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2021-05-31-accounts


crual Basis
J u n e 2020 throu gh
INay 20
21
Jun '20 - May 21 Jun 19 ~ May 20 E Change Cliange
Ordmary
IncomeiE xpense
Im ome
Gifts and Donations Income 6 4
Gifts ano Donations
Total Gifts and Donations In "61 64'
Government
Grant
' 461
Total Income
Expense
Bank serwce charges U
RenewalFee
U1
Total Bank Serwce Charges
Insurance
Square
Mile
Total Insurance
Miscellaneous
Miscellaneous - Other
JU '
Total Miscellaneous
Pay ou Expenses
Imam Fees
' Cor 3-
Prayer Service
Payroll Expenses - Other
Jo
Iotal vayroii Pl pe
Professionai
Fees
Accountmg
DBS Check
Total Professional
Rates
I.ees 4
394
'4 4,4
Repairs
Builumg
Repairs
Buildmg
Repairs
- Other
Total Building Repairs
Window cleaning 0'
Repairs
- Other
Tolal Repairs
Supplies
Supplies
~ Other
Total Supphes
Uuht es
Gas and Electnc 1 16
Electric
Gas
Total Gas and Electnc
Total Utihties 446 Un 16 5
56 .
Total Expense
Net ordiiiary
Income
Prolit for the Year
iex
r.
'
I rxo-..
11,040 99
8.550 37 '4vc':
2 490 62
29 I'I.

31 May 21 31 May 20 F.Change %Change
ASSETS
Fixed Assets
38 The Broadway
Building
Refurbishment
2GI
OGO 00
532 053
25 i 'in0 nO
5.270 53
003
" 00
00
Gn„
Total Fixed Assets 31427053 3142'053 GOO 00;(
Current Assets
Cash at bank and in hand
HSBC Current Account
Petty Cash
4I 800 50
i 441 48
30
41 5v
I 423 56
'I 0'6 5 I
-1/ 52
36 0"
-I 2,
Total Cash at bank and m hand 40 359 02 29 3'5 03 ii G4G 99 3
I
Total Current Assets 40 359 02 29 318 G3 I 04G 95 3
NET CURRENT ASSETS 40 359 G2 29 315 G3 II 04G 99 3 7:
TOTAL ASSETS LESS CURRENT LIA .. 354629 55 343 588 55 ' ' 040 99 32
NET ASSETS 354.629 55 343 588.56 11,040.99 3.2%
Capital and Reserves
Retained
Earnings
Profit for the Year
34' 568 56
II 040 99
335038 19
c 55G 3
8 550 3'
2 490 62
262
29
Shareholder
funds
354.629.55 343.588.56 11040 99 3.2'