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Financials202503
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: £2,449.05
- Petty Cash (approximate): £158.25
- Paypal: £845.37
- Deposit Account: £1,183.30
- Out of Hours Deposits (approximate): £7,840.00
- Outstanding Invoices 10th April: £1,543.00
- Last 12 Months, to end of this month: £79,836.00
Business rates was paid but the bill was dated last month so not showing up. That wipes out the profit but the result is that we about broke even. Few events room bookings and plenty of mailboxes stil being paid for. There's a desk payment that has incorrectly been coming in as a standing order so that will go back out next month.
- Grant Income: £83
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Materials: £15
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Gross Profit: £7,668
- Office Costs: £1,865
- Electricity (February usage): £454.67
- Rent: £2,175
- Computer Software: £201
- Office Equipment: £16
- Internet & Telephone: £217
- Sundries: £18
- Bank/Finance Charges: £5
- Salaries: £655
- Employer NICs: £
Generated from a FreeAgent report exported on 2025-04-15 10:45:14 +0100, also summary financial-summary-202503.yaml
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