Financial Overview

Receipts and Payments Account Year ended 31st March 2022

Receipts20212022
Hall Lets 0.001,704.00
Subscriptions 370.00 464.00
Fundraising 0.00 0.00
Donations 0.00 0.00
Bank Interest

18.00
8.00
Grants 10,000.0019,242.55
Total10,388.0021,418.55
Payments20212022
Rates, Insurance, Licenses 1,910.16 2,005.67
Repairs/Maintenance 0.00 2.412.23
Electricity/oil 2,461.84 1,890.03
Cleaning/Sundries 0.00 1,592.00
Office expenses 0.00 0.00
Building works 0.00 1,067.28
Expenditure against grants 0.0010,294.55
Total 4,372.0019,261.76
Total receipts10,388.0021,418.55
Total Payments 4,372.0019,262.76
Surplus (Deficit) for year

6,016.00 2,156.79

Statement of Balances at 31at March 2022

Opening Balances 20212022
Santander2,571.008,587.00
Cash in hand 0.00 0.00
Total2,571.00 8,587.00
Surplus (Deficit) for year6,016.00 2,156.79
Closing Balances20212022
Santander8,587.0010,241.86
Cash in hand 0.00 0.00
Uncleared funds 0.0010,743.79
Accounts by Tim O’Sullivan and signed off by Sue Grant