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29th Belfast<br>Statement of Income and Expenditure<br>01/09/2023 - 31/08/2024<br>31/08/2024 31/08/2023<br>£ £<br>Opening Bank Balances<br>1 Danske Bank 11,511.65 16,284.77<br>2 Cash in-hand 42.04 -<br>Total Operating Balance 11,553.69  16,284.77<br>Income<br>Income from Membership  10,244.22 13,252.50<br>- -<br>Fund Raising<br>Donations - -<br>Grants 1,177.32 2,400.0<br>Other Income (events and other) 17,352.80. 12,218.84<br>18,774.34 27,871.34<br>Expenditure<br>Membership Fees Paid to National Office  7,881.00 10,020.00<br>Amounts Paid to Counties and Provinces  -<br>Programme Costs 8,377.95 13,452.80<br>Training Costs 974.55 699.44<br>Administrative Costs 223.88 220.48<br>Den Costs 4,304.00  5,411.20<br>Other Expenses (events and other) 1,912.70 2,840.54<br>-<br>Volunteer Expenses<br>23,674.08 32,644.46<br>Surplus (Deficit) (4,899.74) (4,773.12<br>Closing Balances<br>1 Danske Bank 6,611.91 11,511.65<br>2 Cash in-hand<br>Total Closing Balance 6,611.91 11,511.65<br>Prior period<br>Bank  Unpresente Unpresented  Closing<br>statement  d Cheques/  cheques/  reconciled<br>Bank Reconciliation  balance lodgments Lodgments balance<br>1 Danske Bank 6,611.91 - 6,611.91<br>2 Cash in-hand<br>Total Closing Reconciled Balance 6,611.91<br>**----- End of picture text -----**<br>




## **APPENDIX 6C: BANK RECONCILIATION TEMPLATE** 

|**APPENDIX 6C: BANK RECONCILIATION TEMPLATE**|**APPENDIX 6C: BANK RECONCILIATION TEMPLATE**||
|---|---|---|
|*should be presented to the Group Council as an appendix to the Accounts;<br>as proof of funds therein.<br>Date: 31/08/2024<br>Balance per Accounts|||
|Cheques outstanding (paid but not in the bank statement|**_£_**||
|Lodgments outstanding (lodged but not in the bank statement)<br>Charges not reflected in the account<br>Balance per Bank Statement 31/08/2024|||
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