Registered number
04630683
Reglstered Charity number
1099336
Bhat Singh Sabha {Highgate)
Accounts
31 March 2024
POLKADOT & ELLIS
Incorporating P&W Social Aceounlanls

Bhat Singh Sabha (Highgatel
Company Information
Trustees
Mr Sukhchain Singh
Mr Prilpal Singh
Mr Mukhliar Singh
Mr Manjeel Singh
Mr Mahlnderpal Singh
Mr Jindur Singh
Key personnel: ChSef Executlve Officer & Company Secretary
Mr Vijay Singh Gola
Accountants
RB Welch
P&W Social Accountants Ltd
The Barn
173 Church Road
Northfield
Birmingham
B312LX
Bank&r8
Natwesl
30a Harborne Road
Blrmingham
B15 3A4
Reglstered offlce
256 Moseley Road
Highgalg
Blrmingham
B12 OBS
Reglgtered company numljer
04630683
Reglstered charlty number
1099336

Bhat Slngh Sabha IHighgat&>
Registered number:
Trustees, Report
04630683
Introductkjn
The Trustees who are a180 directors of IhÈ Charity for thè purposès ef thè Companies Act 2006.
present their report and accounts for the year ended 31 March 2024.
The Iruslees have adopted the provisions of Accounting and ReportirKJ by Charities.. Statement of
Recommended Practice applicable to Char￿e$ preparing their accounts in accordance wth the
Flnancial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 effective 1
January 2015.
Main A¢tlvlll•s
We have referred lo the guidance cont8in8d in thè charity commission's general gui¢Jance on public
boneflt r¢Ylewng our alm and objecllves and In planning our future activities. In particular, the
Irustses ￿nsider how planned activities wll contribute to the aims and oblectsves they have sel.
Flnan¢lal Revlew
During Ihls fin8ndal pthod. The Saffron Centre experlenced a mlxed pattern of ullllsalion. The first
hall ol thg ygar saw coritinued increased usage, however. the second hallwitnessed a notabl8
dedine. Thi6 decline was likely due to uncertainty and budget restraints resulting from sever81
macroeconom1c factor5. Additionally, the org8n18allon faced a 81gnificanl increas? in tho w5101
providing its facilitie8 and seNi¢es.
Despite the88 challenga8, th•rÉ w86 a 14.16% Increase in turnovor1£43,3181. rfslng from £￿2,556
the previou¥ y¢ar19 £305,872. The year concluded with g surplus 01 £34.370 excluding the loss due
lo tho wrlle off ol tho v6hlcl8.
Futurè Plans
Contlnued efforts are needed lo enhance the re8ources and facllStles the charity offers lo ensure the
centro r¢malns a viable, sustainable, and sought.after cornmunity resource. To th18 end, the
trustees and senlor rnanagement of The Saffron Centre are dedicated to 8¢llvely 8eeklng
opportunities albgned with thè charity's alms and obièdlvès to adilève Ihls goal.
A key focus wlll be on Ir8ns11ioning lo rarbon-noylral operations and improvlng energy effiuency
IIwou9houl Iht ctnlre. Addlllonally, efforts wll be Inlensilied to enh8nce the centres marketing
$lr8tegl8s to botssl uli15salion and en9agernent wllh the wider comrnunity.
Obl•ctlv8s, Actlvltles. Achlevements and Performan¢e
Childcareprovlslon
Follown9 the cessation ol nursery operations in September 2021, the space ulili8ed by th¥ nur89ry
has been repurposed. expandlng facilities for conference, ffleeting 8ThJ banquellng events.
Facllltl•s forrgcraatlon, l•lsurn tlme occupatlon In Ihe Interest of soclal wellare
The cèntre's facilities saw a significant increase in usage during Ihe accounting period. Over811,
thero was a 23.71°10 increase in usage and turnover ol £89,783 lor the conference & rneeling room
facilities, bringing the total revenue for the year to £294.196, comp8red lo £224.413 th¢ provious
year. This gi0￿rth further e5tabli5hes the cenlres continued demand as a vital local ￿$oUrc• lor
public, third, and privat8 88Ctor organis81ion8 fr)r th9ir eonl•rèn(*, mÉèting and trainlng n8eds.
In the Same period, the centre3 Tnain suito, also used for w¢dding rec¢plions, engagernents,
birthday partlÈS and other such prlvate events. 9enerated £5,526 in revenue. The Facilty generated
£17,948 in yèar end 31.03.2023.

