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2024-03-31-accounts

Malcom Hart Foundation

Income & Expenditure Account

Year Ended 31[st] March 2024

Income and Expenditure
Cinema
Tea Party
Golf Day
Donations
Total Income
Golf Day Refund
Cost of Food
Cost of Event Hire
Equipment Hire
Web Hosting
Subcontractor Costs
Total Expenditure
Surplus/(Deficit)
Balance Sheet
Current Assets
Bank Account: Business Current
Account
Total Assets less Liabilities
Reserves B/F
Current Year Surplus/Deficit
31/03/2024
2,463
0
0
1,204
3,667
900
0

530

0

90

0
1,520
2,146
27,232
27,232
25,086
2,146
27,232
31/03/2024
2,463
0
0
1,204
3,667
900
0

530

0

90

0
1,520
2,146
27,232
27,232
25,086
2,146
27,232
31/03/2023
2,662
2,175
1,310
3,164
9,311
634
565
436
273
1,908
7,403
25,086
25,086
17,683
7,403
25,086
31/03/2023
2,662
2,175
1,310
3,164
9,311
634
565
436
273
1,908
7,403
25,086
25,086
17,683
7,403
25,086
3,667 9,311





1,520
1,908
2,146 7,403
27,232 25,086
27,232 25,086
25,086
2,146
17,683
7,403
27,232 25,086

Notes to the Accounts for the Year Ended 31[st] March 2024

We have examined the attached Income and Expenditure Account of Malcom Hart Foundation as at 31[st] March 24 and have verified the Balance at the Bank. In our opinion the Income and Expenditure Account and the Balance Sheet are in accordance with the Books of the Charity and give a true and fair view of the State of Affairs of the Charity.

Natasha Reissner Treasurer