ARMAGH BOYS & GIRLSCLUB
INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 315t OCTOBER 2021
31.10.21
INCOME
Income
Interest received
EXPENSES=
Armsrong cup costs
Speer5 CUP costs
Accountancy
Bank charges
Sundry expenses
Depreciation of plant & equipment
loo
72
173
EXCESS INCOME OVER EXPENDITURE
-169
The financial statements were approved by the Board of Trustee5 on 18th January 2022
and si8ned on its behalf bv:
Trustee

ARMAGH BOYS& GIRLS CLUB
BALANCE SHEET AS AT 31STocfoBER 2021
FIXED ASSETS
Tangible Assets
205,508
CURRENT ASSETS:
Cash at Bank
47,776
NETCURRENT AssFrs
47,776
TOTAL ASSETS LESS CURRENT LIABILITIES
253,284
RESERVES:
Opening Balance at l November 2020
253,453
Surplus for the year
-169
Closing Balance at 31st October 2021
253,284