Jesus Saves Bible Church
Statement of Receipts and Payments- Year ended 31st December 2024
Unrestricted Restrlcted Endowment
Total
Funds
Funds
Funds
2024
Recei
Voluntary Recelpts
Donations & Gift Aid
41,834
41,834
41,834
41,834
ments
Governance Costs
37,716
37,716
Grants & Donations
Asset & Investment Purchase
Purchase of Equipment
279
279
Total Payments
37,995
37,995
Net Receipts/lpayments)
3,839
3,839
Transfer to/lfroml funds
Surplus/(deflclt) for the year
3,839
3,839
Reconclllation 31.12.24
Cash at bank & in hand 01.01.24
Surplus/ldeficitl this year end
Cash at bank & in hand 31.12.24
4.911
3,839
8,750
4,911
3,839
8,750

Jesus Saves Bible Church
Statement of Assets and Liabilities as at 31 December 2024
Unrestricted Restricted Endowment
Total
Funds
Funds
Funds
2024
Funds Reconcillatlon
Cash at bank & in hand 01.01.24
Su rplus/ldeficitl this year end
Cash at bank & in hand 31.12.24
4,911
3,839
8,750
4,911
3,839
8,750
Bank & Cash Balances
Bank Current Account
Cash In Hand
1,851
6,899
8,750
Approved by the trustees on /
and signed on thelr behalf by:
Chair
Treasurer

Jesus Saves Bible Church
Year ended 3111212024
Recei
endlture
Offerings and Gifts
Gift Aid
Bank Interest
30,889
10,900
45
Gifts
Minister Payments
Insurance
Println& Books & Ststionery
Utilities
Motor Expenses
Bank Fees
Telephone
Wages
Accountancy
New Church Phone
2,887
1,900
937
371
2,014
4,301
124
650
23,400
978
155
41,834
Certlfied Correct
Treasurer
I certify that the above cash account to be a true and correct record of the income and expenditure
for theyear ended 31 December 2024 according to the records and explanations given.
Kim Rainey
M.B. McGrady & Co
Chartered Accountants