Year End Accounts for 2022-23
EAST KEAL PARISH COUNCIL YEAR END ACCOUNTS FOR 2022-23
Bank Balance at start of Financial year 1.4.2022
Lloyds 3,281.53
Santander 2,070.82
Total 5,352.35
EXPENDITURE
EXPENDITURE
Hire of Village Hall 126.00
LALC Subs 144.97
Training Courses 114.00
Travel/expenses re above 12.00
Insurance 419.65
Wreath 25.00
Donation St Helen's Church
grounds care 50.00
grounds care 50.00
Data Protection 35.00
ARM Expenses 40.86
Flowers for War
Memorial & village tubs 35.95
Memorial & village tubs 35.95
Invoice from Willsons 200.00
Maintenance of assets 34.75
SUB TOTAL 1,238.18
Clerk's Salary 1,614.24
New Printer 125.77
Technology for clerk 459.00
Clerk's Expenses 87.53
Clerk's Internet Expenses 200.00
CLERK'S COSTS 2,486.54
TOTAL EXPENDITURE 3,724.72
INCOME
Precept 2,200.00
Santander 4.37
Donation 64.35
Rent Land 1,000.00
VAT Claim 275.71
TOTAL INCOME 3,544.43
Closing bank balance at 31.3.23
Lloyds 3,419.67
Less unpresented cheque of £322.80 = 3,096.87
Santander 2,075.19
Total in Account £5,172.06