Page 155 - OM Newsletter 2022-23
P. 155

Less: Expenditure cont Directors’ expenses
Legal and professional fees
Accountancy fees
Auditor’s remuneration (audit services only)
Bank charges
Year ended 31 07 2022 £ £ £ £ 513
– – 9 860
1 437
Year ended 31 07 2021 ££ 942
2 040
240
5 090
1 358
606
Postage (270)
Printing and stationery – 12 154
429 162 323 413
(Deficit)/Surplus (43 337)
452 852
555 000
699 201
1 707 053
Revaluation of tangible fixed assets
(Losses)/Gains on investment assets
Net movement in funds 625 000
(324 128)
257 535
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