OMAGH   MENS  SUPPORT  GROUP  ------  STATEMENT OF ACCOUNTS 01/04/2023   to 10/04/2024 ________________________________________________________ 01/04/2023  opening balance   ………………………………. £181.83p INCOME                                        …………………………………  £285.00p EXPENDITURE                               …………………………………  £446.33 10/04/2024   closing balance     ………………………………….  £20.50p CASH TO HAND                              ………………………………….  £14.25p ___________ TOTAL ASSETS                                                                       £34.75p EXPENDITURE OMSG RESIDENTIAL WEEKEND MEAL                                £226.33p ASDA   SHOPPING                                                                   £120.00p GROUP SPEAKER CASH FEE                                                   £50.00p BANK ACCOUNT  MAINTENANCE FEES                                £50.00p _____________ £446.33p 



## INCOME 

‘TALKS FOR TEN’ fundraiser                                             £250-00p 

Cash lodgement                                                                  £35-00p 

______________ 

“Other than cash held in hand or at bank, the charity has no other assets or liabilities.” 


GERARD J. MADDEN, CHAIRPERSON / TRUSTEE, OMAGH MENS SUPPORT GROUP 

“I have checked the above accounts and can confirm that they represent a true and accurate account of the activities of OMAGH MENS SUPPORT GROUP.” 

MR JIM McBRIDE, TREASURER, OMAGH MENS SHED 


