## **POTTER HOUSE CHURCH BELFAST - Charity Number 101930 Receipts and Payments Account** 


**----- Start of picture text -----**<br>
Year start date Year end date<br>For the year  01/04/2024 To 31/03/2025<br>from<br>Receipts and payments<br>31/03/2025 31/03/2025 31/03/2025 Last Year<br>Unrestricted funds  Restricted funds  Total funds  Total funds<br> £   £   £  £<br>Receipts<br>Donations, legacies and similar income<br>Tithes                                    51,922                                        -                                  51,922                          41,430<br>Offerings                                     6,355                                         -                                    6,355                            7,478<br>Legacies                                             -                                         -                                            -                                  -<br>Gift Aid                                    11,774                                        -                                  11,774                          10,988<br>Conferences                                             -                                         -                                            -                                  -<br>Sub total                                      70,051                                         -                                  70,051                           59,896<br>Grants<br>Grant                                             -                                         -                                            -                                  -<br>Other grants                                             -                                         -                                            -                                  -<br>Sub total                                               -                                         -                                            -                                   -<br>Fundraising (gross)<br>Detail 1                                             -                                         -                                            -                                  -<br>Detail 2                                             -                                         -                                            -                                  -<br>Other fundraising activities                                              -                                         -                                            -                                  -<br>                                            -                                         -                                            -                                  -<br>Sub total                                               -                                         -                                            -                                   -<br>Investment income<br>Bank interest                                             -                                         -                                            -                                  -<br>Building Society interest                                             -                                         -                                            -                                  -<br>Other investment income                                             -                                         -                                            -                                  -<br>                                            -                                         -                                            -                                  -<br>                                            -                                         -                                            -                                  -<br>Sub total                                               -                                         -                                            -                                   -<br>Total Gross Income                                     70,051                                         -                                  70,051                           59,896<br>Asset and investment sales, etc.                                             -                                         -                                           -                                  -<br>Total receipts                                     70,051                                        -                                    70,051                           59,896<br>**----- End of picture text -----**<br>


## **POTTER HOUSE CHURCH BELFAST - Charity Number 101930** 

## **Receipts and Payments Account** 


**----- Start of picture text -----**<br>
Year start date Year start date Year start date Year end date<br>For the year  01/04/2024 01/04/2024 01/04/2024 To 31/03/2025<br>from<br>Receipts and payments<br>31/03/2025 31/03/2025 31/03/2025 Last Year<br>Unrestricted funds  Restricted funds  Total funds  Total funds<br> £   £   £  £<br>Payments<br>Charitable Payments<br>Church Paster 12                                     6,000                                         -                                    6,000                          11,536<br>Building Running Costs 2                                    29,057                                        -                                  29,057                          28,804<br>Advertising and Printing 4                                             -                                         -                                            -                               338<br>Motor Expenses 7                                     8,168                                         -                                    8,168                            6,819<br>Insurance 3                                             -                                         -                                            -                                  -<br>Repairs and Renewals 5                                             -                                         -                                            -                                  -<br>Materials and equipment 8                                        755                                         -                                       755                            1,657<br>Printing and photocopying                                        111                                         -                                       111                                  -<br>Bank Fees 11                                        162                                         -                                       162                               129<br>Community Projects 1                                    17,847                                        -                                  17,847                          21,723<br>Other costs detail 3                                             -                                         -                                            -                                  -<br>Legal and Accounting 10                                        670                                         -                                       670                               530<br>AGM and Trustee Expenses                                             -                                         -                                            -                                  -<br>Administration 9                                     1,190                                         -                                    1,190                               821<br>Sub total                                     63,960                                         -                                  63,960                           72,357<br>Fundraising expenses                                            -                                   -<br>Detail 1                                        -                                            -                                  -<br>Detail 2                                             -                                         -                                            -                                  -<br>Detail 3                                             -                                         -                                            -                                  -<br>Other fundraising costs                                             -                                         -                                            -                                  -<br>Sub total                                             -                                         -                                             -                                  -<br>                                           -                                   -<br>Total Gross Expenditure                                     63,960                                         -                                   63,960                           72,357<br>Asset and investment purchases, etc. - -                                            -  -<br>Total payments                                63,960                                      -                                   63,960                        72,357<br>Net of receipts/(payments)                                  6,091                                      -                                     6,091  -                     12,461<br>Cash funds last year end                                           -                                      -                                             -<br>Cash funds this year end                                  6,091                                      -                                     6,091  -                     12,461<br>**----- End of picture text -----**<br>



**----- Start of picture text -----**<br>
Statement of assets and liabilities at the end of the year<br>31/03/2025 31/03/2025 31/03/2025 Last Year<br>Unrestricted funds  Restricted funds  Total funds  Total funds<br>£ £ £ £<br>Cash funds<br> Bank current account                                            -                                         -                                    13,680                            9,074<br> Bank deposit account                                            -                                         -                                      9,240                            7,756<br> Cash/Floats                                            -                                         -                                              -                                  -<br>                                          -                                         -                                              -                                  -<br>                                           -                                         -                                              -                                   -<br> Total cash funds (Agree balances with receipts and payments<br>                                       -                                      -                                22,920                        16,830<br>account(s))<br>Other monetary assets<br> Tax claim                                            -                                         -                                              -                                  -<br>                                          -                                         -                                              -                                  -<br>                                           -                                         -                                              -                                   -<br> Sub total                                        -                                      -                                       -                                 -<br>Investment assets<br>                                          -                                         -                                              -                                  -<br>                                          -                                         -                                              -                                  -<br>                                           -                                         -                                              -                                   -<br> Sub total                                        -                                      -                                       -                                 -<br>Non monetary assets for charity's own use<br> Stock                                            -                                         -                                              -                                  -<br> Land and buildings                                            -                                         -                                              -                                  -<br> Motor vehicles                                            -                                         -                                              -                                  -<br> Other                                            -                                         -                                              -                                  -<br>                                          -                                         -                                              -                                  -<br>                                          -                                         -                                              -                                  -<br>                                           -                                         -                                              -                                   -<br> Sub total                                        -                                      -                                       -                                 -<br>Liabilities<br> Accounts not yet paid                                            -                                         -                                              -                                  -<br> Expenses incurred but not invoiced                                            -                                         -                                              -                                  -<br> Subscriptions not yet paid                                            -                                         -                                              -                                  -<br> Loan - detail                                            -                                         -                                              -                                  -<br> Other liabilities                                             -                                         -                                              -                                   -<br> Sub total                                        -                                      -                                       -                                 -<br>Contingent liabilities and future obligations<br>Signed by one or two trustees on behalf of all the trustees<br>Signature Print Name Date of approval<br>**----- End of picture text -----**<br>


