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||2020/21|2019/20|
|---|---|---|
|Income|||
|Members|350.01|20,360.00|
|Raffles||1,375.85|
|Sales (Jam etc.)||181.51|
|Bus Hire|||
|Donations|205.00|1,063.61|
|Fundraising|98.00|826.36|
|Total income for the year|653.01|23,807.33|
|Payments|||
|Wages||5,550.00|
|Food||4,678.33|
|Hall Hire||2,150.00|
|Transport|3,949.61|6,625.12|
|Entertainment/Raffle|329.00|2,739.71|
|Equipment||471.00|
|Stationery/post|124.80|892.75|
|Insurance|304.40|304.40|
|Misc|50.00|90.00|
|Depreciation ofEquipment|223.59|298.11|
|Total expenses for year|4,981.40|23,79942|
|Excess income over expenditure|(4,328.39)|7.91|



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