OpenCharities

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2022-04-04-accounts

31 March 2022 31 March 31 March 2021
F E f 5
INCOME
Membership
and Other Fees
Charitable
Donations,
Sponsorship
Open Meets, Galas & Events
Council Subsidies
IGrants
& Fundraising 108,456
4,384
50,148
44,435
3,907
1,113
2,517
Interest
I Refund
1 10
Sundry Fees & Commissions 24
Winter Camp
Social Activities
Swimwear
&Shop
3,838 1,486
Total 166,851 53,468
EXPENDITURE
Pool Hire, Opens &Associated Fees 68,375 15,907
Open Meets & Events
Coaches Expenditure
26,057
37,885
27, 985
199
Other Coaching Fees I Safeguarding etc 825 129
Coach Hire &Travel
Swimwear
& Shop
4,995 1,086
Insurance
Trophies,
Medals etc
684
Subscriptions
8 Associated Team Fees
12,764 4,845
Winter Camp Fees
Sundry
& Equipment
1,833
Reimbursements
&Associated
Expenses 3,461 77
Venue Hire & Social Events 180
IT &Website 1,335 493
Advertising
8, Promotional
444
Printing,
Postage &Stationery
244 4
Professional
Fees
750 777
Bank Charges etc 97 87
Other Fees
Donations
PPE etc 31 215
Total 159,516 52,248
Profit (Loss) 7,335 1,220