REDEEMED CHRISTIAN CHURCH OF GOD
REVIVAL CHAPEL
Statement Of Financial Activities For The Year Ended 31st December 2021
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Notes Unrestricted Restricted Total
Fund Fund 2021 2020
Incoming Resources £ £ £ £
Voluntary Sources - tithes, offerings, 4 29,480 - 29,480 30,705
donations, thanksgiving, etc
Miscellaneous receipt -
Gift Aid Income 8,940 - 8,940 2,927
Investment income - - -
-
Total incoming resources 38,420 38,420 33,632
Resources Expended
Cost of generating funds 5 4,400 3,962
in furtherance of the charity's objectives
Management & Administration of Charity 6 31,538 29,806
Total resources expended 35,938 33,768
Net incoming resources / (outgoing) resources 2,482 (136)
Other recognised gains and losses 0 0
Gross Transfer between funds 0 0
Net movement in funds for the year -
Net income/(expenditure) for the year 2,482 (136)
Total funds brought forward 1/1/2021 1,711 1,736
Amount w/o in 2019 0 111
Total Funds Carried Forward At 31st December 2021 4,193 1,711
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