Receipts and Payments Account for the year ended 31st March 2025 

|**RECEIPTS**||**PAYMENTS**||
|---|---|---|---|
|**Opening**Balance in Danske Bank PLC||||
|@ 1st April 2024|**£27,188.75**|||
|**MEMBERSHIP**|**£32,250.00**|**MEMBERSHIP - Capitation & Levy**|**£32,250.00**|
|**DONATIONS (inc FOS)**|**£1,615.00**|**TRAINING**|**£65.00**|
|**DISTRICT EVENTS**|**£2,465.76**|**GRANTS / SUPPORT**|**£1,325.00**|
|**DISTRICT BADGES**|**£932.50**|**DISTRICT BADGES**|**£1,303.65**|
|**DISTRICT TRAINING**|**£0.00**|**DISTRICT TRAINING / EVENTS**|**£1,544.94**|
|**SUNDRIES**|**£69.01**|**SUNDRIES**|**£167.16**|
|||**Closing**Balance in Danske Bank PL|**£27,865.27**|
|||@  31st March 2025||
|**TOTAL**|**£64,521.02**|**TOTAL**|**£64,521.02**|



