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2021-05-31-accounts

New Ferry Rangers FC

Accounts for 12 months May 2021 –Apr2022

Income and Expenditure

12 Months to Apr 2022

£

Income

Sponsorship & Donations 2350 Tournament Nil _ 1600 Expenses Lock Up Rent 588 Insurance 440.65 Water 292 Pitch fees 2400 General expenses 85 ____ 3805.65


Retained

1300

Balance Sheet

Apr 2022

£

Fixed Assets

Nil_____

Current Assets

Trade Debtors

_

Prepayments and accrued income

Cash in bank

_ 1342.77

Total Assets

Nil_____

Current Liabilites

Trade Creditors

_

Other taxes and social security costs

_

Accruals and deferred income

_

Net Current Assets

Nil_____

Net Assets

Nil_____

Reserves

Retained Surplus Brought Forward 1342.77

Retined Surplus For The Year 500