Antrim Communlty Church For year ending 31 December 2023 Sixmile Opening Balances: A/c 908 A/c 013 A/c 583 A/c 605 A/c 110 A/c 591 Cash 27344.49 Charitable Contributions 22930.25 Room Hire 9049.30 Flowers & Gifts 13015.43 Graphite Securites 5136.47 Sundry 2010.37 Insurance 280.69 N.1. Water 79767.00 Accountany (3 years) Bank Charges 0.00 552.00 50.00 346.30 98.40 78.05 282.55 700.00 33.37 2140.67 Weekly Offerings Building Fund Loose Offering Tuesday Club Our Daily Bread Electricity Rebate Bank Interest received 0.00 0.00 0.00 0.00 Closing Balances 908 13 583 605 110 591 28514.94 23496.62 7268.53 13123.90 5226.35 2027.12 0.00 79657.46 79.21 1951.92 2031.13 Cash 81798.13 81798.13
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