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2023-03-31-accounts

NIMAST ACCOUNTS 2022/23 Charity No: 107527 Income and expenditure for thefinancial year 2022/23 is detailed as below. Qur main source of income isfrom membership subscriptions via our PayPal.account. The SSNAP Study Day held on 30th of June 2022.generated income from those who attended, but incurred fees payable forthe speakers. These transattions are recorded via our main current account. Our other source.of income is the small amount of interest gained on our Busi ness Reserve.Account. Otherthan expenses forthe study day: our other expenditur.es.are for website maintenance and bankfees. OPENING BALANCE 0110412022: £12, 034.12 INCOME .Membership Subscriptions" SSNAP Study Day ficketr. Interest from Business Reserve Account: TOTAL INCOME: £530 £250 £21.17 £801.17 EXPENSES SSNAP Study Day Speakers.. Expenses: Elm House Creative re website maintenance- Bank Charges" Paypal Fees TOTAL EXPENDITURE: £872.61 £288 £49.55. £26.15 £1,236.31 NEf EXPENDITURE FOR THE YEAR £(435.14) CLOSING BALANCE 31103123: £11,598.98 These accounts.have been independently examined by Brendan McGeown David Wright Brendan McGeown NIMAST Treasurer FCA