CAIRDE
RECEIPTS AND PAYMENTS YEAR END 31 AUGUST 2025
| Receipts Funding and grants Fundraising activities Total Receipts Payments Expenditure on charitable activities Costs of fundraising activities Total Payments Net Receipts Reconciliation of Funds Funds brought forward Funds carried forward Cash funds at bank |
£ - 60 |
£ 60 341 |
|---|---|---|
| 341 - |
||
| (281) 3,132 |
||
| 2,850 | ||
| 2,850 |
CAIRDE
STATEMENT OF ASSETS AND LIABILITIES YEAR END 31 AUGUST 2025
Cash funds
Current account 2,850