Financial Report 2020

FRIENDS OF OUR LADY OF TINTERN
ANNUAL FINANCIAL REPORT
AS AT 7 MARCH 2020

 ExpenditureIncome
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