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