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2024-03-31-annual-return

NIMAST ACCOUNTS 2023/24 Charity No: 107527 Income and expenditure for the financial year 2023124 is detailed as below.. Our maln source of Income Is from membership sub.scrlptlons lila our PayPal account. Our other source of income is the small amount of Interest galned on our Buslness Reserve account. Ovr former ctjrrent account was closed In July 2023, with the subsequent openlng of a new current account. Our Business Reserve actount Was also closed In July 2023, with funds transferred to the cur.rent account. OurExpRnditures in this financial year are for trusteo'&expenses accrued on NIMAST busines5, website malntenance feES, bank fees and Pay.Pal fees. OPENING BALANCE 0110412023: £11.598.98 INCOME Membership Subscriptions: £570.01 Interest from Business Reserve Account: TOTAL INCOME: £584.76 £14..75 EXPENSES Elm House c.reative re webslte maintenance: Bank Charges: £23.89 Stroke Guideline5 Launch Expenses: £296.90 PayPal fees: £67.04 TOTAL EXPENDITURE: £1,395.83. £1,008 MOVEMENT IN THE YEAR: .£811.07 CLOSING BALANCE 311031.24: £10,787.91 These accounts have been independently examined by Brendan McGeown. David. Wright Breftdan McGeown NIMAST Treasurer