KIDDERMINSTER MALE CHOIR
FINANCIAL STATEMENTS FOR THE PERIOD ENDED 31ST MARCH 2024
2024
2023
INCOME STATEIL qENT
INCOME
Gelleral
Collcert
Tour
Total
Total
IDcome
17.)70
7,029
4,589
28,888
2.225
34,801
HMRC Gift AIJ
Sale ot'keyboatd
?33
233
Total Income
19,728
7.029
4.589
31,347
34.801
EXPENDITURE
Coaches. travel & location expenses
Rehearsals & events
Room hire. 5tOTage & stage cost8
Music & arrists
Unilorm ¢o%ts
Printing
Advertisin8
Donations
Loc&1 charjty support
Admin expen%es
Website
Sundry expenses
Insurance
RafflelgIft￿f￿DdralS1llg
Tr&tning
Yorkshire tour
Social evenis
Bank charges
Depieciaiion
AccountsncyFees
3.6?5
3,625
3,416
17.759
2.030
507
360
210
233
4,464
15.089
1.330
749
3,827
1.092
?00
2.422
949
482
177
177
2,259
75
75
947
346
427
773
200
631
30
30
5,628
156
142
329
36
179
329
329
21,341
5,723
3.661
30,725
36,671
INCOME IN EXCESS OF EXPENDITUR
1.307
928
ll¥COME IN EXCESS OF EXPENDITURE
621
-1,870
ACCOUNTAI¥4TS REPORT
Ln a¢¢ordan¢e with your insttU¢lions we hai'e prepared without audit the aecouttts for tbt yt8r ended 31st
March ?0?4 tiom
our books.
ecords and explanations provid¢d 10 us.
Bridgepoint A¢£outttart¢$ LI￿lled
09 July 2024
APPROVAL
l appTove the attached accounts and confirn] that I have madc available all the ielevant recoid5 & ￿t0[[nation
reqll￿ed for their preparation. l Lonsider that thty fairly retlecl the penod under review andthe fiiiananci
position of the trust as at 31st March ?0?3
John Cadwallader
Tre*surÈr
09 July 2024

KIDDERMINSTER MALE CHOIR
FINANCIAL STATEMENTS FOR THE PERIOD ENDED 31ST MARCH 2024
STATEMENT OF ASSETS ATrID LIABILITIES
2024
2023
2023
FIXED ASSETS
647
976
CURRENT ASSETS
Stock
Bank- Currtnt Accouni
Bank- Deposit Account
Prepayments & Accrued Incotne
3,674
17,071
10,175
173
31,093
3,674
1.737
17,467
180
23,058
CURRENT LIABILITIES
Creditor
-7,084
24.656
24.034
REPRESENTED BY
Accumulated fund5 blfi¥d
General Account
Concert Account
Tour A¢count
24,034
25,137
-1,614
928
1,307
-2,206
-90
425
621
-1,870
768
move[[￿11 on stock lexc tsnifoEml
24,656
24,034