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