OpenCharities

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2025-03-31-accounts

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

1/1