ARMOY
PRIDE OF PARK F.B.
Accounts
2024-2025

PRIDE OF THE PARK FLUTE BAND
RECEIPT & PAYMENTS ACCOUNTS
TH
FOR THE YEAR ENDED 30 SEPTEMBER 2025
RECEIPTS
FUNDRAISING
3,994
DAERA- MICRO CAPITAL GRANT
3,789
ACNI FUNDING
8,600
CC & G FESTIVAL FUND
2,000
MINIBUS INCOME
660
DRUMS RECEIPT
1,000
PAYMENTS
FESTIVAL EXPENSES IINC DEPOSITI
3,750
MINIBUS COSTS
1,040
CATERING
1,364
ACCESSORIES
368
BANK CHARGES
54
SURPLUS FOR THE YEAR
13

PRIDE OF THE PARK FLUTE BAND
STATEMENTOFASSETS & LIABILITIES
AS AT 30 SEPTEMBER 2025
FIXED ASSETS
INSTRUMENTS & UNIFORMSASAT 30 SEPTEMBER 2024
31,555
ADDITIONSATCOST
42,165
FIThINGS & EQUIPMENT AS AT 30 SEPTEMBER 2024
6,345
ADDITIONS AT COST
8,661
SHED ETC AS AT30 SEPTEMBER 2024
2,710
MOTOR VAN AS AT30 SEPTEMBER 2024
2,500
CURRENT ASSErs
CASH AT BANK
8,343
CASH IN HAND
360
NEf ASSETS
CAPITALS & RESERVES
CALLED UP SHARE CAPITAL
REVALUATION RESERVE
51,266
RECEIPT & PAYMENT ACCOUNT
13,467

PRIDE OF THE PARK FLUTE BAND
TH
RECONCILIATION STATEMENTS AS AT 30 SEPTEMBER 2025
BANK ACCOUNT
OPENING BALANCE
7,801.84
ADD: LODGEMENTS
17.639.38
LESS: DEBITS
17 098.02
RECONCILED CLOSING BALANCE
8343.20
CASH ACCOUNT
OPENING BALANCE
360.29
ADD: CASH IN (NOT LODGED)
2,403.94
LE.SS: DEBITS
2 403.94
RECONCILED CLOSING BALANCE
360.29
Tracey McAuley
IIAB 5001264021
John Murray
Signature".
Signature:
Date..
Dilo9/2L
Date:
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