GPC-BANK-RECONCILIATION-18-19

GITTISHAM PARISH COUNCIL

INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDING 31 MARCH 2019

INCOME

Precept

£8,016.50

 

CTG

£143.50

 

VAT (16-17)

£120.59

 

Other

£5,607.19

 

Play

£2,160.00

 

net interest (on business reserve a/c)

£8.67

 

Gross income

EXPENDITURE

 

16056.45

Administration

26.66

 

Salaries

2433.05

 

Pension

123.09

 

S137

£100.00

 

VAT payments

748.06

 

Maintenance

776.23

 

Lengthsman

1141.4

 

Other

8286.29 this doesn’t include £3,000 moved to business reserve, see below)

 

Total expenditure

13634.78

Excess of income over expenditure

BANK RECONCILIATION

2421.67

Balance b/fwd 1 April 2018

14,696.52

Gross Income current and reserves accounts (includes the £3,000 moved 19056.45 less total expenditure           13634.78

Cashbook Balance                                                                                                                20,118.19

Bank balance as at 31 March 2019      Current Acc                                       13,259.84

Reserves Acc        7,013.35 less unpresented cheques (919)         155.00

Bank Account Balance                                                                                                         20,118.19

 

Fiona Clampin

name

 

Responsible Financial Officer

8th May 2019

Chairman

Russell Hayman