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2022-06-30-annual-return

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