STAND Recovery Accounts for the Year 2022
| STAND Recovery Accounts for the Year 2022 |
STAND Recovery Accounts for the Year 2022 |
||||
|---|---|---|---|---|---|
| Opening Balances 2021 | |||||
| Bank | £2,353.23 | ||||
| Cash in Hand | £0.00 | £2,353.23 | |||
| Income from | Fund Raising Activities | ||||
| Fundraising | Income | Expenses | Net Income | ||
| Income From | Fund Raising Activties | £2,783.43 | £0.00 | £2,783.43 | |
| Other Income | Loan | £0.00 | |||
| General Costs | £59.39 |
| Closing Balances @ 31st December 2022 | |
|---|---|
| Bank | £5,077.27 |
| Summary | |
| Total Income £2,783.43 Total Expenditure £59.39 Movement in Funds £2,724.04 |
Compliled by G R King FCCA 1st October 2022