of Belfast Grand Black Cha
Benevolent Fund
ter
Aprll 2022 -march 2023
INCOME
EXPENDITURE
Preceptory Subscriptlons
Donations
Interest (net)
Cash transfer from inv income
2700.00
2965.00
51.21
20.000.00
Grants
Bank Charges
Investment Management Fees
Miscellaneous Expenditure
21000.00
107.18
5840.00
220.00
Total Expentlture
Surplus for the Year
27167.18
1450.97
Total Income
25716.21
Total Expenses
25716.21
balance sheet as of 31st March 2023
ssets
Dansk Bank Nol Account
Dansk Bank No2 Account
Investment income at year end
investment holding
Total
9112.00
27125.00
9218.00
758621.00
804076.00
Total assetts at 31st rnarch 2022
Add Surplus fot year
805526.97
-1450.97
804076.00
Prepared from the Books, receits and vouchers supplied by Mr
Ronald Walker, Cerified and agree by
Alan Mclntosh
Chairman