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-.