Profit & Loss
Be Charity Group
Accounting Year 2024/25
| Debit | Credit | ||
|---|---|---|---|
| Turnover | 10,186 | ||
| Sales | 10,186 | ||
| less Cost of Sales | 5,250 | ||
| Subcontractor Costs | 5,250 | ||
| Gross Profit | 4,936 | ||
| less Administration Expenses | 1,265 | ||
| Web Hosting | 552 | ||
| Computer Software | 187 | ||
| Accountancy Fees | 510 | ||
| Bank/Finance Charges | 17 | ||
| less Staff Costs | 3,483 | ||
| Payroll Taxes Expense | 3,483 | ||
| Operating Profit | £188 | ||
| less Drawings | £0 | ||
| less Profit & Loss journal entries | £0 | ||
| Retained Profit this period: | £188 | ||
| Retained Profit brought forward: | £60 | ||
| Distributable Reserves / Retained Profit carried forward: | £248 |
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Profit & Loss
Be Charity Group
Accounting Year 2024/25
| Debit | Credit | ||
|---|---|---|---|
| Turnover | 10,186 | ||
| Sales | 10,186 | ||
| less Cost of Sales | 5,250 | ||
| Subcontractor Costs | 5,250 | ||
| Gross Profit | 4,936 | ||
| less Administration Expenses | 1,265 | ||
| Web Hosting | 552 | ||
| Computer Software | 187 | ||
| Accountancy Fees | 510 | ||
| Bank/Finance Charges | 17 | ||
| less Staff Costs | 3,483 | ||
| Payroll Taxes Expense | 3,483 | ||
| Operating Profit | £188 | ||
| less Drawings | £0 | ||
| less Profit & Loss journal entries | £0 | ||
| Retained Profit this period: | £188 | ||
| Retained Profit brought forward: | £60 | ||
| Distributable Reserves / Retained Profit carried forward: | £248 |
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