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Financial Statements
Statement of Receipts and Payments - Year Ended 31 March 2025
| Notes | Total 2025 Total 2024 £ £ Unrestricted Funds Unrestricted Funds |
|---|---|
| Receipts Voluntary Income & Gift Aid Bank Interest |
78658 77774 263 170 |
| Total Income 2 |
78921 77944 |
| Payments Cost of generating funds 3 Charitable Activities |
26854 29790 49912 40402 |
| Total Payments | 76766 70192 |
| Reconciliation 31/03/2025 Cash in Bank 31.03.24 Surplus(deficit) thisyear end Cash in Bank 31.03.25 |
25417 17665 2155 7752 |
| 27572 25417 |
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