ARDS EVANGELICAL CHURCH
RECEIPTS AND PAYMENTS ACCOUNT FOR THE YEAR ENDED MARCH 2024
RECEIPTS
2023
2024
General giving
Incorne tax ￿fUnd
Bank Inte￿St
46,701
8.310
59
49.341
9,446
419
Total Receipts
55.070
59,206
PAYMENTS
General expenditure
Missionary Support
other Gifts
Staff Costs
Repairs & Maintenance
Equipment
Bank charges
13,005
2,930
1,402
33.671
892
1.600
134
12,526
3,264
3.207
32,609
7,729
402
150
Total Paymènts
53,633
59.888
Excess of Receipts over payments
1,437
82
Add opening Balance 1 st April
61,446
62,883
CLOSING BALANCE 31 March
62,883
62,201
Balan￿ at U15ter Bank 31st March
7,251
8,150
Balance at Pffjgressive BS 31st March
55.632
56.051
TOTAL RESERVES 31st December
62.883
62.201
AEC Trustee
Independent Examiner
Date......
Lll,