Causeway Borough of Santuary Receipts & Payments Account 1st Aprll 2024 to 31st March 2024 Receipts 2024 2023 Balance as at 01 Apr 23 111.08 576.22 Grants: Donations Irish society Purchases 500.00 1920.00 iQO.(KJ Total Income Recelved 2420,00 loo.00 Expenditure General Expenses Ramandan Expenses Christmas Gifts {Refugeesl Migrant EdtatIonal Costs Mu5ilm Soclety Transport Costs Bank Chafges & Interest 250.00 I.00 215.14 1920.CK) Total Expendfture 1920.00 565,14 Surprus of Income/E¥pendlture 500.00 .465.14 Account Balance as at 31st March 2024 611.08 111.08 Causeway Borough of Santuary Recelpts & Payments Account 1st Aprll 2024 to 31st Mar¢h 2024 Balance Sheet as at 31 March 2024 Current A55ets Bank Debtors 2024 611.08 0.00 611.08 2023 111.08 0,00 111.08 Credltors 0.00 0.00 Net Current Assets 611.08 111.08 This income and expenditure report has been prodvced from the Information supplied by the committee y Borough of nctuary Derek Powell Finance Offlcer Causeway Rural & Urban Network Yvonne Boyle Chair Robert Ritchle Trustee
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