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2024-08-31-accounts

NAME & Number OF UNIT: REGION: SECTION (if applicable): ** Note (i)

St Patrick's Aghagallan Northern Region

Receipts and Payments Account For Year Ending 31st August 2024

Year ending 31st August 2024 Previous year ending 31st August 2023 -
** Note (ii)
Notes Current Year -can be used for Notes re Payments/ Receipts
Receipts (In) £'s £'s
Opening Balance 1 September 2023 Note (iii)** 651.09
1,264.61
Subs 1,182.00
2,316.00
Registration 1,020.00
1,300.00
Camps & Events -** Note (iv) 0.00
0.00
Uniform 244.00
257.00
Grants 1 1,400.00
1,400.00
Grants 2 687.00
150.00
Grants 3 1,200.00
0.00

Grant paid in for next year before sept 24
Fundraising 1 390.18
0.00
Fundraising 2 0.00
Bank Interest 0.00
Other Income 1 0.00
Other Income 2 0.00
Total Receipts 6,123.18
5,423.00

* Note these cells contain formula and should not be overwritten
Payments (Out)
Registration -** Note (v) 1,305.00
1,433.30
Affiliation Fees 150.00
150.00
Programme resources 1,354.25
2,264.88
Camps & Events 997.80
710.00
Transport 450.00
Rent 0.00
0.00
Uniform 458.10
299.00
Training 1,152.41
558.00
Equipment 435.42
0.00
Fundraising 1 0.00
Fundraising 2 0.00
Bank Charges 175.51
171.34
Other 1 0.00
Other 2 0.00
Total Payments 6,028.49
6,036.52

* Note these cells contain formula and should not be overwritten
Net Receipts over Payments -_ Note (vi)_** 94.69
-613.52

* Note these cells contain formula and should not be overwritten
Closing Balance as at 31 August 2024 745.78 651.09 * Note these cells contain formula and should not be overwritten
Signature:
Date:
Sarah Walsh
Eimear Neeson
Treasurer
Unit Leader
29/10/2024
29/10/2024

Notes:

(i) - Section can be filled in where completed for individual sections if applicable

(vi) - Net Receipts over Payments - This is the surplus / defecit for the year - defecit will be shown as a Minus figure.

There are no assets or liabilities