This Committee is responsible for fundraising oversight and planning. This includes:
1. Meeting annually with the Finance Committee to develop a balanced budget that
includes income and expense to present to the Board.
2. Developing and monitoring an annual funding plan with the Executive Director.
3. Participating and supporting the staff and Board in fundraising activities.
4. Identifying new fundraising ideas, opportunities, and connections.
5. Developing a plan to increase the cash reserve fund.
If interested, please contact LPCFC at 218-464-0588
 
         
    
        
           