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Description: | The account books cover all receipts and payments to and from the church accounts, arranged chronologically (September - August). Each month, the church separated its cash and cheque payments to certain categories or funds; these being for cash receipts - offertory, donations, room hire, fund raising, kitchen fund, building fund, benevolent fund, wedding & funerals and 'others'. For cash payments - bank, visiting preachers, magazines, maintenance & renewals, cleaning materials, book room and 'others'. For cheque payments - assessment, utility bills, caretaker, maintenance & renewals, telephone, book room, kitchen equipment, benevolent and 'others'. There is also a monthly bank reconciliation. Each year there is a summary of payments and receipts, as well as for each of these funds. The account files are annotated computer print-outs from the cash and cheque accounts covering, amount, payment or receipt, balance, transaction (category or fund) and date. | License: | http://creativecommons.org/licenses/by/2.0/uk/ | Publisher: | Walsall Archives / Local History Centre | Rights holder: | Methodist Church | Temporal: | 1 Sep 1986 - 31 Aug 1992 | Source: | Black Country History | Creator: | Mellish Rd Methodist Church | Identifier: | http://www.blackcountryhistory.org/colle... | Go to resource |
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