Ki¥kpatrick Awning Play Parksao
StatÈrnent of Aciiwlies
For the period Isi April ZOZI- 31st Marth 2022
Openin8 Bank Ba￿n￿ 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 A5￿ciatiOn.
The Play Park Association changed narne on 20th Marth 2019 to be May ParkAsxKiation SCIO
The statementof activities ab￿e are fwnd to be (orreLtand apPr￿d.
SignEdlTreasurer,
Date
oz
SiEned
Exqmine
Oate