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