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Financials202111
John McKerrell edited this page Dec 21, 2021
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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: £1,781.21
- Petty Cash (approximate): £74.86
- Paypal: £478.24
- Deposit Account: £12,095.16
- Out of Hours Deposits (approximate): £6,100.00
- Business Rates: £6,992.00
- Visor Project Surplus: £4,494.06
- Outstanding Invoices 21st December: £1,093.00
Expensive month with insurance payment going out causing a loss overall. Did have an event booking that brought some extra money in but otherwise unremarkable month.
- Sales: £5,570
- Grant Income: £60
- Materials: £335
- Office Costs: £1,177
- Electricity (October usage): £354.86
- Rent: £1,740
- Web Hosting: £19
- Computer Software: £100
- Internet & Telephone: £396
- Sundries: £11
- Bank/Finance Charges: £14
- Insurance: £716
- Staff Training: £180
- Salaries: £525
Generated from a FreeAgent report exported on 2021-12-21 16:47:33 +0000, also summary financial-summary-202111.yaml
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