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2022-03-31-accounts

18T HILDEN SCOUT GROUP 31 March 2022 Education Authority MorTbter5hip Fees Eworer Reg Fees Fun&[81￿1 Activity Fees Inc Camp Interest Scout Recovery Fund Grants TSA Ch81ity Am8zon Eurr 2tyJO 00 525.00 930.00 579.10 495.1 19KI.00 3_92 1550.fA) 928 1150.00 24.69 12e3.11 14881.18 STRIPE Exp•ndilu Edu¢alK)n Aut1￿ (Reni} Camp 1125.00 7.36 1 ICKJ.￿) 21.20 ASsouat￿n C•mp Refund Pahl (Camp Cancel Onllne Man4er Dvke of EdIn1￿[gh Scheme (Fees & HKI E PruJr8mme Badoe W 88nk Fees Total I9￿.00 142.50 S22.49 1369.11 2S.79 14ZJ4.25 294120 Su￿luSI-()effiLa1 Balance Bffi Balance C 1097.72 3122.74 4220.48 4220.46 4867.39 Continuing Opethns The Slslemenl of Financial AL#ivib85 hos ten F¥epa￿l on th? ba5Bth&t 8N OF¢rai are continuiThJ 0￿ratIO[￿. Totsl R•cogni••d Gains and Los•s There are no gains or losses thrthan thrr p•i the SIalern￿ ol Fi)K481 Aclivit*e5. HIs￿1cal Cost The resutts 8s dWosgJ in the Statemrt of Fin8nc•d Adivttw. aThJ the 5UWF4u5 forlhe

1ST HILDEN SCOUT GROUP BALANCE SHEET 31 March 2022 2022 2021 FIXED ASSETS Tangibl8 Assets o. CURRENT ASSETS Cash at Bank Cash in Hand 7.39 4220.46 4a67.39 CREDITORS SSELB 4220.46 O.(M) TOTAL ASSETS LESS CURRENT LIABILMES 7.39 4220.48 RESERVES General Rese 4867.39 4220.46 Signed Paul Clydesdale Group Scout Leader