Bhat Singh Sabha IHighgatel
Rogistered number:
Truste8s' Report
04630683
While there was a decrease In banqueting event9, this deellne can be attributed to the unavailability
of the facility. due to the space being used for conlerenTr and meeting events during dates when
th6 banqueting facility was required.
Additionally, the centre'5 car parking facilities conlinued Ic¢ be used by J local college. The us89*
agreernent, which expired during th9 financi81 p8riod, gènèialed £5,375 in inc(>m8.
Publlc beneflt
The trustees confirm that they have complied Mith the duty in section 17 of the Charilles Act 2011,
and Mave referred to and taken due regard to the Charity Cornmi5sion guidance on public benefit
and conside¥ the charity'8 acbvities are for the public ber￿li1.
Structure Governance and Management
Governing documentmnd chèrity eonstitutktn
The org8nlsallon is a charllable company Ilrnltod by guarantee, Incorppr¥t￿ on 8th January 2003.
amended by speclal resolutlon on 4th Oct¢ber 20cI3, amended on 7th December 2018, amended
on 12th February 2019. and registered as a charity on 9th September 2003.
The Company was established under a Mernorandum ol A860cAalion, whlch established th? gbSe¢ts
Ind powèrs of th6 charitable c¢rnpany, which 56 governed under Sls Artldes of Assoclallon.
R•erultm8nt and appolntmgnt of ngw trustg•s
Trustees are nominated by the members ol the charllable cofflpany and elected by ordinary
re801ution at the Annual General Meeting where they have the nece¥s?ry 3klll8 lo ¢enlributè to th
managernenl and dev8ltspmenl ol the charity.
Orynlsetlonal8tructur• and dgclslon maklng
The charity 15 managed by a Board of Directors are 8180 Trustee3. All Iruslee8 are membèrs ¢f
the charity, A Chief Execullve Officer is appointed by the Iru81ae$ lo admlnl$ler day-to.day
a¢tiviliès.
Induetlon and tralnlny of ngw trust•05
AJI Trustees receive ongoing trainlng and a full Induction lo Bhal Slngh Sabha. The members are
also Ihe dir&clor8 ol the Company. The directors have a policy lo r?cruil Tru￿18?9 vAth appropriat•
and ￿mplementary 8kllls 88 requi￿￿.
Rlsk manag•mont
Thè dirèctors 8cts.vely revi8W the major risks which the charlty laces on a regular basls. These risks
are recorded on a Risk Register which. comkn'ned with risk assessments, enable the eharity to
ellects'vely manage and miligale risk.

Bhat Singh Sabha (Highgate)
Rgglstered number:
Trustees. Report
04630683
Trusiaes
The following persons served as trustees during the year..
Mr Sukhchain Singh
Mr Prilpal Singh
Mr Mukhliar Sln9h
Mr Manjeèt Singh
Mr Mahind&rpal Singh
Mr Jindur Singh
statement of Tru$te•s' R•spon$lbllltl•s
The Iruslees Iwho are also th8 dirsctors of Bh8t Singm S8bha IHighgatel lor Ihe purpose8 01
company lawl are responsible lor preparing the Report ol the Trustees and the financial slatemèrtts
in accordance wth applieable law and United Kingdom Accounting Standard8 (United King40rn
Gangrally Accepted Accounting Practice). Company law requires thè trustees lo prepare Inan¢lal
statements lor each financial year which give 3 tru8 and fair vièw of IhÈ st8t8 of affairs of the
charitable company and ol the incomin9 re8our¢e8 and applicotton ol reSoUr￿s, including the
income and exp8ndlture, of the charllabl8 company lor that period. In weparing those linanual
Btslernenla. thè trugtèÉS 8ra required to,.
sel8ct sullable accounlng policleB and then apply thèm consi81enlly'.
observe the methods and principles In the Chaiiliès SORP..
mako ludg¢m&nts and esllmales that ai¢ reasonable and prudent..
slatè whether applbcable UK accounting sland8rds hav& been followed, subject to any malerlal
departurè$ disclosèd and Èxplalned In thè financ481 statements.,
prepare the fin8ndal slolements on the golng ￿ncorn basis unless Il is inapproprlats lo
prèsuma th8t the charity will continue In buslness.
Th8 trustees are responslble lor keeping proper a¢¢ounllng records whi¢h dls¢1090 Wlh reg8onabl•
accuracy at any lime the Ilnancial position ol Ihtr ehari18ble ¢¢mp8ny and lo enable them to ensure
that the flnancbal slalernents ¢omply ￿t￿ thè Companies Aet 2LKJ6. They are also responsible for
Safeguarding the a$sels of the ¢haiilob19 company and hence for taking reasonable steps lor the
prevention and d&l8¢lion of fraud and olher Irregularlties. This report haB been prepared In
accordance wth the speclal provislons of Part 15 of the Companies Act 2006 re181in9 10 8ma
companl8S.
Thls reptsrt was approvÉd by tha board of trusle8s on 15 October 2024 and slgned on 116 behalf by..
Manjeet Singh
Dir8¢tor

