Annual Information Statement 2020

Legal Name
St Mark's Coptic Orthodox Church Incorporated
ABN
23433151138

About the charity

Charity size
Medium
Is the charity an incorporated association?
Yes
Select the state/territory and enter the incorporated association number
VIC incorporated association number: A0015603P
Does the charity intend to fundraise in the next reporting period?
Yes
Is the charity a Basic Religious Charity?
No

Charity programs

Program name
The Logos
Program classification
Human services
Program locations
42 Gilbert Road, Preston VIC, Australia
Program beneficiaries
  • Children - aged 6 to under 15
  • Youth - 15 to under 25
  • Families
  • Financially disadvantaged people
  • Unemployed persons

Description of the charities activities and outcomes
Religious services 8 times per week
Bible Study twice per week
Childern Sunday school once a week
Financial support for families in need
youth social support

Human Resources

Employees and volunteers
  • Full time employees: 2
  • Part time employees: 0
  • Casual employees: 0
  • Full-time equivalent staff (FTE): 0
  • Estimated number of volunteers: 12

Financial Reporting

Charity's 2020 reporting period
1 July 2019 to 30 June 2020
Type of financial statement
General purpose financial statements
Financial report consolidated with more than one entity?
No
Financial report submitted to a state/territory regulator?
No

Income and Expenses

Comprehensive Income Statement summary

Gross Income
Donations and bequests
$558,938.00
Revenue from providing goods or services
$49,529.00
Revenue from government including grants
$10,000.00
Revenue from investments
$0.00
All other revenue
$37,111.00
Total revenue
$655,578.00
Other income (for example, gains)
$14.00
Total gross income
$655,592.00
Expenses
Employee expenses
$52,520.00
Grants and donations made for use in Australia
$0.00
Grants and donations made for use outside Australia
$0.00
All other expenses
$448,095.00
Total expenses
$500,615.00
Net surplus/(deficit)
$154,977.00
Other comprehensive income
$0.00
Total comprehensive income
$154,977.00

Balance Sheet extract

Assets
Total current assets
$289,923.00
Total non-current assets
$615,614.00
Total assets
$905,537.00
Liabilities
Total current liabilities
$386,501.00
Total non-current liabilities
$146,386.00
Total liabilities
$532,887.00
Net assets/liabilities
$372,650.00