## **The Reivers Festival Society Statement of Financial Activities Year Ended 31 March 2024** 

|Opening Balance as at|1st April 2023|**£845.39**||
|---|---|---|---|
|**Incoming Resources**||||
|Grants|||£4,450.00|
|Loans|||£2,500.00|
||||**£6,950.00**|
|**Resources Expended**||||
|Bank Fees|||£51.36|
|Facilitators|||£2,250.00|
|Equipment & Costumes|||£1,000.00|
|Printing Costs|||£1,350.00|
|Event Costs|||£2,900.00|
||||**£7,551.36**|
|**Net Outgoing Resources**|||£601.36|
|Closing Balance as of 31st March 2024|||£244.03|



## **Treasurers Report** 

I approve the income and expenditure contained herein and confirm I have made avaliable all information for its preparation. 

Signed: _____________________________________________ Dated: _____________________________________________ 

