Chlldcarn Income and Expenditure Accounts For Cynfran Out of School Childcare For the period 01/0912022 until 3110812023 Income Fees Grants Fundraising Other 14,636 Expenditure Petty Cash Staff Wages Premises Costs Insurance Administration Food Other Total Expenditure SurpluslDeficit 11,662.00 309.12 240.00 2911.88 15,123.00 -487.00 Approved by the Trustees: K Guise L Heap
This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.