Accounts for Year Ending August 2006

The financial report presented by the Treasurer at the AGM on 5thAugust2006 are:

Income

Expenditure

Donations

£509.01

Hall fees

£120.00

Sales of badges

£6.50

Donation to Jamies

£30.00

Purchase of printer, consumables, switch etc.

£256.06

Total Income

£515.51

Total Expenditure

£406.06

Balance of income over expenditure

£109.45

Balance August 2005

£519.98

Total

£629.43

Other assets

InfoPoint Float

£30.00

Stock of badges etc

£15.50

GroupFinances/YearEnd2006 (last edited 2006-08-05 21:15:06 by 212)