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## Receipts & Payment Accounts Year Ending 5" April 2025. 


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|---|---|---|---|---|
|incoming Revenue|
|2024-2025|2023-2024|
|Gifts Received|13780|15971.99|
|Tax|Refund|Under Gift Aid|3577.50|3612.50|
|Total|Income|17357.50|19584.49|
|Expenditure|
|Car Expenses|160|558.54|
|Parish|Rent|2700|2700.00|
|Pastoral|Fees|10586.00|10586.00|
|Webhosting|120|200.46|
|Public|Liability|Insurance|286.93|265.72|
|Gifts To Charities & Visiting Speakers|3200|2640.00|
|Other amounts|1916.05|849.08|
|Total Expenditure|18968.98|17799.80|

**----- End of picture text -----**<br>


Balances Brought Forward (23/24) 12390.77 

Balance at year end (24/25) 10779.29 

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