Shape Up Peterhead For The Year Ended 31 Au8USt 2021 Income and Expenditure Income Fitclub Donation Coaching Level up Ticket Sale5 Aberdeenshire Council 1.278.32 100.00 50.00 260.00 450.00 1,838.00 3,976.32 Expenses Fitclub Picnics Fundraising Rent/Hall Hire EqLAipment Training Office Supplies Scottish Week Float/Advertisin8 Level Up Bank Charges Sundry expenses 15.96 426.00 10.00 930.92 808.15 270.13 111.35 331.31 511.01 77.00 3,491.83 Profft For Year 484.49
Shapt Up P•ttrhe¥d For The Year Ended 31 August 2022 Balance sheet Currtnt Att5 Bink Cash 579.17 579.17 Current Liabilities ArnounES due ro PJ Accruals Net Assets 579.17 Capital Profit For Year R¢taineO Earnings 484.49 94.68 579.17 Prepared B ru5 Iilbla3