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2022-08-31-accounts

Rita Addai
John Amoah
Antonia Buamah
Valerie Green
Adenike Junaid
Oluba Lilley
Veronica Nunoo
Solomon Quatre
Michelle Wilson
Lay Workers Sabrina Dessi- Makin Administrator
Alistair Macfarlane Hub Coordinator

Bda nce Short mat $1Au gust 2022
Umestdcted Deslgnmed Totalsthisyear Totals lastyer
tunmstdcmdj
land 8BuRdl $987980 3987980 $539741
ul
ment
Insoament
ro
1st
Inusuments
Tolellfunf assets 3987980 3539 741
Current Asmts
Debtors and P ments 3316 3316 9535
Cash at Sank and in hand $6157 9662 45429 28977
Trustmnfor
Methodl*Church
Pu
osesd
sits 1447 1W7 $9820
Central FInance Board pelts 52234 1069 53303
lbnd cunent essals 91707 12178 103885 79,396
c usnu r
1540S 15408 2461
last cuwentawets labgltlesf
Ibtol omats fesscumcntfloSglrlm 4,064,279 12178 4,076,457 3,616,676
loansand cradltorsdua aber 1
ProvlsioneforRablRties and cha
4,076,457 3,616,676
Funds ofthe Church
Unrestricted
funds
4064 279 3616907.00
Reurlcted funds 12178 14769ARI
Endowment
funds
4.064,279 12,178 4076457.00 3616,676.00
'DetaRs-see Note 12
Opening balance Receipts Closing balances
Internal
Iactions.
Ghana Fegowshl 7571 2600 3820 6351
Senior Friends 567 40
1o"dock Fagowshl 264
Mens Fellowshl 40 1755 850
WomorsFelowshlp 1096 254
iunlorChurch S945 605 1906
695 277 190 782
Hub 4I54 21189 16889
Total 13324 26426 23949 15801
Toial Rscs Total Pa mens
F G
1 Cia
m Methodist
Church
2 Anal
ical Review
ofStatementof Financlal Actlvltles SOFA for the aren*d31 Au -22
General Funds Restricted F Totals this
last
sr
Unrestncted 2022 2021
6 Incomi
resources
7 Offerin
s
45417 883 46300 40391
8 Donations 433 2243 2676 4787
9 Gift Aid 7219 7219 11313
10 Interest and Investment Income 191 198 77
11 Letti
s
22806 22806 2060
12 Other income 5430 7022
13 Grants 18946 18946
14 Revaluation
ain
534329 534329 256043
15 Fundraisin 13259 13259
16 Internal o
anisations
4355 6753
17 Ad ustment
19 Total Incomi
resources
629083 655517 328646
22
23 Resources Sx
nded
24 Salaries costs 15641 15641 17874
25 Circuit assessment 50360 50360 37770
26 Grants and donations 120
27 Re
irs and Maintenance
6560 6560 3075
28 Insurance,
Utilities
11563 11563
29 De reciation 86090 86090 75461
Loan re
ent
31 Other ex
nditure
9500 12844 2585
32 Office 7530 7530 7863
TMCP Admin 4172
Internal o
anisations
4964 4964 157368
35 Total Resources ex nded 171603 23954 195557 171278
36 Net incomi
resources
457480 2480 459960
37
38
Transfers
between
funds ku0 3446 I/ Ix/2-842 12
39 cn ~ 782 -782
40 /rrXV;.tf larres -190
41 5 ub Total
42 Net investment
ln Funds
462372 -2590 459782
43 otal funds brou
ht
T
forward 3601907 14768 3616675 3461111
otal Funds carried forward at end ofyear 4064279 12178 4076457 3616676
49
lections for and a ments to External or anlsations 21-22 20-21
3 8
5
glance brou
ht forward
54
Offerinds/
ifts received
1923 770
55 erin s/
ifts
id
over 1923 770
5 6 8glance still to be aid
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