| Parish Council | Minutes of Meetings | Background Information | News |
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Receipts & Payment Account |
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For the year Ended 31st March 2003 |
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PAYMENTS |
RECEIPTS |
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Opening Balance |
4780.53 |
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Precept |
14000.00 |
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Interest received |
83.18 |
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Burial Ground |
925.00 |
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Grants and donations |
4373.34 |
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Pocket Park Income |
36.67 |
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VAT |
3030.14 |
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General Administration |
3122.49 |
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s137 Payments |
721.63 |
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Street Lighting |
5675.28 |
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Village Hall Hire |
169.00 |
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Pocket Parks |
43.63 |
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General Repairs |
6444.86 |
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Council Tax |
214.13 |
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Insurance |
314.18 |
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Miscellaneous |
41.67 |
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Closing Balance |
10656.99 |
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27403.86 |
27403.86 |
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