| Balance Carried Forward from 31st March 2022 Income Restricted Funds Non-Restricted Funds Expenditure Breakdown Advertising / Marketing Costs Insurance, Stationery, Postage Volunteer Training Volunteer Expenses Fundraising Costs Bank Fees Support Projects Subscription Costs/ Annual Fees / Mobile Phones Projects / Campaigns Equipment Total Expenditure: Deficit Funds for Year: Balance Carried forward: Road Safe NI Income & Expenditure Summary Year End 31 March 2023 |
£ |
|---|---|
| £12,369.73 | |
| 33,149.34 | |
| 30,187.50 2,961.84 0.00 1,095.00 99.50 0.00 227.00 18.08 0.00 1,019.77 26,835.25 0.00 |
|
| £29,294.60 | |
| £3,854.74 £16,224.47 |
This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.