URCH OF THE
.30 SEPTEMBER
IN
EXP
OPENING BALANCE
683x26
SALARY
PASTORAL SUPPORT
9034.16
1656.67
FREEWILL OFFERING 1999.50
SONG & PULPIT
340.
FREEWILL ENVELOPE 1134.LKI
GIFTS
353.32
GIFT AID OFFERINGS 13665.(K) 16798.$0
ADVERTIPU8UCITY
220.99
GIFTS
1310.LN)
ENERGY
1553.56
GIFT AID REFUND
3326.83
APPORTIONMENT
{BUDGErs)
2331.IXI
MISCELLANEOUS
213.02
CAPITALWORKS
11063.94
ADMINisfRATION
2937.81
60541.16
Respertfvlly submitted
Treasurer..... . ...
The above Income and Expenditure statement for the financial year stated has been examlned
and found to be in accordance wlth the book5 Blven.

SUMM
iocr
EANDEX
68384.26
Pastors Salary
90x16
Freewlll offerfng
1999.50
Trdvelllng expenses
00.
Freewlll Envelope
1134.(M)
Car Insurdnce
4S6.67
Gift aid offeths
I3665.￿) 1679&50
Gffts to Church
1310.CXI
Song & Pulplt { VlslYn8 5wkenl
Gfft aid refund fn)m HMRC
3326.83
Glfts ( Senlor cittens etc>
353.32
Eneryy
1553.56
Capltal Works (Malntenance)
11063.94
Mens Breakfrast
120.1X)
Apportlonment INorth Dlstrkt)
2331 (X)
lftterest
93.02
Water Rate5
182.78
1392.97
Fees
88.57