Bhat Slngh Sabha IHlghgate>
Ind8pondènt Examiner's report to the Trustegs of Bhat Slngh Sabha (Hlghgatel for the year
ended 31 March 2024
Respective responsibilities of charity trustees and examlner
The Iru81ees (who are also the directors of the company for the purpos8s of company lawl arè
responsible for the preparation of the accounts. The ¢haritYs trustee¥ consider that an audit is not
required for Ihls year under secllon 144 of the Charities Act 2011 Ilhe Charities Act} and that an
independent examination is needed. The charity's gross income exceeded £250,000 and
l am qualified lo undertake the examination by being a qualified member of
Institute of Chartered Aceounl8nts in England and Wales.
Having saisffed myself that the charity is not subjacl to audit undèr company law. and Is eligible for
Independent examinallon, it is my responsibility lo..
examine the accounts under section 145 of the 2011 Charities Act.
lo lollow the procèdur8s laid down in the gènèral Diréctions givèn by the Charlly Commisslon
(under section 145151{bl of the Ch8rilie8 Act., and
stsle whether particular mallers have com8 lo my attention.
Basls of Independent examSn8r'8 Statom•nt
My examination w88 carried out in accordance with general Directions given by the Charity
Commission. An examination includes a feview of the accounting records kept by the ¢harity and
comparison of th8 accounts presénted wllh those records.11 also Includes consideralion of any unusual
items or dlsclosures in the accounts. and seekSng explanations from the Iruslges conc8rning any such
matters. The procedures undertakerb do not provlde all the evidence that would be required in an audit,
and consequèntly no opinion Ss given as lo whether the accounts present a'lrue and fair, view and the
report is limited to those matters s&1 out in the slalemenl bolow.
Independent examlnerfs Statoment
In connection with my examination, no matter has cgrng lo my attgnlion to indicate Ihal..
a¢Gounllng records have not been kept in accordance with section 386 of the Companies Act
2006.,
the accounts do not accord wlth such records.,
where accounts are prepared on an accruals ba818, whether they fail,. or lo comply with relevant
accounllng requirements under section 396 of the Companigs Act 2006, or arè not ctsnsislenl wllh
the Charities SORP IFRS102}
any matter which the examlner belI￿e8 should be drawn to the attention of the reador to galn a
PToper undgrslanding of the accounts.
RB Weleh
P&W Social Accounlanls Ltd
The Barn
173 Church Road
Northfield
Birmingham
B312LX
15 October 2024

Bhat Singh Sabha {Highgate}
Statement of Financial Actlvltles
incorporating an Income and Expenditure Account
forthe year ended 31 March 2024
Current year
Unrestricted
and Total
Funds
Prlor year
Unrestricted
and Total
Fund5
2024
2023
Income & Endowments
Donations
Charitable aGtlvltles
700
305,097
261.99
Total Incomo
305.797
261,999
Expenditure on charitabl& activities
1157.$42)
(123,7561
Gro$$ proflt
148,255
138,243
Admlnistrallve expenses
Other operallng incom&
196.5731
75
169,0281
557
Opgratlng proflt
51,757
69,772
Loss on the disposal of tangiblg fixed asset8
Interest payabl?
11,4231
117,3871
110,0551
Proflt beforo tsxatlon
32,947
Tax on proflt
Proflt for thè flnanclal yèar
32,947

