Balò accounts 2023 BALÒ ODV income statements Bank balance 1st January 2023 € 38.779,33Cash balance 1st January € 45,72Total funds € 38.825,05 Revenue 2023 EVENTS € 18.272,54DONATIONS € 105.525,28LONG-DISTANCE ADOPTIONS € 16.652,00DONATIONS FOR HANDIWORKS € 13.744,80MEMBERSHIP FEES € 1.400,00TAX BACK 5X1000 € 13.935,00REFUNDS € 10TOTAL INCOME € 165.527,68TOTAL CASH IN HANDS € 204.352,73 EXPENDITURES 2023 SCHOOL PROJECT € 31.702,28MEALS/FOOD SUPPORT € 42.300,11WAGES € 35.250,56DRESSMAKER PROJECT AND SEWING SCHOOL € 7.507,72REFUGE CENTRE € 3.672,52HEALTH € 7.016,88EXTRAORDINARY FLOOD DONATION €13,540.00EXPENSES FOR EVENTS € 6.498,43MANAGER INTERNATIONAL PROJECT € 9.806,01MAINTENANCE BALO’ BUILDING AND SCHOOL € 3.102,00GENERAL EXPENSES (bank, insurance, etc.) € 4.231,97SHIPMENT AND CUSTOM EXPENSES € 964,79TOTAL EXPENDITURES € 166.063,06 OPERATING SURPLUS • € 38.289,67 TOTAL CASH TO HAND • € 204.352,73Bank balance 31st December € 37.828,55Cash balance 31st December € 461,12Total funds• € 38.289,67