GREATER LIGHT CHURCH FINANCIAL SUMMARY FROM 1 JUNE 2021 TO 3
| Opening bank balance as at 01/06/2021 Income Add Gifts aid received Expenses Accountancy fees Bank charges Website design Charity/equipment Insurance Water & Heating Cleaning Motor expenses Maintenance Legal fees Donations Rent Total expenses Closing bank balance as at 30/05/2022 |
6,230.09 16,989.93 550.00 50.00 164.39 200.00 378.07 2,125.93 - 1,049.68 179.80 - 886.00 16,591.54 |
|---|---|
| 22,175.41 1,044.61 |
Notes to the Accounts
-The organisation has no other source of income besides gifts donated by members -All expenditure were to cover for the day to day running of the church, major of whi -The organisation has no movable or immovable assets, hence no balance sheet items -The financial figures were approved by the Trustees of the organisation on 20/07/20
1 MAY 2022
.
ich is the rental of the premises
s to report on, the only asset it has is the bank balance of £6230.09 022 as a true reflection of its financial activities