Fibromyalgia Support N I
Beresford Business Centre
2 Beresford Road
Coleraine
BT52 IHE
NIC 105015
Charity Accounts for the Year Ended:
31" March 2023
Prepared by Stephen White M.l.A.T.I

FIBROMYALGIA SUPPORT
RECEIPTS & PAYMEKfs A
RTH
YEAR ENDED 31ST MARCH 2
RECEIPTS
DONATIONS
£ 301.00
MEMBERSHIP FEES
£ 163.00
CATHE GRANT
£ I,000,00
REFUND TICKETMASTER
£ 520.CKI
INTEREST
£ 225.00 £ 2,209.00
PAYMENTS
ADMIN COSTS
£ 1,656.00
VEHICLE & TRAVEL COSTS
£ 1,685.00
EVENT COSTS
£ 137.00
PREMISES COSTS
£ 5,106.00
VOLUNTEER EXPENSES
£ 1,798.IX)
ACCOUNTANCY FEES
£ 275.IK)
BANK CHARGES
46.CK)
MISCELLANEOUS EXPENSES
£ 594.00
REPAIRS
£ 257.00 £11,554.00
SURPLUS / DEFICIT FOR THE YEAR
-£ 9,345.00

FIBR
MYA
GIA SUPPORT NI
STATEMENTOF
LIABILMES
FOR THE YEAR ENDED 31ST MAR
02
FIXED ASSETS
OFFICE EauipMENT & FIThINGS
31st MARCH 2022
£ 2,349.00
CURRENT ASSETS
DANSKE BANK ACCOUNT
£ 32,018.00
DANSKE RESERVE ACCOUNT
£ 16,552.00
DEBTORS
41.00 £ 48,611.00
NET ASSETS
£ 50,960.LM)
CAPITAL & RESERVES
REVALUATION RESERVE B/F
£ 60,305.00
DEFICIT FOR THE YEAR
-£ 9,345.00
REVALUATION RESERVE CIF
£ 50,960.(NJ

Fibromyalgia Support N. I.
Beresford Business Centre
2 Beresford Road
Coleraine
BT52 IHE
Margaret Peacoc
Chairperson
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Debbie Davi
Secretary
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