Schomberg Fife and Drum
Statement of Financial Activities
Year Ended 31 March 2025
Opening Balance as at
1st April 2024
£3.620.97
Incoming Resource5
Grants
Performance Fee5
Donations
Facilitation Fees
£2,504.80
£2,604.19
£1,050.00
£1,152.60
£7,311.59
Resources Expended
Bank Fees
Pro8ramme Costs
Equipment
Tutors
Rent
Misc
Loan Repayments
£71.91
£2.013.40
£1,070.19
£4,012.10
£280.00
£320.00
£500.00
£8,267.60
Net Outgoing Resources
£956.01
Closing Balance as of 31st March 2025
£2.664.96
Treasurers Report
l approve the income and expenditure contained herein and confirm I have
made avaliable all information for its preparation.
5i8ned'.
Dated-