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Financials201912
John McKerrell edited this page Jan 16, 2020
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1 revision
A breakdown of our finances for the month.
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The following reflect the overall status of the finances at the end of the month.
- Current Account: £4,379.16
- Petty Cash (approximate): £77.67
- Paypal: £516.49
- Deposit Account: £1,503.81
- Out of Hours Deposits (approximate): £4,150.00
- Business Rates: £14,672.00
Nothing unusual to report but business rates payment was made which has a large impact.
- Sales: £5,441.00
- Grant Income: £139.00
- Cost of Sales: £9.00
- Materials: £188.00
- Office Costs: £5,012.00
- Business Rates: £3,668.73
- Electricity (November usage): £451.57
- Rent: £1,740.00
- Computer Software: £88.00
- Computer Hardware: £123.00
- Internet & Telephone: £247.00
- Postage: £7.00
- Bank/Finance Charges: £12.00
- Realized Currency Exchange Gain/Loss: £0.00
- Staff Entertaining: £47.00
- Salaries: £484.00
Generated from a FreeAgent report exported on 2020-01-16 11:10:16 +0000, also summary financial-summary-201912.yaml
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