Below is the Finance Report for August 2021. The Cash Flow graph represents our ‘Cash at Bank’ at the end of each month. ‘Cash at Bank’ refers to all our bank accounts, but not our Capital Funds or Special Projects Account. The second graph shows the gap between budgeted and actual giving – this helps us see how the ‘gap’ is tracking.
We are in the process of preparing the 2022 budget. Stay tuned for details of how and when this will be communicated.
For a more detailed explanation of our current financial position, or if you have any questions, please feel free to contact our Finance Manager, Janet Sutton, for more information – 3398 4333 or firstname.lastname@example.org