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2026-03-31-accounts

Bangor Group RDA Treasurer's Report 2025/2026 We started the financiat year with a balance of £1869.27 in the Current Account. The total closing balance in the CA on 31st March 2026 was £2419.22 Expenditure amounted to £1745.05 made up as follows- Pony Hire £ 1195.00 Insurance & RDA Membership £ 472.00 Bank Charges £ 22.05 Miscellaneous (mounting block/boots/engraving} 56.00 Income amounted to £2295.00 made up as follows- Fundraising (Steve Amos) Coffee Morning (Marie/Tanya) Quiz Night Probus Donation Loose Change Collectton £ 475.00 £ 400.00 £ 800.00 £ 560.00 £ 60.00 Our income exceeded our expenditure by £ 549.95 If there are any enquiries about the finances, all items of receipt and expend(ture are fully recorded in the BILie File. Shiona Beattv Treasurer 30th April 2026