explanations suppliesd to us, we have prepared the Receipts and Expences Account Dated 6th March 2008 Byrne Cacey & Associates Chartered Accoumntants | Accounts for the Year ended 31 December 2008 | | | | Expenses: | | | | | | | | Capital Contributions to Schools | 2,025 | | | New Shop Fixtures & Fittings & Stock | 10,245 | 12,270 | | Wages & PRSI: | | | | Parish Employees (13 Employees) | 191,790 | | | (Office, Reception, Caretaker, Sacristan, Parish Sister, Cleaner, Cook) | | | | - Priests salaries | 71,212 | 263,002 | | Administrational Expenses: | | | | - Stationary & Office Expenses | 7,604 | | | - Telephone & Post | 13,165 | | | - Bank Interest & Charges (incl Loan Interest) | 51,103 | | | - Insurance | 19,133 | | | - Professional fees | 5,143 | | | - Light & Heat for all Parish Buildings | 39,173 | | | - Envelope expenses | 8,621 | 143,942 | | - Parochial House expenses | | | | - Provisions | 31,966 | | | - Repair and maintenance | 32,269 | 64,235 | | | | | | Church expenses | | | | - Church Requisites | 18,286 | | | - Capital expendeture | 0 | | | - Motor and travel expences | 6,446 | | | - Candles | 12,149 | | | - Bulletins and Missalettes | 11,611 | | | - Church Maintenance and Repairs | 34,022 | | | - Repairs Chapel Street Expenditure | 1,715 | 84,220 | | | | | | Parish Development Work (Note 1) | | | | - Grants to PPC Sub Committes | 54,745 | | | - Electronic Display Sign | 497 | | | - Subscriptions and Parish Expenses | 27,078 | | | - Mass Cards | 2,978 | | | - Charitable Donations | 11,582 | | | - Purchace of Crosses | 2,530 | | | - Parish Car Park Maintenance | 4,786 | | | - Courses and retreats | 4,612 | | | - Purchase of Calendars | 1,318 | | | - Consultant Engineers | 1,684 | 111,810 | | | | | | Diocesan Levies | | | | - Annual levy to Diocese | 22,638 | | | - Annual Diocesan Levy on Priests Offerings | 6,748 | | | - Annual contribution to Diocesan Retiremant Fund | 12,469 | 41,855 | | | | | | Total Expenses | | 721,343 | | | | |
Direct Debit Contributions If you would prefer to contribute to the Parish by way of Standing Order instead of weekly envelope please sign this page below. The Parish of Tullamore Standing Order Request to your Bank To (Bank Name)………………………………………………….. Address of Bank………………………………………………….. Sort Code : [ ] Account No: [ ] I hereby authorise you, until further notice in writing, to charge to my account with you by way of Standing Order the sum of €____________ to be paid on a [monthly] [quarterly] [annual] (Please tick one box only) basis, Commencing on _______________/___________________/2009 Please pay thereafter to the Credit of Tullamore Parish Centre Envelope Account, Bank of Ireland, Tullamore, Co. Offaly. Sort Code : 901909 Account No: 88882158. Signature:_________________________________ Date:___________________ Name in Block Capitals: ____________________________ Address: __________________________________________________
Telephone no: _________________________________________ Please return the completed Parochial House to ensure that all amounts contributed are properly accredited to you. Income tax Relief There are tax benefits to be gained by the parish from contributions made by PAYE taxpayers that exceed €250.00 per annum. Self employed people can increase their contributions and avail of tax relief
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