End of financial year as at 10[th] April 2022 

## **Starting balance** 

**21,153.26** 

|**Income**||
|---|---|
|Subscriptons|9661.00|
|Fundraising/grants|4463.62|
|Camps|13272.00|
|Misc payments|1451.38|
|**Expenditure**||
|Secton costs – census|2810.50|
|Rent|125.00|
|Water|91.08|
|Elec/gas|790.00|
|Repairs/maintenance|704.56|
|Insurance|442.60|
|Expenses|18,006.13|
|Refunds|320.00|
|Badges/Shirts|55.99|
|Actvites|980.00|
|Training/courses|943.40|
|Misc|656.50|
|Camp costs|5924.70|
|Equipment|304.00|
|**Closing balance**|**17846.80**|



