AAVWG
STATEMENT OF ACCOUNT
202412025
INCOME
EXPENDITURE
Bank Charges
AGM ￿pper
Membershlp fees
575.(Kl
Monthly Raffles Income
Old Soldier5 Day Raffle
Donations
648.17
328.(K)
Insuran
262.(MJ
Raffle Prizes
Raffle Tl¢kets
Suppe
371.88
73.60
Grant
Mountnorrts supper
Hamiltonsbawn Sifver Band
Hymn Sheetsliwtationslorder of
ServicelP05ts8e Stamps
50.
99.00
Old Soldlers Day Meals
OSD Venue
OSD Music
1680.
130.0)
210.C(J
Harp & Crown Ma8azine prfntlng
H&C paper
H&C Eftvelopes
H&C Postage Stsmps
171.60
66.41
19.74
Goldstar Coaches (Omagh Tripl
Stewart Electrfcal (Stalned Glass
Wlndow Ib8htin8)
400.00
DW Stone Iname added marfole plaque
Mountnorrlsl
Sub Total
Openln8 Balance Sep 24
5651.17
7296.64
Sub Total
Cash in Hand Jul 25
4907.21
361.30
Cash in Hand Sep 24
Total
158.61
13106.42
Balance of Account Jul 25
Total
7837.91
13106.42
Signed .....
N Baird
Si8ned
Slgned
S Burro
J Hammerton
Chairman
Secretary
Treasurer