FTlends of Aytoun Hau CharitynumberSC027157 Receipts and PaymentsAccoumslortheyear tsIAprll2025to 3ts1 March 2026 2026 2025 Receipts Coffee Morning5 income Sale of MeNories Booklets 26 58 Quiz sales BlngoTea Income Post Card sales 591 402 515 392 li PKC Projector Grant Lunchtime Concerts income 5.676 926 540 Hogmanay Ceilidh income Toial Receipts 2.599 2,756 4,809 10,942 Expendlture Cleaning Repair5 Inventory Purchases Stationery Insurance 426 144 135 785 PKC Projectorcosts Quiz prize expenses Hogmanayceilidh costs Lullchtime Concert Donations to CS of A 5.676 30 1.216 Total Payments 4,201 Net Surplus forthe Year 608 Bank Balance blf IstApril2025 Surplus fortheyear Bank Balance at 31st March 2026 17.349 16,741 608 19,743 17.349 Reserves- General Fumd lUnStrIcted) 19.7 17,349 and signed on their behalf by
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