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Minutes of the Parish Council Meeting on 8th December 2020

APPENDIX 2: Bank Reconciliation Month ending Nov 2020

Reconciliation of balances 30 Nov 2020
Balance per bank statements  
   
Current Account Unity27,256.23 
Reserve Account Unity10,000.00 
Nationwide Savings Acc75,000.00 
Subtotal 112,256.23
   
Less unpresented credit card -925.51
Less unpresented payments 0.00
Unbanked cash 0.00
   
NET BALANCES 111,330.72
   
   
The net balances reconcile to the Cash Book   
(receipts and payments account) as follows:  
Opening Balance at 1 April 2020 98,815.40
Add: Receipts in the year 40,345.45
Less: Payments in the year  -27830.13
   
CLOSING BALANCE per Cash Book  111,330.72