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2025-03-31-accounts

St.Peter's Youth Club

Income & Expenditure Account For year ended 31 March 2025

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||||||| |---|---|---|---|---|---| |2025|2024| |income|£|£|£|£| |Education|Authority|4,900.00|3,000.00| |Northern|Ireland|Housing|Executive|-|4,560.00| |Smurfit|2,500.00| |Other income|(Donations)|5,669.23|5,301.95| |13,069.23|12,861.95| |Expenditure| |Wages|5,156.91|7,011.57| |Bank Charges|151.74|148.30| |Accountancy|300.00|300.00| |EA|-|Grant|repay|5,475.00|-| |NIHE|-|Expenses|3,497.90|-| |Sports|Hail|Expenses|1,077.77|652.61| |ABC|Council|50.00|-| |Curriculum|Materials|-|25.00| |15,709.32|8,137.48| |Excess|of income|over expenditure|-|2,640.09|4,724.47|

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S$t.Peter's Youth Club Balance Sheet as at 31 March 2025

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2025 2024
Current Assets £ £
Bank Account 1 3,585.30 6,225.39
3,585.30 6,225.39
Current liabilities
Current Liabilities PAYE 0.00 0.00
0.00 0.00
Net assets 3,585.30 6,225.39
Financed By
Opening Funds 6,225.39 1,500.92
Excess of income over expenditure -2,640.09 4,724.47
3,585.30 6,225.39
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The financial statements were approved by the members and signed on their behalf by:

Jim xB Secretary Date: 4);2/2028