Summary accounts for 2024


SOUTH MANCHESTER LDWA

         
             

Year ending 30.11.24

           
             

Opening Balance

743.19

         
             

Income Received

3334.62

   

Sources of Income

Grant

500

         

Entries

2297

Payments Made

2188.24

     

Donations

250

         

Sale of badges

37.5

Closing Balance

1889.57

         
             

Bank balance

1889.57

         
       

Types of Expenditure

Capital Equipt

474

Difference

0

   

(challenge event)

Food

1015

         

Misc

502

notes

           

Marple Hall invoice not yet received/paid

170.88

         

Surplus from challenge event

747

         

Paid for hire of scout hall challenge event 2025

50

         
             
             
             

Funds available

1718.69