Highway Ministries Statement of Account for the year ended 0110712018 Income Expenditure Balance on hand Gifts Donations Charity Shop Bank Interest Refunds £52,528.34 £40.00 £45.00 £500.00 £39.72 £143.69 Rent Charity Shop Power Nl Vehicle Expenses Christian Literature Vehicle Insurance Building Insurance Nl Water Travel Expenses Gifts To Others 02 Musical Equipment Advertising Website £4.800 £77.28 £285.61 £550.18 £87.54 £1,700.00 £669.00 £135.02 £2,035.37 £50.00 £158.05 £543.41 £68.99 £196.58 Balance on hand 0110712018 £41,939.72 Total £53.296.75 Totsl £53,296.75
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