ACFL CHURCH Charity Number 1183407 FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MAY 2022
RECEIPTS AND PAYMENTS ACCOUNT for the Period Ended 31 May 2022
| RECEIPTS Collections Total Receipts: PAYMENTS Rent Music Equipment Other Church Expenses Total Payments: NET RECEIPTS/(PAYMENTS) Cash at bank and in hand at Start Cash at bank and in hand at End |
£ 13,810.00 |
£ |
|---|---|---|
| 13,810.00 7,665.00 7,030.00 3,817.00 |
||
| 18,512.00 | ||
| - 4,702.00 8,184.00 |
||
| 3,482.00 |