HEADWAY IRELAND
INCOME & EXPENDITURE ACCOUNT
Up to 31 December 2025
8alance as of 1st January 2025
2.362.35
INCOME
MembershiplDonations
Bank Interest
769.60
2.74
Total Annual Income
772.34
EXPENDITURE
Cheque 200407 (314 Rev A Boucher- Dinner)
Cheque 200405 (715 Methodist Publishing Co)
Cheque 200406 (917 Rev D Bru￿ Spring Meeting)
Bank Fees
71.00
85.00
100.00
33.49
Total Annual Expenditure
289.49
Balance as of 31 December 2025
2,845.20
SIGNED:
tK& Q•
AUDITOR:
03