THE CORPORATION OF ROMNEY MARSH
The Lords, Balllffs & Jurats of Romney Marsh
Reglstered Charlty Number 1003843
Statement of Flnancial Actlvlties for the Year ended 31st March 202S
Total
Funds
2025
Total
Funds
2024
Incomlni Resources
Incoming Resources from Charftable actfvltles
Gross Rents
Donatlons
Interest
47,785
825
33
47,750
.5x1
Total Income
48,643
48,368
Resources Expended
Charltable ActMtle5
Repalrs
Expendltors House and Flat
New Hall General Account
Clerks House
New Hall Flat
New Hall Cottage
86
39,654
404
162
3,708
17,902
3,994
1,042
26,650
41,186
Grand Lathe/Liberty Expenses
Rent Collectlon Commisslon
Gardenln8
Insurances
Maintenance
Posta8e/Statlonary
Council Tax - New Hall
Electrlclty/Gas- Refund
Water Charges - New Hall General
Donation
Fees
2.304
5,130
2,327
5.115
895
5,524
6,125
200
42
634
221
594
61
1,070
778
636
319
545
17,068
16,230
Total Expendlture
43,718
57,416
SURPLUS / (DEFicin FOR THE YEAR
4,925
Total Funds as at 1st Aprll 2025 brou8ht forward
17,502
26,550
Total funds as at 31st March 2025 carrfed forward
22,427
17,502