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Bridge NI Statement of Accounts
Year ending 31st March 2023
Starting balance £13,361.16 Expenditure
Equipment £3,480.55
Income Events £1,737
Owed £382.98 Advertising £15.98
Refund £14.99 Total Expenses £5,233.47
Raffle £5
Raffle 2022- cash £306
Total Income £708.97
Closing Bank Balance as of 31.03.23 £8416.48
Our charity has no assets and liabilities.
R. Irvine 25.02.24
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This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.