|Opening Bank Balance<br>**Income**<br>Tractor Run<br>Easyfundraising<br>Summer Fair<br>Community Foundation Grant<br>**SUMMARY**<br>Opening Balance as at 1st September 2023<br>Total income for the year<br>Total expenditure for the year<br>Closing Balance as at 31st August 2024|10,856.39<br>**Expenditure**<br>7,068.61<br>Bank Charges<br>289.12<br>PTA Membership Fee<br>1,957.25<br>Education Programmes<br>2,000.00<br>SEN Resources<br>Autism Training<br>School Cloud Programme<br>After Schools Clubs<br>Donation to Air Ambulance<br>Smart Screens<br>I-pads<br>Miscellaneous Equipment<br>Sundry Expenses - Prizegiving Flowers<br>Closing Bank Balance<br>**£22,171.37**<br>10,856.39<br>11,314.98<br>14,351.98<br>7,819.39<br>**£22,171.37**<br>**£22,171.37**<br>**Irvinestown Primary School Parent Teacher Association**<br>**Income and Expenditure Report for the year ended 31st August 2024**|60.15<br>140.00<br>4,151.85<br>332.84<br>1,295.00<br>368.00<br>780.00<br>1,200.00<br>3,594.00<br>2,326.64<br>72.00<br>31.50<br>7,819.39|
|---|---|---|
|||**£22,171.37**|
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I confirm that this income and expenditure report is a true reflection of the financial activities of Irvinestown Primary School Parent Teacher Association 

Treasurer Signature: _Mrs G Bradshaw_ Date: 20th March 2025 

