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John McKerrell edited this page Jun 21, 2022 · 1 revision

Financials May 2022

A breakdown of our finances for the month.

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Summary

The following reflect the overall status of the finances at the end of the month.

Current Assets: £6,387.73

  • Current Account: £1,456.82
  • Petty Cash (approximate): £126.34
  • Paypal: £709.41
  • Deposit Account: £4,095.16

Liabilities: £16,928.00

  • Out of Hours Deposits (approximate): £6,700.00
  • Business Rates: £10,228.00
  • Visor Project Surplus: £0.00

Money Owed: £1,360.00

  • Outstanding Invoices 18th June: £1,360.00

Notes of interest

Made the final charitable donation so no longer have a visor project surplus. High outgoings with water bill and others. Still made a small profit (rates notwithstanding).

Income/Outgoings

Turnover: £5,952

  • Sales: £5,952

add Other Income: £80

  • Grant Income: £80

less Cost of Sales: £40

  • Materials: £40

less Admin Expenses: £5,039

  • Office Costs: £1,595
    • Electricity (April usage): £317.35
  • Rent: £1,740
  • Computer Software: £126
  • Office Equipment: £31
  • Internet & Telephone: £396
  • Stationery: £4
  • Accommodation and Meals: £8
  • Postage: £7
  • Charitable Donations: £1,124
  • Bank/Finance Charges: £7

less Staff Costs: £525

  • Salaries: £525

Operating Profit: £428

Generated from a FreeAgent report exported on 2022-06-21 19:43:41 +0100, also summary financial-summary-202205.yaml

More information about this FinancialsReport

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