STAND Recovery
Accounts for the Year 2021
----- Start of picture text -----
Opening Balances 2020
Bank £0.00
Cash in Hand £0.00 £0.00
Income from Fund Raising Activities
Fundraising Income Expenses Net Income
Income From Fund Raising Activties £2,868.23 £0.00 £2,868.23
Other Income Loan £0.00
General Costs £515.00
Closing Balances @ 31st December 2021
Bank 2353.23
Summary
Total Income £2,868.23
Total Expenditure £515.00
Movement in Funds £2,353.23
----- End of picture text -----
Compliled by G R King FCCA 1st October 2022