GIRLGUIDING UNI
4th Strathaven Brownies
SCO 031175
Previous
Period
RECEIPTS & PAYMENTS ACCOUNT
RECEIPTS
PERIOD FROI l-Sep-24 TO
31Aug-25
Membership Subscriptlons
Unit fundraising
3rd Party Fundraoslng
Bank Interest
GiftAid
2,267.50
0.00
0.00
0.00
0.00
Trips
Residentlal Events
Donations Received
Grants Recelved
Miscellaneouslncome
90.00
55.00
2.00
0.00
301.60
3896.50.
Total Receipts
PAYMENTS
Subscriptions
Meeting Expenses
Property costslRent
Trips
Residential Events
AdminlPostagelStationery
3rd party fundralsing
Badges & Resources
Miscellaneous expenditure
2,716.10
1,300.00
0.00
402.00
170.00
0.00
0.00
0.00
0.00
648.75
3773.43.
Total Payments
2,520.75
123.07.
Surplus (Deficit) for the Period
STATEMENT OF BALANCES
195.35
Opening Balances Bank
Cash
2,086.5S
83.35
2046.80.
2,169.8
Closing Balances Bank
Cash
2,347.87
17.35
2169.87.
2,365.2
195.35
(the movement in balances equates to the surpluslldeficit for the period shown above)
In addition to the above balances the unit has other assets at a valuati
Being
Liabilities at the year end (if appropriate) comprised the following
All funds held b the charit
are unrestricted in nature
Prepared By (signature)...
l/its.jLfj
Approved by T usti Na
Signature
Date.....
Date
i/..;.o.f.J-..b........................
Accounts to be verified and submitted by 30th November. Email to ctwestlanarkshire@gmail.com
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<I RSP4 rf(CA
20110125