| Booker Memorial Hall | Year Ended | Year Ended |
|---|---|---|
| 31/03/2022 | 31/03/2021 | |
| Expenditure | ||
| Cleaning and Hall Care | 2554.00 | 60.00 |
| Fire Cover | 619.20 | |
| Repairs and Maintenance | 820.42 | 1272.00 |
| Defibrillator | 265.00 | 81.00 |
| Gas, Electric and Water | 1966.74 | 2078.79 |
| Trade Waste | 572.86 | 261.85 |
| Rates | 40.00 | 60.00 |
| Accountancy Fees | 480.00 | 480.00 |
| Insurance | 526.60 | 506.89 |
| Fund Raising Expenses | 164.40 | |
| Deposit Refunds | 2360.00 | 508.00 |
| Fund Raising Float | ||
| Licence | 197.76 | |
| Janitorial Supplies | 503.78 | |
| Stationery/Postage | 22.00 | |
| Web Site | 216.00 | 216.00 |
| Covid Expenses | 689.30 | |
| Phone | 576.50 | 749.97 |
| Equipment | 1412.83 | |
| Total | 13822.99 | 6438.90 |
| Income | ||
| Lettings | 13653.00 | 220.00 |
| Refundable Deposits | 3100.00 | 45.00 |
| Fundraising | 1456.00 | 1040.00 |
| Fundraising Float Repaid | ||
| Other Refunds | 568.44 | |
| Grants/ Donations | 10121.00 | 21149.00 |
| Other Income | 925.22 | |
| Bank Interest | 7.95 | 15.74 |
| Total | 29831.61 | 22469.74 |
| Cash Balance | ||
| Current Account | 15775.33 | 25119.27 |
| Saver Account | 58533.65 | 34528.65 |
| Total | 74308.98 | 59647.92 |
| Profit/ (Loss) | 16008.62 | 16030.84 |
In accordance with instructions given to us we have prepared without carrying out an audit the annexed financial statements from the accounting records of Booker Memorial Hall and from information and explanations supplied to us
Doshi S L & Co Limited Chartered Certified Accountants Eppings 11 Forest Drive Woodford Green Essex 1G8 9NG
02 June 2023
Client Approval Certificate
We approve the attached Financial Statements and confirm that we have made available all relevant information for their preparation
For and on Behalf of Booker Memorial Hall
02 June 2023