Statement of Financial Activities for the year ending 15-9-15
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Opening Balance @ 16-9-14
Incoming:
Donations £50.00
Training £198.65
Funding £0.00
Total £248.65 £248.65
Expenses:
Bank Charges £20.37 £20.37
Closing Balance @ 15-9-15 £228.28
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Notes:
No Expenditure in Sept, Oct, Nov, Dec, Jan, Feb, Apr, May, July & Aug.
Expenditure in Mar & Jun is bank charges of £10.09 and £10.28 respectively.
Statement of Financial Activities for the year ending 15-9-16
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Opening Balance @ 16-9-15 £228.28
Incoming:
Donations £0.00
Training £0.00
Funding £0.00
Total £0.00 £228.28
Expenses:
Bank Charges £9.34 £9.34
Closing Balance @ 15-9-16 £218.94
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