8hat Singh Sabha (Highgate)
Registered number:
Balance Sheet
as at 31 March 2024
04630683
Notes
2024
2023
Fixed assets
Tangible agsels
2.161.318
2,148.961
Current assets
Debtors
Cash at bank and In hand
30,865
39,353
30,033
31.589
61.622
Credltors: amounts falllng due
wlthln one year
10
1110,254)
1118.8041
Nat currènt Ilabllltl¢$
140,0381
IS7,1821
Total assets less current
IlabllStl&s
2,121,282
2,091,779
Credltors: amount$ falllng due
after more than one year
11
1204.265}
{207,709)
Net assets
1917017
1.884 070
Capltal and reserv88
Profit and loss account
1,917,017
1,884,070
Shareholder's funds
1,917,017
18e4 070
The directors are satisfied that the company Is enlilled lo exemption from Ihg requirement to obtain
an audit under secllon 477 of the Companlès Act 2008.
The member ha8 not requir8(I the company to obtain an audit in accordance wllh sgclion 476 of tha
Act.
The directors acknO￿edge their responsibilitie5 for complying with the requirement8 of the
Companies Act 2006 with respect to aecountlng records and the preparatlon of account8.
The accounts have been prepared and delivered in accordance with the special provisions
applicable lo companies sublecl to the small companles reglmg. The profit and loss aceounl has not
been delivered to the Registrar of Companies.
Manjeet Singh
Director
Approved by the board on 15 October 2024

Bhat Singh Sabha {Highgate}
Notes to the Ateounts
for thè year endèd 31 March 2024
1 A¢eountlng poll¢les
P•$i$ ofprepiratlon
The financial 8lal8tnents of tha oh8rit8bla company. which is a public benefit entsty under FR8
102, have been prepared in accordance with th8 Charities SORP IFRS 1021 'Aecounting and
Reporting by Charilie8' Statement of Recommended Practicè applicable to charities preparing
Ihelr o¢¢ounls In accordance wlth the Flnancial Reporting Standard applic8ble in th8 UK and
Republic ol Ireland IFRS 1021 leffgctive 1 January 20151., FinanGial Reporting Standard 102'The
Financial Reportsng Standard 8pplicJbl• in Ihe UK and R*publlo of Ireland, and the Companie
Act 2006. Thè financial statam8nts have be&n prepared under the historKal ¢08t Mnvgnll¢n.
T&nglble Ilxed assets
Tangible fixed assets are measured at CO8t lesg occumulHllve depr8Ei&tion and any aceumulativ&
irnpairment 108ses. Depr•¢iallon 1$ provlded on all tangible fixed assets at rates calculated io
writè tsff tho cost, lèss aslimated residual value, ol each asset evenly over its expected u¥¢fvl Ilte,
88 followB'.
Vehicles
F￿u￿$. fitt(ng$. tools and equlpment
25% reduclng balan
25% reducing ba5ancg
D•btor8
Short tgrrn d$blor$ or• maasurèd at IransaclSon prica Iwhlch is usvglly the Involca pricel, lesy any
Impalrment108s68 for bad 8nd doubttul debts.
Credltgrs
Short term credllor8 are rne8$ure4 81 Iran$8¢tion prl¢a Iwhloh 1$ uoually th8 involce pricpl.
Incom•
All in¢omtr is fo￿9n[s8<1 In the statement of fln8nclo1 activltl88 once the charity has enllllernent lo
the frjnds, il Is probable that the incoma will bo r&¢eiv¢d and the amount can ba mèasurad
Exp•ndltur•
Llabilitles ore recognised es 8xpenditssre Js soon as th8r8 is a lègal or constructivg obllgatSon
¢¢mmitting tho ¢harity to that •xpenditur•, It is probable Ihat & transfer of aconomic benefits will
be requlrgd In $oltlement and the arnount ol the obligation can be me8sured reli8bly. Exp8nditur8
is accounted for on an accruals basis and h89 beon ¢la$$ified und6r heo¢Jlngs thAt gggregale all
cost related t¢ the ¢810g¢ry. Whoro ¢osls cannot be dlreclly attrlbuted to partlcular headings thgy
hav8 b88n allocated lo activities on a basls conslstentwilh the use of resourceg.
Grants awarded included in the statemsnl of flnancial activities when approved by the
trustoe$ and agreed wlth the ieciplent. The value ol grants unpaid al the y8ai end is accruad.
Grants offered subject to conditions whl¢h hav$ not been mel at the year end date are noted as a
cornmilrnenl but not accrued 8$ expgndilure.
Taxatlon
The charltylg exempl from corpor81ion tax on its charitable activities.
Penslons
The charitable company operate3 a defined ¢onthbulion p¥n$ion g¢hgm&. ContribuNons payable
lo the charitable company's pènsion sehomo oharged to the statement ol financial activities in
tha p8riod to which th8y ralate.
Fundaccountlng
Unrestrioted general funds may be used in a¢cordan¢g with the ¢harltWs oblects at the discretion
of Ihe trustees. Dèsignatèd funds arè smounts set aside by the trustees out of unrestricted
general funds for specific future purpos6s or projects.

