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NASUWT Chester le Street Riverside Bannd
Income and Ex
enditure for the Year Ended 31st Decembor 2022
Balance 1st January 2022
-Bank
£ash
88556.02
825.00
392g6.00
3931.00
396.00
5000 00
2290.00
14190.78
1000.00
290.00
Sponsorship
Concert Receipts
Contest Winnings
Grant
Donaions
Gift Aid (Claim for Several Years)
Sales of Instruments
Sundry Expenses
155774.80
Instuments and Musi
Conductors Fee
Hotels and Travel
Hall Hire
Borrowed Players and Memberfs Expenses
Contest Fees
Licences and Insurance
Uniform Expenditure
Building Expenses
Sundry Expenses
9247.45
17260.20
29698.02
495.00
5245 00
975.00
1343.09
343.66
100.00
818.60
65526.02
90248.78
Balance 31 sl D￿mber 2022
-BanK
-cash
89008.78
1240.00
90248.78
J E Winter
Treasurer
M Guthne
Auditor

NASUWT Chester le Street Riverside Bannd
Income and Ex
enditure for the Year Ended 31st Decembor 2022
Balance 1st January 2022
-Bank
£ash
88556.02
825.00
392g6.00
3931.00
396.00
5000 00
2290.00
14190.78
1000.00
290.00
Sponsorship
Concert Receipts
Contest Winnings
Grant
Donaions
Gift Aid (Claim for Several Years)
Sales of Instruments
Sundry Expenses
155774.80
Instuments and Musi
Conductors Fee
Hotels and Travel
Hall Hire
Borrowed Players and Memberfs Expenses
Contest Fees
Licences and Insurance
Uniform Expenditure
Building Expenses
Sundry Expenses
9247.45
17260.20
29698.02
495.00
5245 00
975.00
1343.09
343.66
100.00
818.60
65526.02
90248.78
Balance 31 sl D￿mber 2022
-BanK
-cash
89008.78
1240.00
90248.78
J E Winter
Treasurer
M Guthne
Auditor