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2022-01-31-accounts

Share Shrewsbury - Registered Charity 1181046 Receipts and Payments in the Period 1 February 2021 to 31 January 2022

Receipts

Donations
Rent
Conference
Payments
Fund raising equipment
Hub Maintenance
Stationery
Insurance
Bank Charges
Website
Communications
Electric
Surplus (Deficit) for the year
Balance brought forward
Cash and Bank Balances
2.72
1,050.00
790.00
1,842.72
120.00
5.00
200.00
501.60
5.00
1,211.99
418.35
1,336.11
3,798.05
(1,955.33)
17,622.05
15,666.72
2.72
1,050.00
790.00
1,842.72
120.00
5.00
200.00
501.60
5.00
1,211.99
418.35
1,336.11
3,798.05
(1,955.33)
17,622.05
15,666.72
15,666.72