
**----- Start of picture text -----**<br>
Charity Name Charity No. (if any)<br>Sound Friends Charity No.<br>NIC100725<br>Receipts and payments accounts<br>For the period  01/04/2022 31/03/2023<br>To<br>from<br>Section A Receipts and payments<br>Unrestricted  Restricted  Endowment<br>Total funds Last year<br>funds funds funds<br>to the nearest      £ to the nearest £ to the nearest £ to the nearest £ to the nearest £<br>A1 Receipts<br>                            -    0<br>Fundraising 0 0<br>Grant 500 500<br>Donation 692 692<br>0<br>0<br>0 0<br>0 0<br>0 0<br>A1 Sub total  (Gross income for the<br>Annual Return)  1,192                             -                                -    1,192 0<br>A2 Asset and investment sales  (see<br>tables 1 and 2 in section 7 of the<br>guidance).<br>Proceeds from sale of fixed asset 0                               -                                -  0 0<br>Loan repayments received 0                               -                                -  0 0<br>A2 Sub total  0                               -                                -  0 0<br>Total receipts 1,192                          -                           -  1,192 0<br>A3 Payments<br>Activities 30 30<br>Bank Charges 38 38<br>Outings 4,026 4,026<br>0<br>0<br>0<br>0<br>0<br>                            -                                -    0<br>A3 Sub total 4,094                             -                                -    4,094 0<br>A4 Asset and investment purchases<br>(see tables 1 and 2 in section 7 of the<br>guidance)<br>Purchase of investments 0                               -                                -  0 0<br>Loans made 0                               -                                -  0 0<br>A4 Sub total 0                               -                                -  0 0<br>Total payments 4,094                           -                            -  4,094 0<br>Net of receipts/(payments) -2,902                           -                            -  -2,902 0<br>A5 Transfers between funds 0                        -                           -    0 0<br>A6 Cash funds last year end  10,886                        -    10,886<br>Cash funds this year end 7,984                         -                            -    7,984 0<br>**----- End of picture text -----**<br>


CCXX R1 accounts (SS) 

16/11/2023 

1 




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Sound Friends - Charity No.NIC100725 Period end date: 31/03/2023<br>Section B Statement of assets and liabilities at the end of the period<br>Unrestricted  Restricted  Endowment<br>Categories  Details   funds  funds  funds  Total funds  Last year<br>to nearest £ to nearest £ to nearest £ to nearest £  to nearest £<br>B1 Cash funds  Current account                      7,984                             -                           -                       7,984                            -<br> Deposit account                            -                                -                            -                             -<br>                          -                                -                            -                             -                             -<br>Total cash funds                    7,984                          -                         -                    7,984                       -<br>(agree balances with receipts and payments account(s)) OK OK OK OK OK<br>Unrestricted  Restricted  Endowment<br>Total funds  Last year<br>funds  funds  funds<br>Details to nearest £ to nearest £ to nearest £ to nearest £ to nearest £<br>B2 Other monetary   Charitable loan receivable                            -                                -                            -                            -                            -<br>assets  Tax reclaim due                            -                                -                            -                            -                            -<br>                          -                                -                            -                            -                            -<br>                          -                                -                            -                            -                            -<br>                          -                                -                            -                             -                            -<br> Total                       -                        -<br>Fund to which  Current value<br>Details asset belongs Cost (optional) (optional) Last year<br>B3 Investment assets                         -                             -                            -<br>                        -                             -                            -<br>                        -                             -                            -<br>                        -                             -                            -<br> Total                      -                         -                        -<br>Fund to which  Current value<br>Details asset belongs Cost (optional) (optional) Last year<br>B4 Assets retained   Buildings  Unrestricted                         -                             -                            -<br>for the charity’s own   Motor vehicles  Restricted                         -                             -                            -<br>use                         -                             -                            -<br>                        -                             -                            -<br>                        -                             -                            -<br>                        -                             -                            -<br>                        -                             -                            -<br>                        -                             -                            -<br>Total                     -                         -                        -<br>Fund to which  When due  Amount due<br>Details liability relates (optional) (optional) Last year<br>B5 Liabilities                          -                            -<br>                         -                            -<br>                         -                            -<br>                         -                            -<br>                         -                            -<br>Total                      -                        -<br>Signed by one or two  Date of<br>trustees on behalf of all  Signature Print Name<br>the trustees  approval<br>Ruairi Magennis Ruairi Magennis 16/11/2023<br>**----- End of picture text -----**<br>


