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