FENLAND REPEATER GROUP

FINANCIAL STATEMENT 1st MAY 2000 to 31 MARCH 2001

 

INCOME
STARTING BALANCE 2204.35
SALES & SUBSCRIPTIONS   576.73
DONATIONS     34.00
INTEREST     32.21
CASH IN HAND     14.33
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2861.62
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EXPENDITURE
INSURANCE 1      30.00
INSURANCE 2      52.92
SITE FEES    100.00
ELECTRIC    160.65
VSO MEMBERSHIP      10.00
CAVITIES    150.00
POSTAGE      27.93
STATIONERY      14.21
STOCK PURCHASES      50.00
IRONMONGERY      80.17
ENDING BALANCE 2185.74
======
2861.62
======
TOTAL FUNDS AVAILABLE £2200.07

NOTE FINANCIAL YEAR CONSISTS OF 11 MONTHS and since closing date £10.00 has been paid into the bank. Also £10.00 has been received from FENLAND RAYNET and £20.00 from Colin Guy G4DDI.

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