British Limb Reconstrurtion Society Income and Expenditure Account Forthe Year Ended 28 February 2025
British Limb Reconstruction Society
Accountant’s Report
For the Year Ended 28 February 2025
In accordance with instructions given to us, we have prepared without carrying out an audit, the income and expenditure account from the accounting records of British Limb Reconstruction Society and information and explanations supplied to us.
Andrew Manderfield FCA
13 October 2025 STREETS CHARTERED ACCOUNTANTS Halifax House 30 George Street HULL HU1 3AJ
British Limb Reconstruction Society
Income and Expenditure Account
For the Year Ended 28 February 2025
Income
| AGM 2024 Income Subscriptions Miscellaneous Income Bank Deposit Interest Total Income Expenditure AGMs Venue Hire Lecturer Fee and expenses Accountancy Subscription - ICO Committee Expenses Travel Bursaries and Prizes Website Total Expenditure Net Surplus |
£ 68,757 7,650 71 4,000 |
£ 80,478 54,649 25,829 |
|---|---|---|
| 37,326 6,993 1,196 35 2,234 6,000 865 |
||
| £ |
British Limb Reconstruction Society
Income and Expenditure Account
For the Year Ended 28 February 2025
| Opening Assets Net Surplus/(Deficit) Closing Assets £ |
2025 £ 248,574 25,829 |
|
|---|---|---|
| 274,403 |
Asset Position
| Balances Current Account One Year Deposit Bond Liabilities & Accruals Total Balances £ |
01/03/2024 £ 175,474 75,000 (1,900) 248,574 £ |
Movement £ 22,065 4,000 (236) 25,829 £ |
28/02/2025 £ 197,539 79,000 (2,136) |
|||
|---|---|---|---|---|---|---|
| 274,403 |
I hereby approve the accounts
P Foster Treasurer 13 October 2025