## **Summary of Accounts 2021-2022** 

Accounts for Year Ended 31 August 2022 

||**Income totals(£)**|**Expenditure totals(£)**|
|---|---|---|
|Membershipfees|280.00|10.00|
|Ten Tors|825.00|776.64|
|Activities|2936.40|2830.40|
|Fundraising|0|0|
|Donations|20.00|0|
|Training|0|0|
|Equipment|0|494.60|
|DBS checks|0|108.90|
|Miscellaneous|0|159.04|
|**TOTAL**|**4061.40**|**4379.58**|
||||
|**Net surplus(deficit) foryear**|**(318.18)**||
||||
|**Bank balance brought forward**|**3182.59**||
||||
|**Bank balance carried forward**|**2864.41**||