2023-02-20RecieptsAndPaymentsFYEMar2023 / Statement of balances 

2 

December 2007 



FYE Mar 23 Transactions 


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DATE Category DESCRIPTION DEBIT CREDIT BALANCE<br>22 April 2022 Outings Tayto Park Deposit £430.82 £10,455.34<br>09 May 2022 Donation Amazon Smile £7.30 £10,462.64<br>10 May 2022 Outings Tayto Park Balance - chq 000290 £1,232.65 £9,229.99<br>12 May 2022 Outings Cinema - chq 000289 £60.00 £9,169.99<br>31 May 2022 Outings Tayto Park FX fee - chq 000291 £33.90 £9,136.09<br>31 May 2022 Activities Bannville room hire - chq 000292 £20.00 £9,116.09<br>10 June 2022 Bank Charges Quarterly charges £11.46 £9,104.63<br>05 July 2022 Outings Panto deposit £162.40 £8,942.23<br>21 July 2022 Outings Summerscheme - Limepark Equestrian £245.00 £8,697.23<br>11 August 2022 Fundraising NDCS Grant funding £500.00 £9,197.23<br>09 September 2022 Bank Charges Quarterly charges £9.59 £9,187.64<br>10 October 2022 Outings Panto balance £649.60 £8,538.04<br>28 October 2022 Outings Crafts & food for Halloween party - B&M  £43.29 £8,494.75<br>31 October 2022 Outings Crafts & food for Halloween party - Around a Pound £10.00 £8,484.75<br>31 October 2022 Outings Crafts & food for Halloween party - Tesco £6.00 £8,478.75<br>02 November 2022 Activities Unknown transaction £10.00 £8,468.75<br>15 November 2022 Outings Halloween Party - room hire, fun house, pizza & Bus £919.90 £7,548.85<br>09 December 2022 Bank Charges Quarterly charges £8.43 £7,540.42<br>19 December 2022 Donation Loughran family donation £670.00 £8,210.42<br>19 December 2022 Outings Food, crafts & supplies panto - Home Bargains £20.10 £8,190.32<br>19 December 2022 Outings Food, crafts & supplies panto - Tesco £14.16 £8,176.16<br>19 December 2022 Outings Food, crafts & supplies panto - Pound Stretcher £8.00 £8,168.16<br>19 December 2022 Outings Food, crafts & supplies panto - Tesco £15.00 £8,153.16<br>19 December 2022 Outings Food, crafts & supplies panto - Lidl £2.75 £8,150.41<br>19 December 2022 Outings Food for panto - POH Catering £150.00 £8,000.41<br>26 January 2023 Donation Doran family towards Panto tickets £14.50 £8,014.91<br>21 February 2023 Outings Payment to Natalia for Christmas crafts bought online £6.99 £8,007.92<br>21 February 2023 Outings Payment to Natalia for Christmas crafts bought online £14.99 £7,992.93<br>10 March 2023 Bank Charges Quarterly charges £8.86 £7,984.07<br>£7,984.07<br>£7,984.07<br>£7,984.07<br>£7,984.07<br>£7,984.07<br>**----- End of picture text -----**<br>


FYE Mar 23 Transactions 



Category Summary FY23 


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Category Data Total<br>Activities Sum of DEBIT £30.00<br>Sum of CREDIT<br>Bank Charges Sum of DEBIT £38.34<br>Sum of CREDIT<br>Fundraising Sum of DEBIT<br>Sum of CREDIT £500.00<br>Outings Sum of DEBIT £4,025.55<br>Sum of CREDIT<br>Donation Sum of DEBIT<br>Sum of CREDIT £691.80<br>(blank) Sum of DEBIT<br>Sum of CREDIT<br>Total Sum of DEBIT £4,093.89<br>Total Sum of CREDIT £1,191.80<br>Surplus of Expenditure £2,902.09<br>Opening Bank Blance £10,886.16<br>Closing Bank Blance £7,984.07<br>**----- End of picture text -----**<br>


Category Summary FY23 

