OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2026-03-31-accounts

Marklnch Dlstrlct Communlty Cholr Income & Expendlture for yle 3 31s1 March 2026 INCOME 2026 2025 EXPENDITURE 2026 2025 Rehearsals Rehearsals Hall Renustorage Fees- ChoiTmasterlAcc Refreshments Fees 4299 302 1800 4170 83 1737 3755 Refreshments Events 377 358 Concerts Ticket Sales Concerts Hall Rent Printing Fees- ChoirmasterlAcc Refreshments Lighting Returned Ticket 2008 1916 120 145 Raffles 469 513 424 520 Other Income Donations Bank Interest 162 194 52 Income lor Year 7276 Equlpment Music Scores Scarves Stationery 55 287 Less ExpenditUTe 75 117 ProfiULoss InsuraTrcelAfflllallon Insurance Making MusiclPRS Miscellaneous Choir Funds.. Opening Balance Loss Closing Balance 50 114 3691 3458 233 3691 355 1017 3395 Expendlture for Year 7043 Bank Balance @ 3113125 Less uncleared debits Bank Balance 3395 150 3691 Treasurer.. Robina Bissett Signed- AF Examiner: Johnwood Date.. 2610512026 Signed: Date.. 2610512026