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2023-03-31-accounts

Donemana Haven Income & Ex enditure Accounts- 31st March 2023 Statement of Financial Activities (0110412022 - 3110312023) Opening Balance Income Fundraising Activities - DFC Sinall grant Volunteer DAERA Micro Grants Dalradian Gold Total Income 0.00 0.00 £ 1258.00 150.00 £ 1, 414.64 enditure Volunteer Expenses Networking Costs Group Travel Bank Fees Proteclive Clothing Project Equipment Stationery 0.00 0.00 0.00 32.29 0.00 £ 1,618.00 0.00 Total Expenditure £1,650.69 Net Annual SurpluslDeficit £ 236.0.5 Group Reserves (£ 0.00) DeelAration We continn that the above is an accurate account of Income & Expenditure for Donemana Haven for the financial year to 31" March 2023 Signed:. Position; Chair t& .Date: 6 April 2023 rson Signed:.. Position: Treasurer Ih Date: 6 April 2023