# **346th Manchester Scout Group Receipts and Payments Account** 

Year start date 

**For the year from** 

**Apr-20** 

**To** 

## **Receipts** 

## **Unrestricted funds** 

**£** 


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Receipts<br>Donations, legacies and similar income<br>Membership subscriptions 395.00<br>Less:Membership subscriptions paid on (National/County/Area/District)  395.00<br>Net membership subscriptions retained<br>Donations<br>Legacies .<br>Gift Aid<br>Section rent 113.50<br>Sub total  113.50<br>Grants<br>Maintenenace grant<br>Other grants 28968.79<br>Sub total  28968.79<br>Fundraising (gross)<br>Jumble sales 192.74<br>Bag Pack<br>Fun Day<br>Miscellaneous<br>Sub total  192.74<br>Investment income<br>Bank interest<br>Building Society interest<br>The Scout Association Short Term Investment Service<br>Property Rent income<br>Other investment income<br>Sub total  0.00<br>Total Gross Income 29275.03<br>Asset and investment sales, etc.<br>Total receipts 29275.03<br>**----- End of picture text -----**<br>




# **346th Manchester Scout Group Receipts and Payments Account** 

Year start date 

## **For the year from** 

**Apr-20** 

**To** 

## **Payments** 

## **Unrestricted funds** 

**£** 


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Payments<br>Charitable Payments<br>Youth programme and activities<br>Adult support and training<br>Rates<br>1423.64<br>Water and Sewerage<br>167.36<br>Electricity and Gas<br>1138.00<br>Insurance<br>742.49<br>Repairs and Renewals<br>9680.00<br>Materials and equipment<br>Printing and photocopying<br>Contribution to camp costs<br>Uniforms<br>AGM and trustee expenses<br>Consumables<br>Gifts<br>Sub total<br>13151.49<br>Fundraising expenses<br>Advertising<br>refreshments<br>Detail 3<br>Other fundraising costs<br>Sub total<br>0.00<br>Total Gross Expenditure 13151.49<br>Asset and investment purchases, etc.<br>Total payments 13151.49<br>Net of receipts/(payments) 16123.54<br>Cash funds last year end<br>Cash funds this year end 16123.54<br>**----- End of picture text -----**<br>




## **Statement of assets and liabilities at the end of the year** 

## **Apr-20** 

**Unrestricted funds** 


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£<br>Cash funds<br> Bank current account  17886.87<br> Bank deposit account<br> Building society account<br> The Scout Association Short Term Investment Service<br> Cash/Floats  37.34<br>Total cash funds 17924.21<br>Other monetary assets<br> Tax claim<br> Debts due from the County/Area/District/Group<br> Insurance claim<br> Sub total  0.00<br>Investment assets<br> Investment property - detail<br> Quoted investments<br> Other investments - detail<br> Sub total  0.00<br>Non monetary assets for charity's own use<br> Badge stock<br> Shop stock<br> Other stock<br> Land and buildings<br> Motor vehicles<br> Scouting equipment, furniture etc<br> Other<br> Sub total  0.00<br>Liabilities<br> Accounts not yet paid<br> Expenses incurred but not invoiced<br> Subscriptions not yet paid<br> Loan - detail  300.00<br> Other liabilities<br> Sub total  300.00<br>**----- End of picture text -----**<br>


## **Contingent liabilities and future obligations** 

**The above receipts and payments account and statement of assets and liabilities were a Trustees on 11th May 2017 (the date of the Executive Committee meeting that approved signed on their behalf by** 


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Signature<br>**----- End of picture text -----**<br>



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Print Name<br>**----- End of picture text -----**<br>





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Year end date<br>Mar-21<br>**----- End of picture text -----**<br>


## **Unrestricted funds** 

**£** 

**-** 




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Year end date<br>**----- End of picture text -----**<br>


## **Mar-21** 

## **Unrestricted funds** 

## **£** 

**-** 



## **Mar-21** 

## **Unrestricted funds** 

## **£** 

**-** 

**approved by the d the accounts) and** 

Chair Treasurer 



## **346th Manchester Scout Grou Section Receipts and Payment** 

## **SECTION: ____________________________________** 

## **For the year from** 

## **Receipts** 

**Balance brought forward** Capitation fees Section Fees Activity payments Miscellaneous 

**Sub Total** 

**Payments** Capitation fees Section rent Section subs (25p per attendee per week) Materials and equipment Printing and photocopying Contribution to camp costs/activities Uniforms Badges Consumables Miscellaneous 

**Sub total** 

**Balance** 



**up ts** 

## **Apr 19 - Mar 20** 

**0.00 0.00 0.00 0.00 . 0.00 0.00 0.00** 

**0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00** 

0.00 

