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|||ttnrestricted|||
|---|---|---|---|---|
|||Funds|Total|Total|
|||2023|2023|2022|
|INCOME X EXPEND1TURE|Note||f||
|INCOME RESOURCES|||||
|Donations<br>E' Subscriptions||39.492|39.492|30.057|
|Interest Receivable||7|7||
|TOTAL INCOMING<br>RESOURCES||39.499|39.499|30,057|



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|||||0|
|---|---|---|---|---|
|Indirect Expenditure:|||||
|Management<br>R.Administration||65||20|
|TOTAL RESOURCES|EXPENDED|65|0|20|
|NET INCOMING<br>RESOURCES FOR THE YEAR||98,326||68.289|
|Balance brought<br>I'orward|at 1st May 2022|39,434||30,037|
|Balance carried forward|at 30th April 2023|137,760||98,326|





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|||||||2023|2022|
|---|---|---|---|---|---|---|---|
||||||Note|||
|CURRENT ASSETS||||||||
|Cash at 13ank|rt'c in|1land||||137.760|98,326|
|||||||137.760|98.326|
|LIABILITIES: Amount|||due within|one year|3|||
|NET CURRENT||ASSETS||||137.760|98,326|
|TOTAL ASSETS||LESS|CURRENT LIABILITIES|||137,760|98,326|
|FUNDS||||||||
|Unrestricted||||||137,760|98,326|
|||||||137.760|98,326|





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|2. MANAGEMENT|&ADMINISTRATION|2023||2022||
|---|---|---|---|---|---|
|Advertising||||||
|Bank Charges|||65||20|
|Accomodation||||||
||||65||20|
|3.LIABILI TIES||2023||2022||
|Amounts<br>due within|one year|||||
|Accruals||||||



