| Church | Information | |
|---|---|---|
| Trustees | Report | |
| Accountants report |
||
| Receipts | & Payments | Account |
| Statement ofAssets | and Liabilities | |
| Notes to | the Financial | Statements |
| Period to | |||||
|---|---|---|---|---|---|
| 31March | 31 March | ||||
| 2021f | 2020f | ||||
| ~Renal | |||||
| Offerings | 13,083 | 28,482 | |||
| GIR aid income | 3,256 | 3,628 | |||
| 16,339 | 32,110 | ||||
| ~Pa ents |
|||||
| Charitable Activites Premises costs |
9,373 250 |
31,102 | |||
| IT, audio visual and | software costs | 4,236 | |||
| Accountancy | 960 | ||||
| Subscriptions | 91 | ||||
| Sundry | 61 | ||||
| 14,971 | 31,102 | ||||
| Net receipts/(payments) | 1,368 | 1,008 | |||
| Transfers between |
funds | ||||
| Cash funds transferred | from unincorporated | organisation | 2,578 | ||
| Cash funds brought | forward | 3,586 | |||
| Cash funds at the | year end | 3,536 |