Stocksfield Parish Council Summary report from 1-Jul-2022 to 31-Aug-2022 (figures exclude VAT)  
               
Payments     Environment (continued)     Community Support  
Employment     Bus shelters 0.00   Remembrance Service 0.00
Salary 3,096.66   Christmas tree 0.00   Burial Board 0.00
National Insurance 237.88   Misc Environment 0.00   Grants - Sec 137 Parish 500.00
Payroll 25.00   Litter bins 0.00   Grants - Sec 137 non Parish 0.00
Clerk expenses 0.00   VATCS maintenance 0.00   Grants - general 0.00
Total Employment 3,359.54   Climate change 0.00   Total Community Support 500.00
Administration     Total Environment 4,299.92   Contingency  
Office rent 0.00   Communications     Contingency 0.00
Meeting room hire 0.00   Website 0.00   Total Contingency 0.00
Telephone 68.94   Newsletter printing 0.00      
Stationery 0.00   Newsletter design 0.00   Total Payments 10,521.75
Office equipment 0.00   Newsletter delivery 0.00      
Photocopier lease 94.98   Misc comms 0.00      
Photocopy and print 0.00   Total Communications 0.00      
Audit fees 400.00   Sports Facilities        
Courses and training 0.00   Grass cutting (SF) 0.00   Receipts  
Subscriptions 0.00   Sports field rent 875.00   Precept  
Insurance 0.00   Sports field rates 0.00   Precept 0.00
Misc Admin 0.00   Sports field initiatives 0.00   Total Precept 0.00
Bank charges 0.00   Car park loan 0.00   Sports facilities  
Councillor expenses 0.00   Sports field maintenance 0.00   Sports field rents 0.00
Total Administration 563.92   MUGA rent 100.00   MUGA rent 0.00
Environment     Total Sports Facilities 975.00   Total Sports facilities 0.00
Estate and verge cutting 0.00   Play Facilities     Misc Receipts  
Seats 0.00   Grass cutting (PF) 0.00   VAT Repayments 0.00
Planters 0.00   Equipment inspection 0.00   Miscellaneous Receipts 0.00
Bedding plants 656.67   BEPA maintenance 713.37   Grounds services recharge 0.00
Grounds Services contract 3,480.00   Kates Plain Maintenance 110.00   Bank Interest 11.78
Grounds Services ex contract 50.00   Kates Plain rent 0.00   Total Misc Receipts 11.78
Defibrillators 113.25   Footbridge 0.00      
Tree inspections 0.00   Total Play Facilities 823.37   Total Receipts 11.78