Sheet1 

Community Studio Productions 

Managed Accounts Jan 2023 – Dec 2023 

|Grants<br>Ticket Sales<br>Adverts<br>Donations<br>Membership<br>Misc<br>Fund Raising<br>Refreshments<br>Room Hire<br>Loans<br>Rate Refund<br>Account transfers<br>Raffle Sales|Expenditure<br>6852.26<br>Props<br>639.53<br>3225.54<br>Goods for show<br>706.59<br>30<br>Show Premises Hire<br>708<br>2774.45<br>Advertising<br>1010.88<br>450<br>Insurance<br>124.72<br>960.69<br>Bank<br>65.72<br>572.03<br>Misc<br>745.28<br>908.9<br>Building Rent<br>1375<br>180<br>Admin<br>2193.36<br>6320.44<br>Expenses<br>443.05<br>201.16<br>Electric<br>100.3<br>4335<br>Building Rates<br>200<br>146<br>Water rates<br>166.24<br>Building Maintenance<br>2739.06<br>Electrical Maintenance<br>4814.72<br>Committee Expenses<br>21.6<br>Account Transfers<br>4335<br>New Carpets<br>1580<br>Window Repairs<br>250.01<br>Loan Repayments<br>2721.2<br>Raffle Expenses<br>36<br>Furniture<br>767.97<br>Phone<br>10<br>Unallocated<br>100<br>26956.47<br>TOTAL<br>25854.23<br>1102.24<br>Opening Balance<br>827.56<br>3599.24<br>Closing Balance<br>1807.76<br>Petty Cash<br>122.04|Expenditure<br>6852.26<br>Props<br>639.53<br>3225.54<br>Goods for show<br>706.59<br>30<br>Show Premises Hire<br>708<br>2774.45<br>Advertising<br>1010.88<br>450<br>Insurance<br>124.72<br>960.69<br>Bank<br>65.72<br>572.03<br>Misc<br>745.28<br>908.9<br>Building Rent<br>1375<br>180<br>Admin<br>2193.36<br>6320.44<br>Expenses<br>443.05<br>201.16<br>Electric<br>100.3<br>4335<br>Building Rates<br>200<br>146<br>Water rates<br>166.24<br>Building Maintenance<br>2739.06<br>Electrical Maintenance<br>4814.72<br>Committee Expenses<br>21.6<br>Account Transfers<br>4335<br>New Carpets<br>1580<br>Window Repairs<br>250.01<br>Loan Repayments<br>2721.2<br>Raffle Expenses<br>36<br>Furniture<br>767.97<br>Phone<br>10<br>Unallocated<br>100<br>26956.47<br>TOTAL<br>25854.23<br>1102.24<br>Opening Balance<br>827.56<br>3599.24<br>Closing Balance<br>1807.76<br>Petty Cash<br>122.04|
|---|---|---|
|TOTAL||TOTAL<br>25854.23|
|Net Income<br>Outstanding Debt||Opening Balance<br>827.56<br>Closing Balance<br>1807.76<br>Petty Cash<br>122.04|



Checked and Verified by the Treasurer 


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