Financials 2025-04 April
A breakdown of our finances for the month of April, 2025. For the previous month see Financials 2025-03 March, for the next month see Financials 2025-05 May.
Quick summary
Overall Assets: £41,865.98
Current Assets £32,467.99
- Closing Stock £74.2
- Equals Money £561.03
- FairFX £0.00
- Petty Cash £77.5
- Stripe £89.05
- SumUp £0.00
- TSB Account £31,666.21
Other Assets
- Fixed Assets £2,547.99
- Rental Deposit £6,850
Imbalance £0
In/out Breakdown
Income
Donations £70.76
- Membership Payments £3,011.39
Events £0
Inductions £0
- 3D Printer Induction £0
- Embroidery Induction £60
- Laser Induction £20
- Lathe Induction £0
- Mill Induction £0
- Planer Thicknesser Induction £0
- Table Saw Induction £0
- Tig Induction £0
Interest Income £0
Material Shop £0
Membership Payments £3,060
Other Income £0
- Members Box £0.0
- RFID Card £0
Pledge Payments £0.00
Snackspace £500.00
Tool Usage £0.00
Workshops £0
- Eventbright £0.00
Total Revenue £6,722.15
Expenses
Adjustment £0
Bank Service Charge £21.99
Bizspace Rent
- F6 £2,558.5
- G4,5,6 £1,517.29
BOC Gas £35.64
Cleaning £230.99
Depreciation £0
Donations £0
Infrastructure £0.00
Insurance £0.00
Miscellaneous £0.0
Professional Fees £0
- Accounting £0
- Legal Fees £0
Teams
- Craft £0.0
- Electronics £19.35
- Events £0
- Hackspace 2.5 £0
- Material Store £0
- Membership £0.00
- Metal Working £0.00
- Network and Servers £35.78
- Resources £0.00
- Saftey £0
- Snackspace £210.86
- Software £0
- Tools £0.00
- Trustees Misc £20.88
- Woodworking £116.26
Tools and Equipment £12.25
Utilities £0
- Business Rates £402.03
- Electric £712.16
- Garbage collection £0
- Gas £0
- Internet £51.6
- Phone £0
- Water £34.12
Workshops and Events £45.00
Total Expenses £6,024.70
Net income for Period £697.45