Share Shrewsbury - Registered Charity 1181046
Receipts and Payments in the Period 1 February 2020 to 31 January 2021
Receipts
| Donations Rent Concert Payments Fund raising equipment Hub Maintenance Stationery Leaflets Insurance Cleaning Training Communications Electric Surplus (Deficit) for the year Balance brought forward Cash and Bank Balances |
1,075.00 3,230.00 0.00 4,305.00 683.81 130.00 67.00 350.00 681.60 364.00 58.80 452.35 1,782.52 4,570.08 (265.08) 17,887.13 17,622.05 |
1,075.00 3,230.00 0.00 4,305.00 683.81 130.00 67.00 350.00 681.60 364.00 58.80 452.35 1,782.52 4,570.08 (265.08) 17,887.13 17,622.05 |
|---|---|---|
| (265.08) 17,887.13 |
||
| 17,622.05 |