| 2022 | 2021 | |
|---|---|---|
| Opening balance | 16,719 | |
| Income Grants Incoming fees Donations |
11,500 685 14 |
22,200 433 850 |
| 12,199 | 23,483 | |
| Expenditure Facilitator, venue and pony hire ITand equipment Governance |
14,385 2,041 649 |
5,120 963 681 |
| Marketing | 483 17558 |
6,764 |
| Surplus/deficit for year |
(5,359j | 16719 |
| Balance | 11,360 | 16,719 |
| BAlANCES | ||
| Opening balance 1/1/2022 Closing balance 31/12/2022 Cash at bank |
16,719 (5,359) 11,360 |
This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.