OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2024-03-31-annual-return

OMAGH ACTIVE CLUB ACCOUNTS 31st MARCH 2023 TO 31st MARCH 2024 op G BALANCE 31 March2023..... ...... ... CCOUNf £1194.90 credi BUSINESS INVESTMETrrr £15354.97 credit TOT4L BALANCE ......£16549.87 C￿diL COME OUTGOINGS DOOR... £5631.85 £2365.00 INN VILLAGE £14 £525 +£27 £ 801A2 £238. £35.30 NERAL OUTGOINGS FOR YEAR mdudes I co £417.37 £6905.00 £6905.00 WESTPORT cancel customer £330 sent to customer £330.00 GALWA DEPOSI £3755 £00.00 TOTAL IN OME £17655. OITfGOINGS £12270.09 PROFrf FOR YEAR 3 h 24 shows £5385.29 HOWE COME Thc UDES GALWAY DEPOSIT OF £3755.00 GIVING TOTAL PROFIT FOR THIS YEAR £1630. WE DID HAVE E LUNCH FOR CHRISTMAS AND WILL FOLLOW UP THIS ACCOUNT 31" E OF BUSINESS INVE tstMARCH 24...................... £20921.93 £21935.16