Riddings Park Community Centre
Balance Sheet 1st March 2022 to 28th February 2023
| Fixed Assets | |||||
|---|---|---|---|---|---|
| BF NBV | Add. | Depr | CF NBV | ||
| Plant & Machinery | 16991.78 | 1500 | 3641 14850.78 | ||
| Current Assets | |||||
| Bank | 6195.33 | ||||
| Cash in Hand | 69.96 | ||||
| Net Assets | 21116.07 | ||||
| Long Term Liabilities | BF | CF | |||
| Prepaid Rent | 16770 | 8385 | |||
| Financed By | |||||
| Retained Earnings BF | 12582.16 | ||||
| Profit/Loss This Year | 148.91 | ||||
| Equity | 21116.07 |