## **Colmcille Ladies Choir Accounts for the Year Ended 5 April 2025** 

## Income 

## Expenses 

|Income||**Colmcille Ladies Choir**<br>**Accounts for the Year Ended 5 April 2025**|Expenses|||
|---|---|---|---|---|---|
|Bank Balance b/f   6.4.24||2268.67||||
|Choir Subs|4,750.00||Bank Fees||334.02|
|HMRC Refund|980.46||Choir Accompanist||1,000.00|
|Concert Ist Derry|1,300.00||Gifts Sheila||600.00|
|Donations|650.00||Rent||725.00|
|Deposit Limerick|3,400.00||Belfast trip||6,647.50|
|Derry City Council craft fa|180.00||Donation in lieu||100.00|
|Deposits Belfast|6,390.00||Limerick||3,074.94|
||||Donation to Charity||1,300.00|
||||Miscellaneous Gifts and other cash|misc (cash)|323.80|
|||£17,650.46||||
||||**Total Expenditure**||14105.26|
||||Bank balance as at 5.4.25||5813.87|
|**Total Income**||£19,919.13||||



All income accounts are unrestricted. As at 5 April 2025, there were no outstanding items of income or expenditure. 

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