NAISCOIL SHLIABH GCUILINN FINANCIAL STATEMENTS PERIOD ENDED 30 June 2021
RECEIPTS
| SELB Fees Other Income - Fundraising TOTAL PAYMENTS Wages Pension Contributions (Nest) Covid Costs Uniforms Insurance Professional Fees Advertising & Marketing Rent IT/Stationery Purchases - Food Postage & Stationary Sundry Expenses Vetting Accountancy Fees Cleaning Bank Charges Equipment Excess of payments over receipts |
56,953.00 8,636.48 12,308.47 |
77,897.95 59,528.22 |
|---|---|---|
| 40,347.37 847.76 3,187.80 0.00 392.00 0.00 0.00 4,543.50 2,169.56 627.05 0.00 1,670.41 66.00 930.00 0.00 111.70 4,635.07 |
||
| 18,369.73 |