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2025-11-30-accounts

Muintir na Mointeach Ltd

Income & Expenditure Account
for the year ended 30 November
SLA Mid Ulster Council
Community Venue Grant MUDC
Ele4ctricity Sold to the Grid
Coffee Shop
Hall Users
Grant for Activies Use of Hall
Jujitsu Club
Bowling Club
Walking & Keep Fit Project
Dancing Class
Drama Class - Children
Jitters Class
Derrylaughan GAC
Thursday Chat Room
Yoga
Art Class
Family Hire
Commercial Users
Sundry Income
Gross Income
-
Less Expenditure
Insurance
Ground Rent
Hall Maintenance & Repairs
Cleaner Wages & Materials
Heating Oil
Electricity
IT & Broadband Charges
Statutory Fees
Bank Charges
Office Expenses
Defibulator Expnses
Boat Running Costs
Training Courses
Grants to Hall Users
Sundry Expenses
Income over Expenditure
(before Depreciation & Amortisation)
Add Capital Grants amortised
Less Depreciation
Net Income(-Deficit)
2025
3,126
3,625
118
1,047
-
1,020
400
150
660
930
100
145
580
-
1,075
89
160
5,309
13,225
3,965
1,144
2,555
1,295
1,362
547
69
178
79
300
400
1,203
212
13,309
-84
21,901
21,818
-22,153
-336
3,126
2,500
875
826
5,292
1,035
720
825
-
210
460
300
910
869
50
3,357
200
2,090
1,020
1,015
1,048
570
99
199
1,119
252
2024
17,999
17,999
10,970
7,029
20,342
27,371
22,233
5,137

Muintir na Mointeach Ltd

Directors' statements required by Sections 475(2) and (3) for the year ended 30 November 2025

In approving these abbreviated accounts as directors of the company we hereby confirm:

These accounts have been prepared in accordance with the special provisions of Part 15 of the Companies Act 2006 and the Financial Reporting Standard for Smaller Entities (effective April 2008) relating to small companies.

The accounts were approved by the Board on 14 February 2026

and signed on its behalf by: Kevin Quinn

Chairman