| Page | |||
|---|---|---|---|
| Church Information |
|||
| Trustees Report | |||
| Independent Examiners |
Report | ||
| Receipts & Payments | Account | ||
| Statement ofAssets | and | Liabilities | |
| Notes to the Financial | Statements |
| ~Ril I |
||
|---|---|---|
| Donations | 33,135 | |
| Total receipts | 33,135 | |
| ~P | ||
| Bank fees | 7 | |
| Books and resources | 107 | |
| Event costs | 2,873 | |
| Gifts and donations | 250 | |
| Hospitality | 1,572 | |
| Insurance | 407 | |
| Maintenance | 2,114 | |
| Mission | 7,976 | |
| Multimedia | 1,826 | |
| Small equipment | 858 | |
| Sundry | 68 | |
| Training | 850 | |
| Transport | 6,328 | |
| Venue | 2,590 | |
| Total payments | 27,826 | |
| Net receipts/(payments) | for the year | 5,309 |
| Cash funds at 28 July 2021 | 14,443 | |
| Cash funds at 31 December 2022 | 19,752 |