Bandanas For The Brave
RECEIPTS AND PAYMENTS ACCOUNT
FOR THE YEAR ENDED 31-3-24
| RECIEPTS Gifts and donations received PAYMENTS Charitable activities Activities for generating funds Governance Costs NET INCOME/DEFICITE FOR YEAR Balance sheet as at 31stMarch ASSETS Fixtures & Fittings CASH at Hand and in Bank LIABILITEIES Current Creditors NET ASSESTS RESERVES |
2024 £ 2,202 3,108 629 1,293 5,032 -2,830 2024 £ 8,103 4,530 12,633 4,537 8,096 8,096 |
2023 £ 1,904 3,809 580 2,352 6,741 -4,837 2023 £ 8,103 7,097 15,200 4,537 10,663 10,663 |
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