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2025-03-31-accounts

Road Safe NI Income & Expenditure Summary Year End 31 March 2025

ROADSAFE Year End 31 March 2025
SAFE NI
£
Balance Carried Forward from 31st March 2024 £16,219.47
Income 36,525.88
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:
15,000.00
21,525.88
1,442.50
1,437.99
0.00
2,115.26
0.00
22.00
0.00
2,265.74
31,696.48
909.77
£39,889.74
Deficit Funds for Year: £3,363.86
Balance Carried forward: £12,855.61