| 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 | |
| ERE | flEz2flse |
This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.