Stewartstown Amateur Dramatic Society
Financial Accounts
For the year end 31st March 2025
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Balance on 1st April 2024
£3844.37
Opening Balance:
£38.4A
Income from 1st April 24-3 1" March 25
Expenditure from 1st April 24.3 1st March 25
£2&&99.5_4
Balance on 31" March 2025
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Income:
Sponsorship
Membership
Ticket Sales
£2975.00
£1520.00
£21,368.80
Total Income
enditure:
Insurance
£770.59
Scripts
SDA Rent
£900.00
£4642.00
Costumes
£935.00
Electricity
Director Salary
Water Rates
£963.58
£2000.00
£470.31
Monteith Audio visual
£11.980.00
£2500.00
Music/Band
McNeice Hall hire
£400.00
Props/Materials
Advertising
Fees
£2476.06
£560.00
£2.00
Total Expendxture
Balance on 31st March 2025
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Signed by:
LX
Date: .-----
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