NAISCOIL SHLIABH GCUILINN FINANCIAL STATEMENTS PERIOD ENDED 30 June 2020
| RECEIPTS SELB Fees Other Income - Fundraising TOTAL PAYMENTS Wages Pension Contributions (Nest) Recruitment Costs Uniforms Insurance Membership Fees Advertising & Marketing Rent IT/Stationery Purchases - Food Postage & Stationary Sundry Expenses Vetting Accountancy Fees Cleaning Bank Charges Equipment Excess of payments over receipts |
35,709.20 11,355.84 14,747.99 |
61,813.03 |
|---|---|---|
| 34,894.53 409.46 0.00 20.00 392.00 1,015.00 12.00 3,133.50 36.96 743.27 2.70 64.00 99.00 180.00 0.00 184.12 967.00 |
||
| 42,153.54 | ||
| 19,659.49 |