Ki¥kpatrick Awning Play Parksao StatÈrnent of Aciiwlies For the period Isi April ZOZI- 31st Marth 2022 Openin8 Bank Ban IstApril 2021 16.974.44 Revenue5 Fundraisers Sponsors Grants t>onations Bank Interest Total Revenue %of Total .(KM). 2.5(.1$ 12.S(K>. Expenses Maintenance of Pa Park Equipment Total Expenses 18,192.93 18.192.93 Net Incomellexpenditurel 5,692.93 ReconciliatK)n of Fund5= Total fund5 brought forwa 16.974.44 Total fund5 carried forward IL,281.51 Closine Bank Balance 315t marth 2022 11281.51 The results set out above derive wlM)Ily froffl the Continuing opefati¢Jns of the Play Park A5ciatiOn. The Play Park Association changed narne on 20th Marth 2019 to be May ParkAsxKiation SCIO The statementof activities abe are fwnd to be (orreLtand apPrd. SignEdlTreasurer, Date oz SiEned Exqmine Oate
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