Documents

2022 November – Enstone Parish Hall Financials

EPHMC Financial Reports Uploaded on January 4, 2023

Profit and Loss Report
from 01/11/2022 to 30/11/2022

We had a few extra bookings in November, it is good to see a profit for the month.
Gratuities relates to Accounts checkers gift – 2 bottles of wine.
For the next 6 months we will be getting Energy relief, meaning our EDF ddr will be £203 per month, to be returned to £447 at the end of this period
Sales £
Litchfield Room non regular users

Litchfield Room Regular users

Ofgem

Main Hall Hire non regular users

Main Hall hire – regulars

20.00

40.00

137.60

362.00

1,444.20

 Total Sales 2,003.80
Expenses £
Servicing:Heat Pump/CCTV/Fire Alarm

Accounts

Booking Costs

Cleaning Costs

Gratuities

Business Rates

Electricity

Water

153.12

250.00

212.35

96.24

13.00

65.00

447.00

11.41

 Total Expenses 1,248.12
 Net Profit 755.68