Page 117 - OM Newsletter 2021-22
P. 117

Year ended 31 07 2021 Less: Expenditure cont Accountancy fees
Auditor’s remuneration (audit services only)
Bank charges
Year ended 31 07 2020 ££££
240
5 090
1 358
3 000
5 400
1 649
12
554
20 226
755 991
279 887
75
000
102 058
456 945
Postage 606
Printing and stationery 12
154
323 413
Surplus 432 852
Revaluation of tangible fixed assets
Gains on investment assets
Net movement in funds
555 000
699 201
1 687 053
117




































































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