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14•eel$ and PaymèDts Accoynt REceipts and Paymeiitssurnmary Receipts Offerlngsanddonattons 80169. Iofleriw. 74169115ee&601 Fundrdising inc0e Gifts?nd grants Otherin¢ome 1142.151Tlthe51 Tot21 receipts 1944.84 Payments Hajllvenue rent Outreachand evangelisrn materials 1171 650 lequipmentpurchasel Food distributlotL and welf3re support 301 Youth and group PTO8rammes PrintiDgaDd publlcity 150 219 Administrative expenses Tot21 payments 2491 Netrecelpts / Ipaymentsl Cash at5rart ofyfar rash at end olyear 1546.161_
Statement of Assets and Liabillties as at 31 December 2021 Assers.. sh at bank.. £ O Cash in hand.. £ Otherassets.. Q650_ IDrum set niitrophone, Tolal 355ets.. £_650 Liabllities.. Outstanding bills.. £ Total liabilitie5'. £ Net assets at31 DecetnbÈr2Q21.. £_650 Approved by the knJstee5'. Date.. 2211012025 Signature." (Treasurer)