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 

