20221104_102721
340-ProspectStyleRamblers-07-2022
Hinton-Blewett-Footpaths-hl

2024-03-31 Year End Finance Reports


Payments to note

Feb 2024 Credit card payments to note          
Bank Date Inv Date To Details Net Vat Gross  
11/03/2024 09/02/2024 Lebara mobile Mobile Phone Contract 4.13 0.83 4.95  
11/03/2024 26/02/2024 Lloyds Bank Monthly Fee 3.00   3.00  
      SUBTOTAL       7.95
Mar 2024 PCM Payments to approve          
Bank Date Inv Date To Details Net Vat Gross  
22/03/2024 20/03/2024 HB Village Hall Hall Hire 100.00   100.00  
22/03/2024 29/02/2024 P Edwards Footpath Maintenance 120.00   120.00  
  21/03/2024 Staff Mileage Expenses 14.40   14.40  
      SUBTOTAL       234.40
Mar 2024 Regular payments          
Bank Date Inv Date To Details        
07/03/2024   Staff Pension 172.56   172.56  
25/03/2024   Staff Expenses 26.00   26.00  
25/03/2024   Staff Salary 227.75   227.75  
28/03/2024   ICO Data protection fee 35.00   35.00  
31/03/2024   Unity Bank Service Charge 18.00   18.00  
      SUBTOTAL       479.31
Mar 2024 Clerk – Chairman Payments approved          
Bank Date Inv Date To Details Net Vat Gross  
28/03/2024   ALCA Training 34.00   34.00  
      SUBTOTAL       34.00

Receipts to note

Jan-Mar 2024 Receipts            
Bank Date Inv Date From Details Net Vat Gross  
31/03/2024   Unity Bank Credit interest 66.71   66.71  
      SUBTOTAL       66.71

Budget vs Spend Year and Earmarked Reserves


Bank Reconciliation

Reconciliation of balances 31 Mar 2024    
Balance per bank statements    
Current Account Unity 917.31  
Reserve Account Unity 9,796.58  
SUBTOTAL bank statements   10,713.89
     
Less unpresented payments   0.00
Unbanked cash   0.00
     
NET BALANCES   10,713.89
     
The net balances reconcile to the Cash Book (receipts and payments account) as follows:    
Opening Balance at 1 April 2023   10,077.35
Add: Receipts in the year   12,369.83
Less: Payments in the year    -11733.29
     
CLOSING BALANCE per Cash Book    10,713.89

  • Posted: 13th April 2024
  • Version: 1