Provincial Grand Lodge of Armagh Year Ended 31 December
Income & Expenditure Account
| Widows Gift Scheme Income Lodge Contributuions Chapter Conributions Preceptory Contributions Provincial Grand Lodge Charity Collections Expenditure Widows Gift Cheques Widows Bereavement Grants Transfer to RMF Account Bank Charges PY Widows Gift Cheques Surplus/(Deficit) Cash at Bank & In Hand Bank Current Account at 31 December Cash on hand |
2024 2023 Stg£ Stg£ 10,200 14,641 - - - - 676 520 10,876 15,161 50 12,700 2,100 - 12,300 - - - 6,700 - 21,150 12,700 (10,275) 2,461 33,340 43,614 - - 33,340 43,614 |
2024 2023 € € 4,190 3,850 - 100 - 200 370 - |
|---|---|---|
| 4,560 4,150 |
||
| 3,000 1,860 1,400 128 - - 47 - 2,340 - |
||
| 6,787 1,988 |
||
| (2,227) 2,162 |
||
| 31,377 33,604 - - |
||
| 31,377 33,604 |
The income and expenditure has been prepared from the accounting records as provided to the treasurer of the Provincial Grand Lodge of Armagh and from information and explanations provided to him. All expenditure has been vouched to receipts and supporting documentation.
Approved and signed on behalf of the Provincial Grand Lodge of Armagh by:
Provincial Grand Treasurer
M. Bellew
Examined and compared with vouchers and found to be correct
Honorary Auditors:
W.I. McMurray
M. Lundy
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