Summary or receipts and payments - 22 March 2022

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Snape with Thorp Parish Council

Summary of Receipts and Payments to 15 March 2022

2020/21

Receipts

2021/22

Budget 21/22

8095.00

Precept

8216.00

8216.00

1.22

Bank Interest

0.28

3.00

2400.00

Grants

2000.00

0.00

Loan from PWLB

0.00

485.37

Other

1615.37

370.00

588.39

Refund of VAT

1688.03

700.00

3.45

Wayleave

3.45

3.45

11573.43

Total Receipts

13523.13

9292.45

Payments

1568.80

Grass cutting

1550.40

2500.00

1442.36

312.60

Salary

1653.60

]  2000.00

HMRC

425.40

]

274.64

Expenses

375.85

1000.00

240.00

Audit

0.00

25.00

Donation

100.00

150.00

479.81

Insurance

562.45

560.00

220.00

The Avenue

306.34

500.00

40.00

Playground

14.39

150.00

94.80

Playground (safety check)

94.80

98.00

134.00

Subscription - YLCA

136.00

135.00

1026.70

Repayment of PWLB loan

0.00

35.00

Information Commissioner (annual fee)

35.00

35.00

Website

1044.00

]

2030.84

Others

6892.72

]  2164.00

7924.55

Total Payments

13190.95

9292.00

6129.79

Funds b/fwd as at 01/04/2021

9778.67

11573.43

Receipts added

13523.13

17703.22

Sub Total

23301.80

7924.55

Less Payments

13190.95

9778.67

Current balances

10110.85

Of which allocated as follows:

923.00

Playing field funds

908.61

Created: 17/03/2022 / Last Modified: N/A