Share Shrewsbury - Registered Charity 1181046 Receipts and Payments in the Period 1 February 2022 to 31 January 2023
Receipts
| Donations Conference Payments Fund raising equipment Bank Charges Stationery Leaflets Conference Marketing Surplus (Deficit)for the year Balance brought forward Cash and Bank Balances |
10.65 3,750.00 |
3,760.65 11,592.53 |
|---|---|---|
| 283.56 62.80 131.96 180.00 8,535.46 2,398.75 |
||
| (7,831.88) 15,671.72 |
||
| 7,839.84 |