Section 2 —- Accounting Statements 2023/24 for EAST GARTON PARISH COUNCIL
Year Ending
31st March 2023 31st March 2024
£ £
1. Balances brought forward 5633 4006
2. (+) Precept or Rates and Levies 4500 6000
3, (+) Total other receipts 336 500
4, (-) Staff costs 4217 4067
5. (-) Loan interest/capital repayments 0 0
6. (-) All other payments 2246 1005
7. (=) Balances carried forward 4006 5434
8. Total value of cash and short term investments 4006 5434
9. Total fixed assets plus long term investments/assets 1022 920
10. Total borrowings 0 0
Year Ended 31 March 2024
Box 3: Variation 4 increase of £164 from £336 in 2022/23 to £500 in 2023/24 due to: In 2022/23 a grant of £327 was received to help with the late Queen9s Platinum Jubilee celebrations, the council also received £9 in bank interest. In 2023/24 a grant of £500 was received to help with the King9s Coronation celebrations.
Box 6: Variation 4 decrease of £1,241 (55%) from £2,246 in 2022/23 to £1,005 in 2023/24 due to:
Increase In Room Hire Costs For Meetings £10
Increase In CPRE Membership 4 2 Years Membership Paid In 2023/24 £82
Increase In Cost Of Merchandise Used In The King9s Coronation Celebrations £605
Decrease In Defibrillator Costs (£501)
Decrease In Cost Of Merchandise Used In The Late Queen9s Platinum Jubilee Celebrations (£1,437)
(£1,241)
Bank Reconciliation As At 31 March 2024
Cash Book: Balance B/Fwd 4,006.22
Plus Receipts 6,500.00
Less Payments (5,072.12)
Balance C/Fwd 5,434.10
Bank: Business Current Account 5,434.10