Period ending 31-Aug 2024 (1-Sept-2023 to 31-Aug-2024) 

|**Income:**<br>**Restricted Income:**<br>Grants<br>**Unrestricted Income:**<br>Fees<br>Fundraising<br>Other<br>**Total Income:**<br>**Expenditure:**<br>Salaries (incl. contribu�ons)<br>Rent<br>Electric<br>Catering (Incl. Subscrip�on costs)<br>Professional fees (incl. Early Years, GRTL Resources)<br>Insurance<br>Oil<br>Resources/Special Events (Gradua�on, Easter, Christmas, St Patricks<br>Days etc)<br>Training<br>Telecommunica�on (Telephone, Internet, Printer Services,<br>Equipment Rental)<br>Bank Fees<br>Pest Control<br>Uniforms<br>Miscellaneous (cleaning supplies, general resources, postage, ofce<br>supplies etc)<br>**Total Expenditure:**<br>**Surplus/Defcit for the fnancial year:**|71,070.32<br>24,334.00<br>7,215.01<br>198.43<br>**£102,817.76**<br>87,173.79<br>2,100.00<br>1,557.24<br>811.24<br>2,609.40<br>5,82.18<br>701.00<br>1,075.00<br>829.00<br>2,818.18<br>407.62<br>337.21<br>210.00<br>1,223.26<br>**£102,435.12**<br>**£382.64**|
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Accoun�ng for previous year 01-Sep-2022 to 31-Aug 2023 are available in previous repor�ng to the Northern Ireland Charity Commission 

