Irish Youth Convention
Statement of Receipts and Payments- Year Ended 31 December2024
Receipts
Unrestricted Funds £
Restrtcted Funds £ Total 2024 £
Ticket Sales
6.811.63
6,811.63
6.811.63
6,811.63
Payments
Bank Fees
Insurance
Website Maintenance
Speaker
Music
Audio Visual
Catering & Hospltality
Conference Resources
Venue Hire
65.88
179.77
172.80
600.00
65.88
179.77
172.80
600.00
725.00
300.00
705.83
725.00
300.00
705.83
531.14
531.14
600.00
600.00
3880.42
3880.42
Bank reconciliatlon
31.12.2023
Opening Balance 01.01.24
SurpluslDeficit this year
10,380.24
2.931.21
13.311.45
Closing Balance 31.12.24
13.311.45
Statement ol asseis and liabilrties-yearended 31 December 2023
Funds Reconcilialbon
31.12.2024
Retsined earnings 01.01.24
Surplus 2024
NetAssets
10.380.24
2.931.21
13.311.45
Bank and Cash Balances
BankAccount
Cash in Hand
13.311.45
Other Assets Iunreslrlctedl
Appr
ed by the Trustees on Idatel and signed on their behall by.
Jonathan Beare
Chair
ason Nlcholl
Secretary