Glants Grave and Brlton Ferry Boys Club Income and expendlture Account forthe Year Ended 31st May 2024 Light and Heat Club Foodstuffs Rates and Water Insurance Trophles & Klt Telephone Equipment Purchases West Glam Giants Grave Boys Repalrs & Renewals NPTCBC Leaders Wages Subscriptlons & Sundrles 8507.43 6843.59 1748.79 1041.90 3134.60 331.55 29113.20 Donations & Grants Subs Sundry Hall Hlre Sponsors Pltch Permits Barn Hire Bar Hire RentaVElectrlc Food Cabin 25742.48 5702.50 16405.00 309.00 3000.00 9801.31 iooo.00 416.88 1540.00 1302.79 1494.51 500.00 1605.69 Excess Income Over Expendlture 5213.12 62377.17 62377.17 Balance Sheet as at 31st May 2024 As at 11612024 Surplus 2309.07 5213.12 7522.19 Current Account Cash In hand 7522.19 7522.19 We Certltythat the Accounts have been prepared from Books, Bank Statements, Information and explanations received and thattheyare in accordance therewith. Roger Byers & Co Ltd. Chartered Ceitlfled Accountants Castle Buildings 23 Church Place NEATH
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