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2021-12-31-accounts

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Maple Hall Profit & Loss 01/01/2021 to 31/12/2021

4906
Hall Hire
£7,230.00
5000
Materials Purchased
£3,666.86
TOTAL
CODE
NAME
Total Turnover
£7,230.00
TOTAL
CODE
NAME
Total Cost Of Sales
£3,666.86
Gross Profit
£3,563.14
6201
Advertising
£72.60
7102
Water Rates
£444.22
7200
Electricity
£97.44
7201
Gas
£591.00
8204
Insurance
£789.26
8207
Maintenance
£2,917.53
TOTAL
CODE
NAME
Total Expenses
£4,912.05
Net Profit
-£1,348.91
TURNOVER
LESS COST OF SALES
LESS EXPENSES

13/09/2022 17:25

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