Balance Sheet at 31 March 2024
Accumulated Funds
| Money brought | foward | £150.36 | Free will ofering s | |
|---|---|---|---|---|
| Money in | 21179.94 | Tithes | ||
| Money out | 21280.26 | Fundraising | ||
| Total | ||||
| Month | BBF (£) | IN (£) | OUT (£) | |
| April | 50.36 | 2206.67 | 2171.56 | |
| May | 85.47 | 1908.44 | 1618.05 | |
| Jun | 375.86 | 1141.04 | 1515.26 | |
| July | 1.64 | 2930.59 | 2664.82 | |
| August | 267.41 | 1430.14 | 1207.36 | |
| September | 490.19 | 1509.59 | 1990.92 | |
| October | 8.86 | 1326.25 | 1176.87 | |
| November | 158.24 | 1397.83 | 1443.42 | |
| December | 12.65 | 1306.05 | 1257.81 | |
| January | 2.61 | 1869.65 | 2126.79 | |
| February | 4.07 | 1412.6 | 1335.67 | |
| March | 81 | 2741.09 | 2671.73 | |
| total | 21179.94 | 21180.26 |
3331.12 15725 2123.82 21179.94
BALANCE 85.47 375.86 1.64 267.41 490.19 8.86 158.24 12.65 2.61 4.07 81 150.36