Bandanas For The Brave - 101835
| RECEIPTS AND PAYMENTS ACCOUNT FOR THE YEAR ENDED 31-3-25 RECIEPTS Gifts and donations received PAYMENTS Charitable activities Activities for generating funds Governance Costs NET INCOME/DEFICITE FOR YEAR Balance sheet as 31stMarch ASSETS CASH at Hand and in Bank |
2025 £ 10,481 813 910 2,270 3,993 6,488 2025 £ 6,488 11,026 |
2024 £ 2,202 3,108 629 1,293 5,032 -2,830 2024 £ -2,830 4,530 |
|---|---|---|