Friends of Mitchell House School
Accounts for
rlodlA
ril 20
Ito31Mar
22
2021-2022
2020-2021
£141,454.69
£0.00
£0.00
Opening Bank Balance
Previous outstanding cheques
Previous outstanding lodgements
£143,102.15
£714.18
£83.00
Recei
G ifts and donations
Just Giving
sponsored Walk
Openwork Foundation
Christmas Fairlbikers day
Ref und scool transport - fuel
Interest earned
Funds raised
Rates Refund
Amazon Smile
Boat house sale
Other- Business ReseNe Closure
£6,309.06
£0.00
£2,683.20
£0.00
£2,838.97
£0.00
£140.44
£0.00
£0.00
£282.43
£0.00
£2,488.30
£14,742.40
£2.487.61
£0.00
£0.00
£9,600.00
£3,186.94
£60.00
£143.37
£18.00
£0.00
£63.23
£0.00
£0.00
£15.559.15
Ex
enditure
Bus Insurance
Bus Expenses
Bus Leasing
Bank Fees
Boah House repairs
Boah House Insurance
Boat House Rates
Boat House Management Fees
Fund raising costs
Music Therapist
Summerscheme
Fomial - pupils
School trip - allowance to pupils
Purchase equipment
G ifts for pupils
Christmas Fair
60th Anniversary Celebrations
Misc
£998.45
£763.83
£0.00
£37.17
£0.00
£0.00
£0.00
£0.00
£0.00
£7,080.00
£2,093.97
£0.00
£0.00
£1,737.80
£0.00
£2,359.76
£500.00
£100.76
£15,671.74
£953.65
£3,257.43
£5,453.20
£31.55
£0.00
£0.00
£0.00
£0.00
£1,644.79
£0.00
£0.00
£0.00
£0.00
£714.18
£0.00
£0.00
£0.00
£0.00
£12,054.80
Closlng Bank Balance
£141.541.63
£144,959.04
Corporate Current Account
Outstanding lodgements
£141,633.22
£0.00
£143,102. 15
£83.00

Outstanding cheques
Business reserve account
£91.59
£0.00
£141.541.63
£714.18
£2,488.07
£144,959.04
Note.. Business reserve o/c interest
2020-2021- £1.00

atement of assets and liabilities- Year Ended 31 March 2022
Funds Reconclllatlon
Total 2022
Total 2021
Cash at bankand in hand 31/3121
Surplus/def icit this year end
Cash at bank and in hand 3113122
£143,102.15
-£1,468.93
£141,633.22
£138,301.53
£4,883.62
£143,185.15
Bank and Cash Balances
Corporate Current Account
Business Reserve Account
Cash in Hand
Uncashed Cheques at year end
£141,633.22
£0.00
£0.00
£91.59
£141,541.63
£113,102.15
£2,472.43
£83.C
-£714.18
£116,371.76
Other Assets
Minibus
Total Assets
£5,000.00
£5,000.00
£5,000.00
£5,000.00
Liabilities
None
£0.00
£0.00
Approved by the trustees and Committee on 13 May 2021 and signed on their behalf by:
Jonny Collins
Chair:
Date: IS-L- ZL
Miriam Donn
Treasurer..
Date.. I S -
*These assets were valued in 2017