Church Building Fund / Extract from Annual Statement
Financial statement and extract from an annual report detailing the ‘Church Building Fund’, balancing receipts against construction expenses. Under ‘Receipts’, major income sources include cash from Cahill's estate ($1,200), general subscriptions ($2,401), a contribution from the Extension Society ($500), funds from Friends of Capuchin Order ($100), and a 9-month loan ($1,000). The ‘Expenses’ section lists construction and utility costs, including excavation ($122.90), a major payment to contrac
Details
- Level of description
- Item
- Date
- c.1922
- Reference
- 9
- Extent and medium
- 1 p.; manuscript
- Scope and content
- Financial statement and extract from an annual report detailing the ‘Church Building Fund’, balancing receipts against construction expenses. Under ‘Receipts’, major income sources include cash from Cahill's estate ($1,200), general subscriptions ($2,401), a contribution from the Extension Society ($500), funds from Friends of Capuchin Order ($100), and a 9-month loan ($1,000). The ‘Expenses’ section lists construction and utility costs, including excavation ($122.90), a major payment to contractor T. P. Ware ($5,036.20), electric works ($134.86), preliminary heating work ($56.70), plumbing ($59.51), painting ($34.10), and a heating plant ($500.00). Additional notes at the bottom mention individual donations from Mr. Kelleher ($250) and Mr. Marsh ($100), concluding with a noted present debt of $7,250.
- Repository
- Irish Capuchin Archives
- Context
- Irish Capuchin Archives > Papers of the Irish Capuchin Mission in the United States > Irish Capuchin Foundations in the United States > Roseburg, Oregon
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- Rights
- Copyright held by the respective institution. Contact the archive for reproduction permissions.
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Archival Data
OCR transcript available. No threshold-passing named entities were extracted from this document.
Full Transcript (OCR, 1 pages)
Machine-generated OCR transcript. Handwritten material may contain recognition errors.
Page 1
Church Building Fund 'Extract from Annual statement.' Receipts bash from bakills estate $1200 Subscriptions $2401 Extension Society 500 Friends of Capuchin Order 100 Loan for 9 months 1000 Expenses Expension 122.90 T. F. War Contractor 5036.20 Electric Works 134.86 Preliminary work for heating 56.40 Plumbing 59.51 Painting 34.10 Heating plant 500.00 Mr Kellehn donated $250. Mr Mark donated $100 Present debt. $7250.