TM Ministries Tentmakers UK
Financial Summary for the Year Ended 31 March 2025
| Category | Amount (£) |
|---|---|
| Total Income (Receipts) | 19,900 |
| Total Expenses (Payments) | 8,350 |
| Net Surplus (Profit) | 11,550 |
| Cash at Start of Year | 33,395 |
| Cash at End of Year | 44,945 |
Income Breakdown
| Income Source | Amount (£) |
|---|---|
| Offerings / Tithes / Donations | 19,900 |
| Total Income | 19,900 |
Expenses Breakdown
| Expense Item | Amount (£) |
|---|---|
| Hall Hire | 7,800 |
| Accountant Fees | 550 |
| Total Expenses | 8,350 |
Summary Interpretation
The church received a total income of £19,900 and spent £8,350 during the year. This resulted in a net surplus (profit) of £11,550. The cash balance increased from £33,395 at the start of the year to £44,945 at the end of the year. Overall, the church is in a strong financial position.