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2021-05-31-accounts
IGLESIA DE JESUCRISTOS PALABRA MIEL
ACCOUNTS FOR THE YEAR ENDED 31 st May 2020
| ACCOUNTS FOR THE YEAR ENDED 31 st May 2020 |
ACCOUNTS FOR THE YEAR ENDED 31 st May 2020 |
|
| 1 Receipts & Payment Account (General Purpose Fund ) |
|
|
| Income Receipts |
£ |
|
|
|
2020 |
| Church Donation |
|
24331.77 |
| Interest |
|
0 |
| Total Receipts |
|
24331.77 |
| Direct Chaitable Expenditure |
|
|
| Pastor allowance |
|
7128.28 |
| Welfare |
|
2760 |
| Church Events |
|
1408.95 |
| Hotel |
|
129 |
| Advertising |
|
221 |
| Hall Hire |
|
6172.5 |
| Honorarium |
|
675.01 |
| Church Material |
|
80 |
| Travel Costs |
|
254 |
| Admin |
|
16.26 |
| Aquipment |
|
0 |
| Music services |
|
439.93 |
| Mission |
|
1623.25 |
| Professional Fees |
|
250 |
| Depreciation Charge |
|
0 |
| Total |
|
21158.18 |
| PROFIT (LOSS) |
|
|
| Net Profit (Loss) |
|
3173.59 |