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Financials202406
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: £2,180.22
- Petty Cash (approximate): £91.49
- Paypal: £313.67
- Deposit Account: £4,183.30
- Out of Hours Deposits (approximate): £7,340.00
- Outstanding Invoices 18th July: £1,483.00
- Last 12 Months, to end of this month: £74,520.00
Income looks high but it's mostly due to an event with the Tate and most of that was distributed to community members involved in the event. Again made a loss and our reserves are reducing. (Not 100% sure of turnover accuracy as FreeAgent being strange)
- Sales: £7,522
- Grant Income: £75
- Office Costs: £3,049
- Electricity (May usage): £389.02
- Rent: £2,175
- Computer Software: £157
- Computer Hardware: £550
- Internet & Telephone: £234
- Bank/Finance Charges: £7
- Subcontractor Costs: £750
- Staff Training: £36
- Salaries: £624
- Bad Debts Written Off: £258
Generated from a FreeAgent report exported on 2024-07-23 07:27:03 +0100, also summary financial-summary-202406.yaml
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