The SHARE Group Statement of Financial Activities Year Ended 31 March 2025 Opening Balance as at 1st April 2024 £4.965.23 Incoming Resources Grants Loans Fundraising Performances £1.250.00 £2,000.00 £395.00 £500.00 £4,145.00 Resources Expended Bank Fees Facilitators Equipment Rent Loan Repayments £54.42 £3,200.00 £850.00 £300.00 £4,250.00 £8,654.42 Net Outgoln8 Resources £4,509.42 Closin8 Balance as of 31st March 2025 £455.81 Treasurers Report l approve the income and expenditure contained herein and confirm I have made avaliable all information for its preparation. Signed: Dated-.
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