Bhat Singh Sabha IHighgate)
Notes to the Accounts
for thg year ended 31 MarGh 2024
2 Employees
2024
Numbar
2023
Number
Avefay& number of p8r8ons &mploy8d by the company
11
3 Charltablè actlvltlès costs
2024
2023
Dlr&et costs (not& 41
Support costs (note 51
Total
159,373
113,552
272.925
124,105
78.734
202,839
4 Dlroct coBts of charltablo a¢tlvlt108
2024
2023
Staff ¢0818
Corporate calerlng
124,466
34,907
94,813
29,292
Totsl dlrect C08t8 of charitable acliviues
159373
124 105
6 Support ¢o$ts for ¢horltsbl• o¢llvltl•s
2024
2023
Indlrect trmployeg ¢ts8ts
Premisès Costs
Adminislr81ive overheads
Log81 & profe8¥lonal laès
Depreclatlon ol assets used for charitable purpo888
Accounlancy fe*&
Examingllon fee
Total support costs for Charitab￿ 8clI￿t￿&S
553
54,686
47,294
1,069
S,820
3,530
8CpJ
113.552
716
38,285
32,054
3,6oe
1,791
1,730
550
8 Tru•t•ea' r•mungr•tlon and b•n•fits
The aggregate amount of expenses paid to Irustees was £012021.. £01
Neither th8 trustees nar any p8f50T)s connected with them have recèlvad any ronum8ratlon from
the charity or any rèlated entity. èlther in the current or prlor year.

Bhat Slngh Sabha IHighgate}
Notes to the Accounts
forthe year ended 31 March 2024
7 Stsff costs
2024
2023
GTOSS Salaries
Employeffs N8tional Insurancè
Penslon
121.770
2,577
119
124,466
93,026
1.559
228
94.813
The average number of ernployees durlng the year w98 8¥ follows..
2024
2023
Man#gèmènt
Others
15
10
No employees receSved emoluments in exce58 of £60,000
8 T•nglbl• flx•d a88•ts
Nur8•ry
Flxturos &
Flttlng8
Freehold
Property
Fixture$ &
Flttlng8
A88•t cost, valuatlon or revalued amount
Al 1 April 2023
Additlons
Dlsposals
Al 31 March 2024
2,143,S87
142.973
99.898
-1142,g73J
2.143,587
99,898
Depre¢lAtlon and Impalm•nt provl8lon•
Al 1 April 2023
Charg& lor the year
Dlsposals
At 31 March 2024
141,550
96,181
930
.1141,550
Net book valug
Al 31 March 2024
2.143.587
2,787
Al 31 March 2C123
2,143,587
Motor
vehlcle
Comput•r
equipmont
Tota18
A#8èt cost, voluation or r•valuod amount
At 1 April 2023
Addition
Dlsposals
At 31 March 2024
4.453
2,390,911
18,177
.L142,973
2.288,115
18,177
Dèpr•¢iation and Impalmi•nt prov161on8
At 1 Aprll 2023
Charge for Iho year
DSspo$al$
At 31 March 2024
4,219
59
241,950
4,397
1141,5501
3,408
3,408
Net book valu•
At 31 March 2024
14,769
175
2 181318
At 31 Maich 2023
234
2 148,961
10

