Statement of Assets & Liabllities- Year Ended 31$¢ March 2022 T(rtal 2022 Total 2021 Funds £ Funth £ Fllnlts £ Funds Cash ai Bank 31 03 21 Surplus (defiat) rend Cash at Bank 31 03 22 4.709.46 4709.46 SS54.05 47 4A¥7 t844S9) 4.714.13 4714.13 4,709.46 Bank & Cash Balances Bank Current Account 4.714.13 4.709.46 5.453.60 C2mping Sheltrr Tolal Approved by the Trustees on 1st May 2022 and signed on their behalf b. Amy Cushley lanlce Cushley (Leader In Charge & Chalr) (Treasurer)
Statement of Receipts & Payments- Year Ended 31si March 2022 T(1 2022 Trtal 2021 . Fwmls £ Funds £ Donations Grants (5EELB & EA Wlnter Payment) Fundrdi*J Appe31s Bank Intertst 4.67 4.67 5.41 150.00 Membershipl Subscrlptions Camps/ Outings/Badges 4.67 4.67 155.41 Census Fees Camps/ Outin Training Fees./Charlty Donations Activities/ Craft & Badges Asset PUrChe i.000.00 Trtal Payments 1,000.00 Net Recelpts (PaymeDts) ash at Bank & Ill 4.67 4.67 {844.59) 4.714.13 4.714.13 4,709.46