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2023-10-01-accounts

Friends of Mount Saint Michaels PTA

Accounts for the Year Ended 1 October 2023

Charity No. 104257

Income for the period 02/10/22 – 01/10/23

Gross Interest Received £22.30
Parent Pay £2,327.65
Fall Lotto - Cash £190
Spring Lotto - Cash £90
Bingo Sales – Cash £360
Halloween Disco – Cash £180
Fun Run Sales - Cash £718
Spring Lotto – cash £110
Spring Lotto – Cash £300
TOTAL £4,297.95

Expenses for the period 02/10/22 – 01/10/23

Tuck Shop Stock £400
Parish Centre Fees (Bingo and Fun Run) £140
Fun Run Medals £350
Spring Lotto – Prize Money £550
Bingo Machine £192
TOTAL £1,632
esources given to the school for the period 02/10/22–01/10/23
Bingo Machine £192
Fun Run medals £350
TOTAL £542

Resources given to the school for the period 02/10/22 – 01/10/23

Bank Account
Bank Balance as at 2 Oct 2022
Add: Lodgements in bank
Add: cash in hand
Less: cash expenses
Balance
Balance at Bank at 1 October 2023
Add: Outstanding Lodgements
Reconciled Balance
£2,349.95
£1,948
£5,223.31
£4,297.95
(£1,632)
£7,889.26
£7,573.26
£316
£7,889.26

FINANCIAL BREAKDOWN FOR FRIENDS OF MOUNT SAINT MICHAELS PTA – YEAR ENDING 1 OCTOBER 2023

DATE DETAILS EXPENSES INCOME Bank Balance
1.10.22 OpeningBalance £5,223.31
7.10.22 Parent Pay 511.15 5734.46
11.10.22 Parent Pay 42.34 5776.80
19.10.22 Parent Pay 89.61 5866.41
1.11.22 Parent Pay 128.01 5994.42
8.11.22 Parent Pay 226.33 6220.75
15.11.22 Parent Pay 188.09 6408.84
22.11.22 Parent Pay 147.71 6556.55
29.11.22 Parent Pay 142.78 6699.33
6.12.22 Parent Pay 25.61 6724.94
13.12.22 Parent Pay 19.69 6744.63
9.1.23 Parent Pay 30.54 6775.17
21.3.23 Parent Pay 4.93 6780.10
28.3.23 Parent Pay 90.60 6870.70
3.4.23 Parent Pay 22.30 6893.00
4.4.23 Parent Pay 93.56 6986.56
12.4.23 Parent Pay 96.32 7082.88
18.4.23 Parent Pay 35.45 7118.33
25.4.23 Parent Pay 129.00 7247.33
2.5.23 Parent Pay 200.88 7448.21
10.5.23 Parent Pay 29.55 7477.76
23.5.23 Parent Pay 26.60 7504.36
31.5.23 Parent Pay 4.93 7509.29
6.6.23 Parent Pay 9.78 7519.07
13.6.23 Parent Pay 4.93 7519.07
20.6.23 Parent Pay 4.93 7528.93
27.6.23 Parent Pay 14.78 7543.71
11.7.23 Parent Pay 29.55 7573.26
19.10.22 Fall Lotto 190
31.10.22 Halloween Disco –
Cash
180
31.3.23 SpringLotto – cash 110
30.4.23 Fun Run Sales
(Cash)
718
30.4.23 Tuck Shop Stock –
Invoice 1911
400
20.5.23 SpringLotto – Cash 300
31.3.23 Bingo Sales – Cash 360
31.5.23 Parish Centre Fees
(Bingo £100 and
Fun Run £40)
140
31.5.23 Fun Run Medals –
Invoice 55
350
31.5.23 SpringLotto - Cash 90
31.5.23 SpringLotto – Prize 550
Money (cash)
31.5.23 Bingo Machine
(invoice on file)
192
Total 1,632 1,948 O/S Lodgement
£316
1.10.23 Closing Balance
Per Bank
£7,573.26
Add: O/S
Lodgements
£316
Adjusted Balance
at Bank
£7,889.26

Note: Parent Pay transactions relate to income received by the PTA from fundraising events held during the year. This includes, for example, movie night, bingo, family fun run and lotto draws.

STATEMENT OF ASSETS AND LIABILITIES

As a Parent Teacher Association. One of our key purposes is to supplement the finances of Mount St Michael’s Primary School by providing monies from fundraising events to renew and/ or replace teaching/ learning resources. We therefore do not hold any assets or liabilities outside of the monies held in the Friends of Mount St Michael’s PTA bank account. Currently, at the end of this financial year of 01.10.23, the reconciled bank balance for Friends of Mount St Michael’s PTA stands at £7,889.26. This money is lodged/ held in the First Trust Bank and accessed by 2 out of 3 signatories’ at any time when needed. Once purchases have been made, Mount St Michael’s Primary School becomes responsible for the upkeep of resources.

Compiled by: Catriona O’Connor – Treasurer Contact Details: Mount Saint Michael’s Primary School 3 Craigstown Road Randalstown BT41 2AF Telephone: (028) 9447 2666

On behalf of Friends of Mount St Michael’s PTA