## TREASURERS REPORT 

Really pleased to see that things are back to normal and we can all progress forward with our individual sports and fundraising events. 

Xmas Bingos this year were really good and special thanks to all who contributed time ,money and prizes. 

Increases in most utilities and general work and maintenance costs means fundraising will be paramount in the years ahead,Even though we have a healthy saving deposit ,we are well aware of the increase in costs to be able to do things and its needed to be able to do the maintenance and replacements throughout the year. 

Easy fundraising is another tool that we can all get involved in,to register online and whenever shopping online done at various outlets then a percentage goes to your Club,so this is an option for us all to get involved in as it will only increase as more get involved and any of the Committee Members can help with the process.Joining our monthly 100 Club also at £1 per month is good fundraising and enables the monthly draw for Members benefit of £35.00 £10.00 and £5.00 in 1[st] second and third prizes. 

Big welcome to the Netball ladies who are already contributing greatly ,getting fully involved in Committee meetings and fund raising events.But also a sad farewell to the Ladies Football Team who suffered with numbers and were unable to continue.. 

A big thankyou to all the Committee Members and Members of the various Sports Sections who give their time to the Club and their Sport.Also to the wonderful Sponsors who have contributed over the past year. 

We have really good facilities here for the Community and Members as a whole and we look forward to the next Season and years ahead to continue with the current and next generations of Sports players and supporters. 



2022-2023 

TOTAL INCOME                                     46,431.86 TOTAL EXPENDITURE                           37,534.80 EXCESS INCOME                                     8,897.06 OPENING BALANCES 01/04/2022 CURRENT ACCOUNT                            6,670.54 SAVER ACCOUNT                               40,027.28 CASH IN HAND                                        250.00 100 CLUB CASH IN HAND                     135.50 TOTAL                                                   47,083.32 CLOSING BALANCES 31/03/2022 CURRENT ACCOUNT                         15,390.19 SAVER ACCOUNT                              40,113.19 CASH IN HAND                                     250.00 100 CLUB CASH IN HAND                   227.00 TOTAL                                                55,980.38 OPENING BALS                                47,083.32 CLOSING BALS                                 55,980.38 EXCESS INCOME                              8,897.06 



ANNUAL ACCOUNTS FOA THE YEAR.
I" APRILA.W.TO 31" MARCH.....
ACCOUNTS PREPAREO AND 5II8MITTED 8Y TAEASUAER
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