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2023-09-30-accounts

2023 2022
!NC®ME
Chenfch Room Hire 990
Restricted offerings 440 61,871
General ®fferingg 24,967 25,826
Insurance Creci it 196
Sundry income 356 11
Tax Rebate 4,9®1 16,793
utility 272
FTenAL 32,E22 1ee'@91
EXPENSES
Building Repairs 12,453
Children's & Youth E%penses 1,429 1'124
Church Venue Hire 1,050
Equipment Purchases 2,397
Event Expenses 1,433
Gifts & Donaticms 7 i I,R;R-
Growbaby 77
Insurance 1,082
Number 10 Building 151,674
Open the book 89
Subscriptions & Licenses 2'237
Sundry Expenses
Utility Bills 2,750
±es3£z33i 2=3±ee
Net Profit/(loss) 11_5RE ELi8±
Bank Account -Opening lst october 2022 157,451 76,068
Add: Surpfus of income over Expenditure (151,611) 81,383
Closing Balance ±££© Li5`;'.i.5.a
Represented by:
Current Accoimt 5,330 127,176
No 2 Account 510 30,275
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