Stocksfield Parish Council Summary report from 1-May-2022 to 31-May-2022 (figures exclude VAT)  
               
Payments     Environment (contd)     Community Support  
Employment     Bus shelters 0.00   Remembrance Service 0.00
Salary 1,548.33   Christmas tree 0.00   Burial Board 1,700.00
National Insurance 118.94   Misc Environment 0.00   Grants - Sec 137 Parish 0.00
Payroll 12.50   Litter bins 0.00   Grants - Sec 137 non parish 0.00
Clerk expenses 0.00   VATCS maintenance 0.00   Grants - general 1,000.00
Total Employment 1,679.77   Climate change 0.00   Total Community Support 2,700.00
Administration     Total Environment 1,767.04   Contingency  
Office rent 0.00   Communications     Contingency 0.00
Meeting room hire 0.00   Website 0.00   Total Contingency 0.00
Telephone 47.78   Newsletter printing 0.00      
Stationery 0.00   Newsletter design 0.00   Total Payments 7,275.20
Office equipment 66.65   Newsletter delivery 0.00      
Photocopier lease 0.00   Misc comms 0.00      
Photocopying charges 8.61   Total Communications 0.00      
Audit fees 100.00   Sports Facilities        
Courses and training 0.00   Grass cutting (SF) 0.00      
Subscriptions 655.35   Sports field rent 0.00   Receipts  
Insurance 0.00   Sports field rates 0.00   Precept  
Misc Admin 0.00   Sports field initiatives 0.00   Precept  0.00
Bank charges 0.00   Car park loan 0.00   Total Precept 0.00
Councillor expenses 0.00   Sports field maintenance 0.00   Sports facilities  
Total Administration 878.39   MUGA rent 0.00   Sports field rents 0.00
Environment     Total Sports Facilities 0.00   MUGA rent 0.00
Estate and verge cutting 0.00   Play Facilities     Total Sports facilities 0.00
Seats 0.00   Grass cutting (PF) 0.00   Misc Receipts  
Planters 0.00   Equipment inspection 0.00   Miscellaneous Receipts 871.84
Bedding plants 0.00   BEPA maintenance 150.00   Grounds services recharge 0.00
Grounds Services contract 1,749.00   Kates Plain Maintenance 0.00   Bank interest 0.00
Grounds Services ex contract 0.00   Kates Plain rent 100.00   Total Misc Receipts 871.84
Defibrillators 18.04   Footbridge 0.00      
Tree inspections 0.00   Total Play Facilities 250.00   Total Receipts 871.84