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This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-03-31-accounts

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