Accounts for Year Ending September 2007

The financial report presented by the Treasurer at the AGM on 6thOctober2007 are:

Cash in bank @ 15th August 2006

£640.19

Income

Donations 5/8/06-8/9/07

£352.11

Sales of badges

£0.00

Total

£352.11

Expenditure

Hall Fees

£120.00

Donation to Jamies

£70.00

Purchase of hardware etc.

£132.16

Total

£322.16

Balance of income over expenditure

£29.94

Cash in bank 14 Sep 2007

£670.13

GroupFinances/YearEnd2007 (last edited 2007-11-03 13:01:35 by 212)