Bhat Singh Sabha (Highgatel
Notes to the Accounts
for the year ended 31 March 2024
g D•btors
2024
2023
Tradè debtors
Prepayrn8ni8 and 8ccrued incomè
28,920
1.945
30,865
30,033
30,033
10 Cr8dltor¥: omounts falllng dug within on• y•8r
2024
2023
B8nk loans and overdiafts
Obligations under finance lease and hire purchase contracts
Trade creditors
Deferred income
A¢¢ru81s
Taxation and Soclal 3ecurfty c03ts
Other credltors
84,537
3,519
5,607
3,628
3,755
9,152
56
110254
92,287
5.161
4.628
1.201
13.315
2,212
118,804
11 Crèdltor8: amounts falllng du• aft•r on• y•ar
2024
2023
Bank Foan8 more than S year3 by inslalmonl
Obli9atlon$ undor nn$n¢$1oase 8nd hlre purchas• conlrgcts
192,738
11,527
204,265
207.709
207,709
12 Fund b41onc08
Openlng
fundB
Movemgnt
In funds
Clo8lng
fund8
Unrestricted funds
1,884,07D
1,884.C170
32.947
32,947
1,917,017
1917.017
Th& purposes for whlch the funds are held by the charlty ara..
Unreslri¢led fvnd$
These funds are held for the objectives of the chafily, and to
pry)vide free feserves lor lulure aclimties, and, subject to
charlty legislatlon a￿ free from all reslrictsons on their use.
13 Controlling party
Th? chawily is wholly un(%er ¢h¢ control ol th& board of Trustees.
14 Oth•r Informatlon
Bhat Singh Sabha IHighg8l81 is a charitabla company limited ty guarantee and incorporated in
England. Its registered office is..
258 Moseley Road
Highgal¢
Birmingham
B12 OBS

Bhal Slngh Sabha (Hlghgatol
Schedule to thè Statsmènt of FirtanelalActlvttle$
lor the y6at endod 31 March 2024
Th1* schedule Is an iTrlthslCpartollheac￿un18r&0Vlred£Ocornpty th* 2¢4)8 R6vision of lh& Sl8leME￿ioff
Rs¢onTrwdedPr4cllw fforAccounllffwandReporting lssuedbylhe Charty con¥￿5￿r0￿￿rs1orEffg14n￿& ￿l&s.
r6vl$8dJun$ 2008. How*v8r. iltsnol apart ¢fihe*alulorya¢counts [equIreduA￿rt￿eprQVJSlOnsor1h6 Compènlas
Aci 2906 In r81slJon lo InEoTporaledGhprfll8$
PrlorPÈrlod
Total Funds
Total Fund5
2024
2023
lThcomlng Re8our¢o6
Don•iions &L•g•¢l•8
DDthllon$
Total
700
7QO
Ch•riiabl*a¢ifvitl•$
corw￿1¢ even
Cor Park Feea
Prfvaw e¥enL8
Olh•r
Toi*l
4,1Q6
5.375
5.528
75
305 172
224,413
19.638
17.948
551
262 5S6
Toial In¢omlng R••our¢••
305,872
Expendbtur• on Charftsbh Actlvltl•8
Dlrectco&is
Gross wAg88 and ￿an&b-char1tSbI¢4d￿Ilh
121,770
2,S77
99,026
1.$¥
228
P•Mion tonirfbulitsnsth0r￿1￿a Impbyo
Corporate cÈi¢nno prtsviÈion
169 373
1241QS
rd•Mg•m•nt•nd•¢mlnl•tr•llon ¢o•l¥ In &upport of ¢h•rii•bl••¢tlvld•s
Inrflr•¢l •mployM ¢oJ
Trjinlng •ndwfyll•
SS3
718
718
I￿$, w419r8nd it￿¢+¢hOr4•S
In8vran¢
•pglrs, m81ntqn8n￿ & iirth?I
Li9hl and h981
legni
1.3$Z
3.TQO
14,553
34.118
1.493
686
8.490
3.020
0.012
17.7$S
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Lo•n 80d HP inter881
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Moior Expens85
81•ttoneryand Printing
Gener31 oifirE Cobis
Reluse & 5anitarycdlecUon
Ad¥etUsing and PR
B￿kChargeS
6,ZS2
14
3,099
2,3e8
17,387
S,174
1,896
2.112
2.002
10.055
1.43?
6,023
1.150
2.615
4.201
2.728
509
700
627
2.960
1.826
2.910
427
Pro1￿lo￿al heslnsupportolcharftsbl2tctlvlllp
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I,Q69
3,60
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1.423
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Oiher lees paid tothtr Exarnit*iS
600
3.630
4,130
S50
1,730
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272.925
292.839
12