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Financials202106
John McKerrell edited this page Jul 20, 2021
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1 revision
A breakdown of our finances for the month.
< Previous 202105 | Next 202107 >
The following reflect the overall status of the finances at the end of the month.
- Current Account: £3,549.40
- Petty Cash (approximate): £53.43
- Paypal: £494.13
- Deposit Account: £14,092.90
- Out of Hours Deposits (approximate): £5,700.00
- Business Rates: £15,732.00
- Visor Project Surplus: £4,494.06
- Outstanding Invoices 19th July: £895.00
Large outgoing for fire safety equipment. Decent sales, all mailboxes - in fact all 'interesting' invoices that were checked - have been paid. Month-on-month assets are still going down.
- Sales: £5,643
- Grant Income: £200
- Materials: £27
- Office Costs: £1,749
- Electricity (May usage): £362.20
- Rent: £1,740
- Computer Software: £105
- Internet & Telephone: £231
- Sundries: £37
- Bank/Finance Charges: £16
- Salaries: £525
Generated from a FreeAgent report exported on 2021-07-20 17:52:38 +0100, also summary financial-summary-202106.yaml
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