MURPHY TRUST RECEIPTS AND PAyMErS ACCOUNT Year ended 31 December 2025 2025 2024 Re¢¢ipts Conacre rent Investment in¢ome Bank inteffst Total Receipts 480.00 1,038.36 1.591.72 3,110.08 954.00 1,838.52 1,356.87 4,149.39 Payments Donations Secretarial fees and expenses Insurance Independent examinerfs fe¢ Miscellaneous expenses Bank charges Total PAyments Net recelpts {paym¢nts) Funds brought forward Funds cArried forward 3,250.00 310.00 240.00 3.250.00 310.00 240.00 20.00 42.53 3,862.53 286.86 42,492.19 42 779.05 33.41 3.833.41 (723.33) 42,779.05 42 055.72 STATF.MF.NT OF ASSETS AND LIABILITZES 31 December 2025 2025 2024 Bank & Cash BA1211C Bank ¢urrenl account Bank deposii account 4.107.13 37.948.59 42 055.72 6,422.18 36,356.87 42 779.05 Other Assets Land at Rathkeelan, Crossmaglen at valuation Investments at valuation 250,800.00 300 138.00 550 938.00 112.500.00 260 802.00 373 302.00 ACCOUNTING POLICIES Basls ofaeeountlng As the total income of the charity is less th3n £250.000 the accounts hav¢ been prepared on a receipts and payments b&sis in accordance with the provisions of the Chariti¢5 Commission for Northern Ireland. Fund aecounilng Funds are avaftlable for use at the discretion of the Trustees to further any of the Charity's purposes as set out in the s¢heme approved in th¢ High Court of Justi¢¢ in Northern Ireland on l O March 1980. Approved by th Truslees on 3 June 2026 and signed on their behalf by: D Gray Chairnian
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