FRIENDS OF OUR LADY OF TINTERN
ANNUAL FINANCIAL REPORT
AS AT 7 MARCH 2020
Expenditure | Income | |
OPENING BALANCE (as at 01 Jan 2020) | £1,684.38 | |
Hire of Viilage Hall for AGM | £25.00 | |
KT Electronics | £306.00 | |
Website fee | £16.79 | |
CADW - Donations to Our LADY | £17.22 | |
Total Income | £1,701.60 | |
Total Expenditure | £347.79 | |
Balance at 07 March 2020 | £1,353.81 |