BROOKLANDS GOSPEL CENTRE
Statement of Receipts and Paymènts - Year ended 5 April 2024
2024
2023
Receipts
Offerings & Gifts
Miscellaneous
Gift Aid Tax Refund
26.266
36,958
610
3,952
3.401
Total
qv 29.678
41,520
Payments
Missionary Gifts
other Gifts
Outreach Activities
utilities and Property Insurance
RepairslBuilding Works
General Expenses
8,150
2,165
1,319
6,447
332
8.505
4,230
613
6.357
12,[￿6
Total
45,479
37.235
SurpluslDeficit for the year
? 4.199
4.285
Opening Bankjcash Balan
Closing Banklcash Balan
33,189
37,388
33.189
ststement of Assets and Llabilities - Year Ended 5 April 2024
Bank Account
Cash in Hand
36.945
443
37,388
33,161
28
33.189
Other Assets
Building (Insuran￿ vaue)
Contents (Insuran￿ Value)
1.833.otMJ
175,OCK)
2,008,000
1.636,000
155.000
1.791,000
Total Assets
1045.388
1,824,189