| he Statement ofFinancial Activiti | es and Balance Sheet for the | Year Ended 31 Ma |
|---|---|---|
| Recei | March 2023 | March 2022 |
| Donations to Bank | E2205.00 | E2465.00 |
| Proceeds from Plant Fair | ||
| Sund Donations |
E305.00 | |
| Pa Pal recei ts | E0.01 | |
| TOTAL Recei ts | E2405.01 | E5770.00 |
| Pa ants |
||
| Various Tree Works | f1488.00 | 61608.00 |
| Tree Risk Assessment | %390.00 | |
| Green Bin Licence | %42.00 | |
| Grass Cuttin | 250.00 | |
| Web-site Desi n |
E2784.00 | |
| TOTAL Pa ments | 24272.00 | 82090.00 |
| TOTAL Funds | 620,345.92 | E20,030.91 |
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