BURY SPORTS CLUB FINANCIAL ACCOUNTS FOR THE YEAR ENDED 31ST MARCH 2021 In accordance with instructions given, the attached accounts have been prepared, without carrying an audit, from the invoices and other business records. I certify that the accounts are in accordance herewith. GARETH BEVAN 200 Turks Road, Radcliffe Manchester M26 3NW 30th January 2022
Bury Sports Club Cash Flow Statement Report
From: 06/04/2020 To: 04/04/2021
27 Jul 2021 12:00
Bank Account(s): Bank Account (1200), Cash (1210)
| Opening Balance £11,837.32 |
Cash Flow In £122,559.90 |
Cash Flow Out £92,196.90 |
Closing Balance £42,200.32 |
Owed to others £0.00 |
Net Balance £42,200.32 |
|---|---|---|---|---|---|
| Money ins £122,559.90 |
Money outs £92,196.90 |
Cash Flow for period £30,363.00 |
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BURY SPORTS CLUB FINANCIAL ACCOUNTS FOR THE YEAR ENDED 31ST MARCH 2021 In accordance with instructions given, the attached accounts have been prepared, without carrying an audit, from the invoices and other business records. I certify that the accounts are in accordance herewith. GARETH BEVAN 200 Turks Road, Radcliffe Manchester M26 3NW 30th January 2022