ETC Club Summary Accounts 2022/23
Financial Report
| Opening Balance 1/4/2022: | £1334.94 |
|---|---|
| Receipts | Total Funds |
| Donation: | £200 |
| Grants: | £2190 |
| Fundraising: | £150 |
| Total: | £2540 |
| Payments | |
| Project/Event/Resource Costs: | £2697.80 |
| Return of unused funds: | £0 |
| Netflix: | £130.88 |
| Bank Charges: | £31.89 |
| Club Purchases: | £523.14 |
| Total: | £3383.71 |
| Closing Balance 31/3/2023: | £491.23 |
We have no assets and liabilities.
The above financial summary includes various activity and equipment payments from throughout the year 2022/23.
END