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 A￿tt5
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
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