WE DISCOVER., IVE. GROW
Girlguiding
69TH BLOOMFIELD BROWNIES
1ST FEBRUARY 2022 TO 31ST JANUARY 2023
2023
2022
INCOME
Subscriptions
Gift Aid
Fundraising activities
Gift from Church
Interest on deposit account
Dividend on investments
Charitable trading receipts
Rents from land & buildings
Refund of subscriptions
Grant received
TOTALS
1,150
215
631
29
1,200
1,860
1,200
2.565
EXPENSES
Craft materials
Campsloutingslevents
Badges, books and prizes
Annual subscription
Donations
Gifts
other costs
TOTALS
223
308
268
1,218
170
308
240
301
118
1,137
2,018
Surplus or (deficit) for the year
547.45
£723.02
BalanGe5 brought forward
Bank-1
Bank-2
Cash
£1,760.04
£0.00
£160.00
£1,920.04
£1,197.02
£0.00
£60.00
£1,257.02
Balances in hand at
year-end
Bank-1
Bank-2
Cash
£1.957.49
£0.00
£509.70
£2,467.19
£1.760.04
£0.00
£160.00
£1,920.04
Assets and Liabilities: In addition to the above cash balances the unit has equipment to the value of
£0.00
and there are no olher assets or liabilities.
Prepared by:
DAWN SIMONS
Date: 2111112023
Reviewerfs Certificate.. The above statements agree with the records and vouchers of 69th Bloomfield Brownies
for the financial year ended 31 January 2022.
Reviewed by:
SIOBHAN SPRATT
Date: 2111112023