Balò ODV accounts 2021 BALÒ ODV income statements Bank balance 1st January € 56.832,95Cash balance 1st January € 674,76Total funds € 57.507,71 REVENUE 2021 EVENTS € 9.760,00DONATIONS € 123.288,61SPONSORSHIPS € 16.331,00DONATIONS FOR HANDIWORKS € 17.063,94MEMBERSHIP FEES € 1.150,00TAX BACK 5X1000 € 10.762,84TOTAL INCOME € 178.356,39TOTAL CASH IN HANDS € 235.864,10 EXPENDITURES 2021 SCHOOL PROJECT € 31.867,58MEALS/FOOD SUPPORT € 54.903,05WAGES € 31.993,84DRESSMAKER PROJECT AND SEWING SCHOOL € 5.615,93REFUGE CENTRE € 3.785,06HEALTH € 7.427,72CASH TRANSFER ON DEPOSIT € 10.189,20DOWN PAYMENT SCHOOL EXTENSION € 9.259,26EXPENSES FOR EVENTS € 3.746,28MANAGER INTERNATIONAL PROJECT € 3.662,65MAINTENANCE BALO’ BUILDING AND SCHOOL € 7.755,89GENERAL EXPENSES (bank, insurance, etc.) € 2.749,00SHIPMENT AND CUSTOM EXPENSES € 1.110,23TOTAL EXPENDITURES € 174.065,69 OPERATING SURPLUS • € 61.798,41 TOTAL CASH TO HAND • € 235.864,10Bank balance 31st December 2021 € 61.770,67Cash balance 31st December 2021 € 27,74Total funds• € 61.798,41 Management report 2021