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STATEMENT OF ASSETS AND LIABILITIES
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ANTRIM GROUP YEAR TO 31 DECEMBER 2024
Cash at Bank 01101124
£10579.11
Cash at Bank 31112124
£10040.62
Other Asset5
New boots depreciated since 2020
£12.22
Table depreciated since 2020
£58.49
Boots depreciated since 2021
£17.36
New equipment (boots. brushes, lead rope) deprecialed since 2022 £48.10
Equipment microphone depreciated since 2023
£63.99
Liabilities
£0.00
TOTAL ASSETS
£10240.78
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Approved by the Trustees on 6 May 2025 and Signed on their behalf by
44d É.E)
Rosemary Caiville
Hazel Winning
Treasurer
Chairperson