Financials 2025-06 June

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A breakdown of our finances for the month of June, 2025. For the previous month see Financials 2025-05 May, for the next month see Financials 2025-07 July.


Quick summary

Overall Assets: £43,104.67

Current Assets £33,706.68

Closing Stock £74.2
Equals Money £1,420.89
FairFX £0.00
Petty Cash £77.5
Stripe £29.15
SumUp £0.00
TSB Account £32,104.94

Other Assets

Fixed Assets £2,547.99
Rental Deposit £6,850

Imbalance £0

In/out Breakdown

Income
Donations £61.01

Membership Payments £3,124.17

Events £0
Inductions £0

3D Printer Induction £0
Embroidery Induction £0
Laser Induction £110
Lathe Induction £0
Mill Induction £0
Planer Thicknesser Induction £0
Table Saw Induction £20
Tig Induction £0

Interest Income £0
Material Shop £0
Membership Payments £3,160
Other Income £0

Members Box £0.0
RFID Card £0

Pledge Payments £0.00
Snackspace £370.00
Tool Usage £0.00
Workshops £5

Eventbright £0.00

Total Revenue £6,850.18


Expenses
Adjustment £0
Bank Service Charge £16.58
Bizspace Rent

F6 £2,661.7
G4,5,6 £1,577.12

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 £0.00
Events £0
Hackspace 2.5 £0
Material Store £0
Membership £0.00
Metal Working £0.00
Network and Servers £98.71
Resources £105.55
Saftey £0
Snackspace £66.87
Software £36.43
Tools £0.00
Trustees Misc £0.00
Woodworking £209.23

Tools and Equipment £45.97
Utilities £0

Business Rates £402.00
Electric £786.74
Garbage collection £0
Gas £0
Internet £51.6
Phone £0
Water £0.00

Workshops and Events £0.00

Total Expenses £6,325.13

Net income for Period £525.05