Legal

Mercy Collective is chartered with the State of Tennessee as a non-profit, public benefit and religious corporation. As a church, Mercy Collective is tax exempt, per both the State of Tennessee and the U.S. Federal government. All contributions made to Mercy Collective are tax-deducible. For questions regarding such matters, consult with a tax professional and feel free to contact us.


Aid

Mercy is glad to help bear the burdens of those in our congregation. We provide formal fundraising support for those facing loss of life circumstances and those who have received formal adoption placements.

Additionally, we strive to provide micro-finance assistance to those in our congregation facing other emergency financial hardships. Our ability to provide financial assistance is based on our current financial means and the universal consent of the pastoral team. Our assistance comes in the form of financial gifts. Recipients must participate in our financial accountability program, which includes routine counseling, budgeting, and the establishment of a pattern of giving back to the Mercy community. Such financial assistance is limited to a one-time gift per incident, and participants must faithfully complete the financial accountability program prior to being eligible for subsequent assistance.


2019 Financial Summary

January Bank Statement
(December 18, 2018 — January 17, 2019)

Deposits & Credits: $12,641.55 +
Withdrawals: $2,396.30 -
Checks: $5,100.00 -
Net: $5,145.25 +

February Bank Statement
(
January 18, 2019 — February 14, 2019)

Deposits & Credits: $5,628.49 +
Withdrawals: $1,323.67 -
Checks: $5,200.00 -
Net: $895.18 -

March Bank Statement
(February 15, 2019 — March 18, 2019)

Deposits & Credits: $10,170.03 +
Withdrawals: $2,328.31 -
Checks: $4,700.00 -
Net: $3,141.72 +

April Bank Statement
(March 19, 2019 — April 17, 2019)

Deposits & Credits: $10,683.12 +
Withdrawals: $4,847.82 -
Checks: $4,120.00 -
Net: $1,715.30 +

May Bank Statement
(April 18, 2019 — May 17, 2019)

Deposits & Credits: $10,956.47 +
Withdrawals: $7,809.71 -
Checks: $4,975.00 -
Net: $1,828.24 -

June Bank Statement
(May 18, 2019 — June 17, 2019)

Deposits & Credits: $5,978.34 +
Withdrawals: $4,271.36 -
Checks: $5,500.00 -
Net: $3,793.02 -

July Bank Statement
(June 18, 2019 — July 17, 2019)

Deposits & Credits: $10,243.01 +
Withdrawals: $4,480.80 -
Checks: $5,000.00 -
Net: $762.21 +

August Bank Statement

(July 19, 2019 — August 19, 2019)

Deposits & Credits: $7,699.16 +

Withdrawals: $4,184.58 -

Checks: $4,762

Net: $1,247.42 -