SPIRIT OF SOCCER, INC.
FINANCIAL STA TEMENTS
APRIL 1. 2022- MARCH 31. 2023

CONTENTS
Compilation Report.................................................................................................................................
Statement of Assets, Liabilities and Net Assets- Cash Basis
US Dollars.................................................................................................................................................
Statement of Revenues, Expenses and Changes in Net Assets-
Cash Basis, US Dollars............................................................................................................................
Statement of Assets, Liabilities and Net Asset5-
Cash Basis Pounds..................................................................................................................................
Statement of Revenues, Expenses and Changes in Net Assets-
Cash Basis Pounds..................................................................................................................................
Notes

Spirit of Soccer. Inc.
Johnstown, Pennsylvania
I have compiled the accompanying statement of assets, liabilities and net assets- cash basis of
Spirit of Soccer, Inc. as of March 31, 2023, and the related statement of revenues, expenses,
and changes in net assets- cash basis for the period running April 1. 2022 to March 31, 2023.
The statements have been prepared on the cash basis of accounting, which is a
comprehensive basis of accounting other than generally accepting accounting principle5.
A compilation is limited to present in the form of financial statements information that is the
representation of management.
Laurie Helsel
Independent Financial Advisor
December 29, 2023

SPIRIT OF SOCCER. INC.
Johnstown, Pennsylvania
STATEMENT OF REVENUES, EXPENSES AND CHANGES
IN NET ASSETS- CASH BASIS- US Dollars
For period ending March 31, 2022
ASSETS
CURRENT ASSETS
Cash
TOTAL CURRENT ASSETS
LIABILITIES AND NET ASSETS
NET ASSETS
Unrestricted Net Assets
TOTAL NET ASSETS
TOTAL LIABILITIES AND NET ASSETS

SPIRIT OF SOCCER, INC.
Johnstown. Pennsylvania
STATEMENT OF REVENUES. EXPENSES AND CHANGES
IN NET ASSETS- CASH BASIS- US Dollars
For period ending March 31. 2023
REVENUES
U.S. Department of State Grants
Other Grants & Contributions
TOTAL REVENUES
1,770,000
154 020
$1,965,787
EXPENSES
Program Services
Management and General
1,755,311
TOTAL EXPENSES
1,850,389
CHANGE IN NET ASSETS
Net Assets, March 31, 2022
85,980
Net Assets, March 31, 2023
201,378

SPIRIT OF SOCCER, INC.
Johnstown. Pennsylvania
STATEMENT OF REVENUES. EXPENSES AND CHANGES
IN NET ASSETS- CASH BASIS- POUNDS
For period ending March 31. 2023
ASSETS
CURRENT ASSETS
Cash
TOTAL CURRENT ASSETS
LIABILITIES AND NET ASSETS
NET ASSETS
Unrestricted Net Assets
TOTAL NET ASSETS
TOTAL LIABILITIES AND NET ASSETS

SPIRIT OF SOCCER, INC.
Johnstown. Pennsylvania
STATEMENT OF REVENUES, EXPENSES AND CHANGES
IN NET ASSETS- CASH BASIS- POUNDS
For period ending March 31, 2023
REVENUES
U.S. Department of State Grants
Other Grants & Contributions
1,392,048
121075
TOTAL REVENUES
S $1,513,123
EXPENSES
Program Services
Management and General
1,380,166
TOTAL EXPENSES
1,454,945
CHANGE IN NET ASSETS
Net Assets, March 31, 2022
59,024
Net Assets, March 31, 2023
117,202