| MONIES RECEIVED Donations Legacies and Subscriptions |
2022 E 3299 |
2021 E 80,624 |
|---|---|---|
| Interest Received | 1974 | 358 |
| Fund Raising Events Sale ofGoods Total Monies Received |
696 34537 ~40506 |
1,953 716 ~83651 |
| Gifts Cafe and Shop Costs |
62,220 21,860 |
8357 4065 |
| General Running Costs Total Monies Spent |
4489 ~88569 |
5814 18236 |
| ExcessofFunds Raised | (48,063) | 65,415 |
| Current Assets | ||
|---|---|---|
| Debtors | ||
| Stocks | 3000 | 298 |
| Bank and Cash Balances | ~544883 | ~579942 |
| Less Creditors | 547,883 ~16396 |
580,240 690 |
| 531487 | 579550 | |
| Funds at Start ofYear Excess ofFunds Raised Funds at Year End |
579,550 ~48063 531487 |
514,135 65415 579550 |
| 1. | Year end stock in trade amounted tof3000. |
Year end stock in trade amounted tof3000. |
|---|---|---|
| 2. | The trustees and volunteers | receive no remuneration |
| 3. | There is no taxation on the | League's activities |
| 4. | Gifts:- |
| Members, hospital staff and patients |
1284 |
|---|---|
| Tables and Chairs Camera System Plastics Department Woodside Garden Garden Parasols/Chairs Weighing Machine |
14,608 17,296 18,428 5,100 3,161 720 |
| Sundry Items | ~1623 |
| 662 220 |