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