1968 Balance sheet (covering letter by Claude Fisher); Oct 1969 Statement of Funds; 1969 Income/Expenditure; 1970 10 Year Cash flow spreadsheet (including Diocese and Bishops' individual donations listed); 1971 Income and expenditure analysis; 1972 Administrator's report and accounts; 1973 Administrator's report and Accounts; 1974 Administrator's report and Accounts (plus usage statistics); 1975 Balance sheet plus notes; 1976 1st Quarter summary sheet; 1976 2nd Quarter summary sheet; 1976 3rd Quarter summary sheet; 1975-1976 Insurance specification (Walsingham properties); 1975/6 Accounts; 1977 accounts; 1977 budget comparison; 1978 accounts; 1979 accounts (draft); 1980 accounts (audited); 1979/1980 manuscript spreadsheet outgoings; 1981 accounts; 1981 Estimated Cash flow - Slipper Chapel; 1982 Accounts; [c October 1982 - auction] Analysis of Expected revenue and expenditure; 1984 Walsingham Trust Accounts; 1984 Accounts; 1985 Accounts; 1986 Accounts; 1987 Accounts; 1988 Accounts; 1989 Walsingham Trust Accounts; 1989 Accounts; 1990 Accounts; 1990/91 Income & Expenditure estimates; 1991 Accounts; 1992 Accounts; 1993 Accounts; 1994 Accounts; 1995 Trust Annual report and Accounts; 1995 Accounts; 1996 Accounts; 1997 Trust Annual report and Accounts
Fisher, Claude MBE KSG (-1985)Page 1: Statement of accounts (line entries for Income & Expenditure) as at 30/11/1990
Page 2: Form - summarising Income
Page 3: Form - summarising Expenditure
Summary of finances issued to the congregation by the parish priest. 1995 compared with 1994
Income and expenditure itemised under broad headings showing a surplus of £205 and £166.13 in current account.
Comment that visitors help; debt paid off; still need £2000 to rewire the house - a job not done in 1990.
1 2-ring binder - HSBC bank statements - 12 Jan 2015 (sheet 257) to 11 may 2019 (sheet 310)
1 document wallet - 8 receipt books
1 document wallet - accounts; membership lists; cheque book stubs
1 2-ring binder - HSBC bank statements - 12 Jan 2015 (sheet 257) to 11 may 2019 (sheet 310)
1 document wallet - 8 receipt books
1 document wallet - accounts; membership lists; cheque book stubs
Income vs expenditure - manuscript completed form
Minutes (and some papers) for 129 meetings (AGMs & Branch Executive meetings); mainly typescript, a few handwritten; includes separate reports from special interest groups, national meetings, camp events. Occasional financial information provided by the treasurer.
Meetings held around the Diocese e.g. Ipswich, Thetford, Newmarket, Sprowston, Hellesen, Ely, Fakenham. Majority of meetings help in St John's Hall, occasionally at the convent across the road.
More detailed account of monies within the parish - Church Income & Expenditure, School Fund, Social Club, Special collections
Ketterer, John Joseph Rev SJ (-1973)Pg1: Summary of the events for the section during 2001/2
Pg2: Statement of accounts to end of 2001
Balance sheet for CWL HQ.
manuscript notation: "COIF - Charitable Organisation Investment Fund"; "Levey £5.00 per section for accountant fees. adopted."
Profit & Loss A/c for CWL HQ.
manuscript notation: "Not audited"; "5550 paid-up members"; "£28046.77p to Korgotcha"
List of donors[?] - total is £40-18-2
Ketterer, John Joseph Rev SJ (-1973)List of donors[?] - total is £36-18-8
Ketterer, John Joseph Rev SJ (-1973)Accounts to 31 December 1989
The Guild of our Lady of IpswichAccounts to 30 September 1989: Income £1555.57 / Expenditure £849.08 / Balance £716.49; working capital £700 interest free loan
The Guild of our Lady of IpswichAccounts to 30 June 1989: General Fund (£59.69p) / Plaque Fund (£331. 68p) / St Nicholas Church Appeal (£919.37)
The Guild of our Lady of IpswichIncome (£139.00) / Expenditure (£125.25) / Fund Balance (£328.26)
The Guild of our Lady of IpswichPage 1 & 2: "Balance Sheet" providing summary information for "A" - The Meryemana Foundation and "B" - The Guild
Page 3: Notes for interim financial statement
Accounts to 30 March 1990
The Guild of our Lady of IpswichAnnual Report and Accounts to 31 March 1991
Blue cover page
Page 1: Personnel involved (Trustees, Committee, Architect, Accountant, Solicitor, Fund raising consultant)
Page 2-5: Launch, Lease, Structure, Planning, Fund-raising, Staff, Publicity/Events, Media, Talks, Summary, Thanks
Page 6-7: Report of the Directors
Page 8-14: Auditors report