## CADDY AND DISTRICT COMMUNITY GROUP 

## NIC102487 

FINANCIAL REPORT 1[st] May 2024 – 30[th] April 2025 

Opening Balance £7.17 Income £6900.00 Total £6907.17 Expenditure Maintenance £729.74 Insurance £893.28 Heating Oil £1151.11 Water £42.59 Electricity £318.41 Lease £500.00 Total £3635.13 INCOME £6907.17 EXPENDITURE £3635.13 BALANCE £3272.04 

Trevor Luke Wendy Kerr Secretary Auditor: Impact Network NI 

WE HAVE NO ASSETS OR LIABILITIES 

