The Percy French Society Statement of Financial Activities For the year ended 30th September 2024 Unrestricted Funds 2024 Unrestricted Funds 2023 Note Income Members Account Members Events Subscriptions Bank Interest Received Notelets and Books Sale of prints 10.880 1.446 179 70 9.676 1,221 73 377 Totsl Income 12.755 11.347 Ex enditure Members Events Entertainment Donation for use of room Roscommon Visit Printing - The Jarvey Printing- Book Purchase of prints Postage and stationary Independent Examination Fee Sundry Expenses Insurance: Public Liability Depreciation Bank fees 9.957 8.912 311 100 814 433 360 1.155 150 810 150 257 i(x) 378 209 222 Total Expenditure 13.172 12.854 Net Deficit/Surplus in funds 417 -I.S07 Reconciliation of funds Total furKls brought forward Total funds carried forward 18.789 18.372 20,296 18.789
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