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