THE ROYAL IRISH FUSILIERS MUSEUM
| Year ending | 31st March 2024 | ||
|---|---|---|---|
| Balance 31/03/2024 | 5,442.86 | ||
| INCOME | DEBITS | ||
| Membership | 531.00 | Items for Library | 69.93 |
| Donations/Drum | 100.00 | Exhibition Items | 383.14 |
| Research | 2,248.89 | Acquistions | 195.13 |
| Gift Aid | 0.00 | Shop Stock | 585.75 |
| Shop Sales | 1,192.89 | Subscriptions | 509.28 |
| Book Sales | 0.00 | Insurance | 3,075.35 |
| Misc | 417.47 | Web/Telephone/Stationery | 888.17 |
| FAB Lunch | 114.00 | Catering | 928.59 |
| Hardware | 103.93 | ||
| Computer | 25.49 | ||
| Travel/Courses | 573.83 | ||
| War Memorial | 0.00 | ||
| Misc | 1,819.89 |
| TOTAL | 10,047.11 | TOTAL | 9,158.48 | ||
|---|---|---|---|---|---|
| Balance at | 31st March | 2025 | 888.63 | ||
| 10,047.11 | 10,047.11 |
THE ROYAL IRISH FUSILIERS MUSEUM
BALANCE SHEET AS AT 31st MARCH 2025
| FIXED ASSETS Artefacts & Library Collection Furniture & IT Equipment ASSETS Cash at Bank Cash in Hand Total Cash and Bank Shop Stock LIABILITIES Total Assets |
£ 1,550,000.00 2,000.00 1,552,000.00 888.62 1,586.23 2,474.85 9,000.00 0 1,563,474.85 |
|---|---|