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2025-08-31-accounts

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

Receipts and Payments Account For Year Ending 31st August 2025

Year ending 31st August 2025 Previous year ending 31st August 2024 -
** Note (ii)
Notes Current Year -can be used for Notes re Payments/ Receipts
Receipts (In) £'s £'s
Opening Balance 1 September 2023 ** Note (iii) 1,089.56
1,617.00
Subs 0.00
1,002.00
Registration 790.00
650.00
Camps & Events -** Note (iv) 0.00
660.00
Uniform 0.00
16.00
Grants 1 0.00
589.00
Grants 2 1,000.00
1,000.00
Grants 3
Fundraising 1
Fundraising 2
Bank Interest
Other Income 1 440.00
Other Income 2
Total Receipts 1,790.00
4,357.00

* Note these cells contain formula and should not be overwritten
Payments (Out)
Registration -** Note (v) 790.00
740.00
Affiliation Fees
Programme resources 0.00
1,432.99
Camps & Events 0.00
1,225.49
Transport 0.00
518.30
Rent
Uniform 0.00
311.50
Training
Equipment 0.00
537.82
Fundraising 1
Fundraising 2
Bank Charges 0.00
118.34
Other 1
Other 2
Total Payments 790.00
4,884.44

* Note these cells contain formula and should not be overwritten
Net Receipts over Payments -_ Note (vi)_** 1,000.00
-527.44

* Note these cells contain formula and should not be overwritten
Closing Balance as at 31 August 2025 2,089.56 1,089.56 * Note these cells contain formula and should not be overwritten
Signature:
Date:
D. Quinn
Treasurer
Unit Leader

Notes:

(ii) - Previous Years Figures to year end 31/08/2025 should be as per reported in your Interim Accounts

There are no assets or liabillities

Figures based on know income and expenditure for Unit