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