st
st
North Fermanagh Rangers Accounts l April 2023- 31 March 2024
Opening Balance
01/04/23
1268.68
INCOME
OUTGOINGS
Lodgements
571.50
bank fees
17.93
EA grant
1491.00
Unit activities
628.09
Interest
1.62
Gulde Association
616.00
Room hire
150.00
Equipment
500.93
Transport
500.00
Total
3332.80
Total
2412.99
Closing Balance
29103123
919.85
Accounts reviewed by
Date: i&),ILs