NAISCOIL SHLIABH GCUILINN FINANCIAL STATEMENTS PERIOD ENDED 30 June 2024
RECEIPTS
| SELB Fees Other Income - Fundraising Grant TOTAL PAYMENTS Wages Accountancy Fees Bank Charges Equipment Fundraiser Insurance Rent Sundry Vetting Excess of payments over receipts |
22,652.00 37,491.08 8,562.17 1,080.00 |
69,785.25 73,794.52 |
|---|---|---|
| 56,523.79 630.00 178.64 586.66 2,158.41 519.68 9,950.00 3,149.34 98.00 |
||
| -4,009.27 |