Each
year the team produces a set of audited accounts
for submission to the Charities Commission. A summary of
these accounts is shown below for 2001. This shows
where the team's
income is spent, and also where our income is sourced.
| Receipts: |
|
| Grants |
£1925 |
| Donations |
£7275 |
| Boxes |
£2394 |
| Fund-raising
events |
£1487 |
| Interest |
£974 |
| Sundry |
£398 |
| Expenditure |
|
| Vehicle
running |
£3257 |
| Equipment
renewal |
£3619 |
| Issued
equipment |
£7 |
| Medical
Equipment |
£567 |
| HQ
running/maint |
£3646 |
| Publicity
|
£161
|
| Admin
costs |
£14 |
|
Training |
£1345 |
| Pagers
and Phones |
£3867 |
| Radio
equipment |
£215 |
| Total
Income |
£14453 |
| Total
Expenditure |
£16698 |
| Deficit
During Year |
-£2245 |