## 

|Receipts&PaymentsAccount|foryear ended|31stDecember,2024|31stDecember,2024|
|---|---|---|---|
||2024|2023|2022|
|Receipts||||
|FreewillOffering(lnc.VariousGifts)|43,474.00|41,715.00|31,141.00|
|GiftAID (lncHMRC rebates)|34,008.12|31,681.35|25,498.47|
|SubTotal|77,482.12|73,396.35|56,639.47|
|Payments||||
|General Expenses&Payments|53,751.71|51,073.56|49,420.95|
|Maintenance&Repairs|8,972.80|4,617.48|11,887.35|
|Missionary and Outreach Ministries|10,046.12|5,775.00|5,633.75|
|Sub Total|72,770.63|61,466.04|66,942.05|
|NetSurplus (deficit)forYear|4,711.49|11,930.31|-10,302.58|
|OpeningFundsatlstJanuary|18,840.53|6,910.22|17,212.80|
|GashatBank &athand YearEnd|823,552.02|€18,840.53|€6,910.22|



## 

