TAMWORTH CHRISTADELPHIAN CHURCH INCOME & EXPENDITURE ACCOUNT
| TAMWORTH CHRISTADELPHIAN CHURCH INCOME & EXPENDITURE ACCOUNT |
||
|---|---|---|
| YEAR ENDING 31 MAR 2025 INCOME EXPENSES INCOME LESS EXPENSES TOTAL BANK BALANCE Collection One Collection Two Collection Three Gift Aid on above Other Income Loan Repayments Interest Collection 2 Payments Fellowship Fund Payments Other Expenses Welfare Loans GivT Charges Technical Equipment Copyright Property Rental Insurance ALS Diaries Magazines Donations Sunday School Address Roll DBS/Safeguarding Speaker Food and Drink Co-Op Current Account Balance 31/03/25 Unity Trust Savings Account Balance 31/03/25 |
Y/E 31/3/2025 £ 6,388.88 4,472.13 1,723.87 3,077.96 4,980.00 9,478.70 1,561.60 |
Y/E 31/3/2024 £ 6,417.22 3,193.60 1,967.26 - 1,550.00 - 1,123.62 |
| 31,683.14 30,666.60 4,716.77 1,101.55 814.09 5,517.74 9,478.70 377.35 564.36 437.19 4,437.50 274.00 - 72.60 1,100.00 511.70 - 228.48 447.30 587.27 |
14,251.70 | |
| 2,649.52 1,508.12 734.93 3,390.00 4,108.00 346.60 - 236.78 5,456.25 274.00 12.00 72.60 348.31 235.88 170.00 171.16 325.41 487.04 |
||
| 20,526.60 | ||
| 1,016.54 £5,845.58 £57,796.49 £63,642.07 |
- 6,274.90 |
|