poirrADOWtI GARDENING SOCIEIY Recelpts and Paymertts hxcwrt.year ended 31 Mwch 2023 2023 UNREsfRICTED FUNDS IN¢)IE 11 2022 YEAR INOIEII Rerdpts Member5. subscriptlons Wisltors Spon50rshTp Donation5 Xmas Lunch Glft Aid refunds Outings ii(o.00 209.OD s.(KI 20 855L 40.27 415 Total wtTpts 27A27 p•Tents Insuran Zoom fees Speakers fees and 8lfts Xmas Lunth Glfts Masks Prlntln8 pro8rams Refreshmentsfor Mahon Outln8 RHS Afliliatlon fee Outln8S Giftto Examiner Oonation In memw af Rev Canon iivlngskni 75.fKJ 83.57 780.C(I 915.00 54.98 9.99 50.00 30. 75 385 35 375 25 50 Totsl p•yrnonts N•t olrnolpts 7X73 51 C•sh aThl b•fiklunds I•$t•T •nd 2450.02 Cash¥rtd b•nkfundsthlsJw eftd Statement of assets and Ilabllitle5 at the end ofthe wlod uNRt$TRIEo FUNDS IA YEAR Cash lunds Cash on hafft4s 21 51 Balance at bank 3219.75 2399 Total cash funds az40.75 2450 NOTE I All riptsdingtheyèarÈnded 31 March 2023 and fund5 held atyearend were UrestriCted S W %(YLS S*ned belHllof the Trlee5 Paula Mor8an- Chairpewn Barbara Robin50n-Treasurer
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