The SHARE Group Statement of Financial Activities Year Ended 31 March 2024
Opening Balance as at 1st April 2023 £1,286.07
Incoming Resources
| Grants Loans Fundraising Performances Resources Expended Bank Fees Facilitators Equipment Rent Event Costs Net Incoming Resources Closing Balance as of 31st March 2024 |
£9,340.00 £4,250.00 £903.50 £450.00 £14,943.50 £114.34 £5,380.00 £1,180.00 £1,290.00 £3,300.00 £11,264.34 |
|---|---|
| £3,679.16 | |
| £4,965.23 |
Treasurers Report
I approve the income and expenditure contained herein and confirm I have made avaliable all information for its preparation.
Signed: ______ Dated: ______