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Page 2 of 4.<br>Page 1 of 4. LAMB OF GOD COMMUNITY<br>LAMB OF GOD COMMUNITY INCOME AND EXPENDITURE ACCOUNT<br>YEAR ENDED 5 APRIL 2023<br>2023 2022<br>INCOME<br>ACCOUNTANTS' CERTIFICATE<br>Gift Aid 7,904 8,675<br>In accordance with the instructions given to us, we have prepared, without DonationsBank Deposit Interest 1,030128 45,98516<br>Fundraising 2,126 1,403<br>carrying out an audit, the Income and Expenditure Account and Balance Community Meeting 1,855 . 1,955<br>Flex Trust Grant - 5,000<br>Sheet from your accounting records and from information and explanations Grant:Early Years 850 2,700<br>Creche Receipts 61,865 46,733<br>supplied to us. 75,758 112,467<br>LESS: EXPENDITURE<br>Salaries 62,706 61,400<br>TAX & PAYROLL BUREAU LTD Telephone Charges 716 733<br>ACCOUNTANTS AND ADVISORS Property Insurance 3,507 2,880<br>23 DOWNVIEW PARK WESTBELFAST BT15 5HP DonationsRepairs and MaintenanceBank Charges 6,561800210 1,4505,249170<br>Payroll Charges 408 340<br>22 May 2023 Heat & Light 5,646 2,555<br>Accountancy Charges 405 405<br>Depreciation: Buildings 1,400 1,400<br>Depreciation: Stair lift 15 15<br>82,374 76,597<br>EXCESS OF EXPENDITURE OVER INCOME -   6,616 35,870<br>**----- End of picture text -----**<br>



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Page 4 of 4. Page 3 of 4.<br>LAMB OF GOD COMMUNITY LAMB OF GOD COMMUNITY<br>FIXED ASSETS SCHEDULE BALANCE SHEET<br>YEAR ENDED 5 APRIL 2023 AT 5 APRIL 2023<br>2023 2022<br>FIXED ASSETS (See Page 4) 180,341 175,639<br>Office   Land & Stair   Total<br>COST Equipment   Buildings Lift CURRENT ASSETS<br>At 6 April 2022 8,652 190,373 5,275 204,300 Cash at Bank 44,450 58,762<br>Additions - 6,117 - 6,117 Bank Deposit 24,683 21,613<br>8,652 196,490 5,275 210,417 69,133 80,375<br>CURRENT LIABILITIES<br>DEPRECIATION PAYE 1,079 1,003<br>Accruals 405 405<br>At 6 ACharge for year for additionspril 2022 8,602- 141,400,884 5,17515 28,6611,415 1,484 1,408<br>8,602 16,284 5,190 30,076 NET CURRENT ASSETS 67,649 78,967<br>247,990 254,606<br>NET BOOK VALUE<br>At 5 April 2023       50 180,206 85 180,341 FUNDS<br>At 5 April 2022       50 175,489 100 175,639 ACCUMULATION ACCOUNT:Balance at 6 April 2021 254,606 218,736<br>Add:Excess of Expenditure over Income -     6,626 35,870<br>Capital introduced - -<br>247,980 254,606<br>**----- End of picture text -----**<br>


