OpenCharities

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2023-01-31-annual-return

Receipts t Payments e
Balance b/fwd 4,164.30 Donations 1,500.00
Grant received 4,920.00 Insurance 431.20
Event Ticket Sales 15.00 Grant Refunds 345.00
CostofEvents 121.14
Bank Charges 44.92
Balance at 30/01/23 6,657.04
9,099.30 9,099.30
Totallncome for theperiod 4,935.00 Bank Balance as at 30/01/23 6,657.04
TotalExpenditure fortheperiod -2.492.74 Petty Cash as at 30/01/23 0.00
Excess lncome/Exoenditure 2,442.26 Balance at 30/01/23 6,657.04

RECEIPTS
Grants received t
Fromevents held(tickets/donationsetc) -o-
.4-
:
:::::::::=
Otherincome L
Totals t 4,935.00
PAYMENTS
CostofFundraising
Purchaseofequipment
Costofevents held t2t.
DonationsOUT 1,500.so
Bankinterest
Overhead costs (site lnsurance)
GrantRefunds n
Totats t 2,M2.26
RECONCILIATIONEND PERIODTO30thJanuary RECONCILIATIONEND PERIODTO30thJanuary 2023
Opening balanceBANKand CASH fi -1-.6=4-.30
Surptus/(deficit) t 2,492.74
Closingbal.anceBANKand CASH I 6,657.04