Receipts and Payments - 12 November 2020

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Snape with Thorp Parish Council

Summary of Receipts and Payments to 6 November 2020

2019/20

Receipts

7800.00

Precept

8095.00

5.14

Bank Interest

1.08

2500.00

Grants

Loan from PWLB

370.37

Other

485.37

4287.78

Refund of VAT

220.57

3.45

Wayleave

3.45

14966.74

Total Receipts

8805.47

Payments

1918.80

Grass cutting

1056.00

940.60

241.83

Salary

885.80

Expenses

140.59

55.60

HMRC – tax on salary

189.00

240.00

Audit

240.00

100.00

Donation

535.84

Insurance

479.81

1920.00

The Avenue

10464.00

Playground

94.80

Playground (safety check)

94.80

132.00

Subscription - YLCA

134.00

1026.74

Repayment of PWLB loan

513.37

35.00

Information Commissioner (annual fee)

35.00

10181.01

Others

141.65

27886.22

Total Payments

3910.02

19049.27

Funds b/fwd as at 01/04/2020

6129.79

4966.74

Receipts added

8805.47

34016.01

Sub Total

14935.26

27886.22

Less Payments

3910.02

6129.79

Current balances

11025.24

Of which allocated as follows:

788.00

Playing field funds

963.00

5341.79

General PC funds

10062.24

Represented by

Bank Balances @ 6 November 2020

3483.84

Current

8378.21

2645.95

Business Saver Account

2647.03

6129.79

Total

11025.24

9752.39

Institute account***

9752.39

***Funds held on behalf of the Institute Committee

NB:

Cheques for £45 and £25 to YLCA for planning training and RBL for poppy wreath respectively have been sent out but as the cheques have not cleared the bank they are not included above.

VAT – there is £16.63 to be reclaimed

Agreed commitments

  • purchase of a tree to replace the felled tree in the Avenue – possible cost of £200 plus VAT
  • supply and installation of safety measures on Kings Keld - £800 plus VAT
  • repairs to village seats, pumps and bridge painting – current estimates received approx. £80
Created: 22/05/2021 / Last Modified: N/A