Treasurer's Report-year Ending31st December 2025 Balance as atlstJanuary2024 41751.23 Income MembershiplBook salesl talks Grants Trip Income Total In¢ome 2,134.50 5.398.30 397.38 7,930.18 Expenditure Equipment Accounts Advertising Bank Fees Insurance Wesite Printing & Postage Editorial Fees journal Printing Rent Speakers Fees Catering Trip Expences Medals & Drone Total Expenditure 2,542.10 235.00 73.41 90.00 845.00 225.00 296.74 1.003.40 893.10 6.203.75 Balance as at 31December 2024 6.477.66 Treasurer Date
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