Receipts and Payments - 31.3.20

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Snape with Thorp Parish Council

Summary of Receipts and Payments to 31 March 2020

2018/19

Receipts

2019/20

7100.00

Precept

7800.00

5.26

Bank Interest

5.14

12200.00

Grants

2500.00

Loan from PWLB

3798.87

Other

370.37

4235.70

Refund of VAT

4287.78

3.45

Wayleave

3.45

27343.28

Total Receipts

14966.74

Payments

2170.80

Grass cutting

1918.80

931.20

199.47

Salary

940.60

Expenses

241.83

196.80

HMRC – tax on salary

55.60

240.00

Audit

240.00

25.00

Donation

100.00

428.44

Insurance

535.84

1380.41

The Avenue

1920.00

23833.66

Playground

10464.00

88.20

Playground (safety check)

94.80

130.00

Subscription - YLCA

132.00

1026.74

Repayment of PWLB loan

1026.74

Information Commissioner (annual fee)

35.00

929.81

Others

10181.01

31580.53

Total Payments

27886.22

23424.42

Funds b/fwd as at 01/04/2019

19049.27

27343.28

Receipts added

14966.74

50767.70

Sub Total

34016.01

137.90

Plus Unpresented cheques (see below)

31580.53

Less Payments

27886.22

19049.27

Current balances

6129.79

Of which allocated as follows:

9353.00

Playing field funds

788.00

9696.27

General PC funds

5341.79

Represented by

Bank Balances @ 31 March 2020

16408.46

Current

3483.84

2640.81

Business Saver Account

2645.95

19049.27

Total

6129.79

9732.77

Institute account***

9752.39

***Funds held on behalf of the Institute Committee

Created: 22/05/2021 / Last Modified: N/A