Tollard Royal publishes all its financial transactions in compliance with the transparency code. The PC is required to show all payments over £100.00 The financial statement is reported at each Parish Council, minuted and listed on this website.
The cash flow details all expenditure undertaken by the Parish Council and is usually updated after each PC meeting
Monthly report 1st March 2018
Summary for ease
Balance on current account reported to the PC is £1,194.92
Balance on the savings account is £8,816.19
Giving a total fund of £10,011.11
During February we had 1 spend over £100 which was the Clerks salary. In January the PC received £200 as a cash donation from Waitrose in respect of damage caused to t shear memorial. In January we incurred 2 cost for maintenance on the pond and orchard. We also paid a councillor annual travel expenses.
Cash flow remains on budget and in a strong financial position.
The cash flow and cash book has been published on our website as at 28th February 2018
You can see the latest financial statement here which details ALL spend
You can download a copy of last years cash flow here 2016-2017 cash flow
A decision was taken on 9th January 2017 at the Parish Council Meeting.
The Parish Council AGREED A precept of £4768.00 for the year 2017 – 2018, which is an increase of 1.87%
This means that for Band D you will pay an additional £1.36 pence a year. Your total precept figure that will appear on your council tax bill will be £73.93
You can read our full budget here precept-2017-2018-final-for-approval