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
4￿7
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 PUrCh￿e
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