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2024-03-31-accounts

Year ended 31 March Dun annon Silver Band Income and Expenditure Account 2023-2024 2022-2023 Income Grant income Donations Donations- on beh'alf of third partFes Dues Fees Fundraising & (Xher income Gift Aid 18,549 1,179 8,025 2,495 6,540 8,368 1,067 46 222 37,471 2,164 3,380 3,682 12,698 Total Revenue 59 395 Expenditure Tuition/conductor fees Utilities Insurance Uniform costs & repairs Fees Contests & events Materials Repairs & maintenance Catering & fundraising costs Bank fees Equipment & software Donations & gifts Other 2,950 607 1,177 15,874 228 255 57 351 3,434 193 1,980 1,178 2,159 8,463 132 514 121 44,711 4,111 207 70 770 79 64 495 8,210 458 33 793 Total Expenditure Net Sur lus Deficit 12 429 5100 Opening balance at bank Closing balance at bank Movement in funds 7,153 19,582 12 429 12,253 7,153 5100 Independent Examiner: Karen Rainey ACM CGMA Date: $ */, ty2uaJf