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2025-03-31-accounts

4th Bangor Group Accounts Income and Expenditure Account for 12 months ending 31st March 2025

Income £
Balance at 1/4/24 - current 2,901
Cash on Hand at 31/03/2024 215
Bank Interest 7 7
Membership donations 5,126
Programme Income 2,935 2,935
EA Grant 2,000
Camp 2023 600 600
Camp 2025 130 130

Expenditure

Membership Hall Donation ( For use of Hall) Programme activity Bank charges Camp 2024 Programme Equipment

Balance at 31/3/25 - current Cash on Hand at 31/03/2025

13,914

Chair signature Colin McLenaghan Date 15/05/2025

£

3,948 - 3,387 35 796 453 5,295 - 13,914