2025 Expense Report
Assalamu Alaikum wa Rahmatullahi wa Barakatuh,
Alhamdulillah, we would like to share a brief summary of the Islamic Center of Fairborn 2025 financial report with our community.
In 2025, the masjid received $297,084 in total contributions and had $269,817 in total expenses, resulting in a net operating surplus of $27,267 for the year. 
Out of the total expenses, approximately $184,834 was used to purchase the property next to the masjid as part of the expansion project. This leaves about $84,983 in operational expenses for the year, which covered general masjid operations, repairs and maintenance, insurance, Eid-related expenses, and other necessary costs. 
From these operational expenses:
• Approximately $14,000 was spent upgrading the sisters’ wudu and bathroom area.
• About $8,200 was used for the gravel parking lot expansion to accommodate increased attendance.
• Approximately $10,000 was spent installing about 400 linear feet of vinyl fencing along the new lot boundaries to maintain good relations with neighboring properties.
We sincerely thank everyone for your continued generosity and support. Anyone who would like more information or details about the report is welcome to contact the masjid board, and we will be more than happy to provide it.
Jazakum Allahu Khairan
ICF Board