## **CAIRDE** 

## **RECEIPTS AND PAYMENTS YEAR END 31 AUGUST 2025** 

|Receipts<br>Funding and grants<br>Fundraising activities<br>**Total Receipts**<br>Payments<br>Expenditure on charitable activities<br>Costs of fundraising activities<br>**Total Payments**<br>**Net Receipts**<br>Reconciliation of Funds<br>Funds brought forward<br>Funds carried forward<br>Cash funds at bank|£<br>-<br>60|£<br>60<br>341|
|---|---|---|
||341<br>-||
||||
|||(281)<br>3,132|
|||2,850|
||||
|||2,850|





## **CAIRDE** 

## **STATEMENT OF ASSETS AND LIABILITIES YEAR END 31 AUGUST 2025** 


## Cash funds 

Current account 2,850 

