NATIONS DISCIPLESHIP ENTERPRISE
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
For the year ended
31 March 2021
Charlty Number 1111488

NATIONS DISCIPLESHIP ENTERPRISE
Contents
Page
Members of the Board and Professional Advisers
Trustees. Annual Report
2to4
Statement of Trustees. Responsibilities
Independent Examinerfs Report to the Trustees
Statement of FSnanclal Attivilles
Balance Sheet
Staternent of Cash Flow5
Notes to the Financial Statement5
IOto14
The followlni p•8•s do not fomi part of th• accounts:
Detailed Statemeni of Finandal Attivity
Is

NATIONS DISCIPLESHIP ENTERPRISE
Members of the Board and Professional Advisors
Reolsiered Charliy name
Naiions Discipleship Enterprise
Charfty Number
1111488
Éxecut1￿ Comrnlttee
A Muwonge
L Hearnden
R Bowers
ReOsiered Offlct
6 Broad Road
Sale
Cheshire
M33 2AL
Independent E)t•mlner
Mitchell Charlesworth ILP
Chartered Accountants
3rd Floor
44 Peter Street
Manchester
M2 5GP

NATIONS DISCIPLESHIP ENTERPRISE
Trustees Annual Report
Year ended 31 March 2021
The Trustees present their report and the unaudited accounts of the charity for the year erthd 31 March 2021.
Rtfertnte and admln15trdtlve detalls
Reference and administrative details are shovm in ihe s(hedU￿ of members ol the board and prolesslonal advlsers on page
l of the at£ounts.
Trustees
The trustee5 who served the charity duriTh8 the period were as follows:
A Muwon8e
L Hearnden
R Bowers
Status
Natiens Di5cipleshlp Enterprise was constituted by a Oe(laration of Trust dated l JU￿ 2¢YJ5.
l>Jr Maln Oblecllves
Nations Discipleship Enterprise is founded on a mis5￿￿ to 5UPPOrt the vul￿rable children and communities of U8anda.
The charity extend5 Itself through Destiny Bridge Academy, K¥mpala Children's Centre IK.C.C.l Destiny Bridge Church and the
Brld8e Leèdership Network. Today, Kampola Children's Cefitre stafios as a core proje¢1 of the charity. Throu8h its medlc•l
centre, housin& primary and secondary schools, rt's offerin8 vltal relief from poverty. It compasslonatety fosters the
children in ils care and equips them with industry skills. It offers workpl¥¢e development pro8r•ms, creative ¢ourse5 and full
access io Destiny Africa Child￿n.$ Choir International iours. li's also investifig in the comrnunity. extending leadership.
heakh care and sklll developmerst programs both Ic￿lIV and nat6onally.
Govemance
Governed by trustees, the board oversees the Implementatlon of pollcy and recrultment of senlor staff for the charlty.
Trustees are selected frorn a wide ran8e of relationships established throu8h the mi55ionary work by the founder, Amold
Muwon8e. Trustees are expected to understand the vision and objectives ol the charity and promote its values. All new
trustee5 are subject to the approval ol existin8 trustees and are to actively yjpport the cornmunities within which we
operate, Althou8h fouThded upon Christian value5. Nation5 Oisciple5hip Enterprise 5erve5 persons Irorn all back8round5.
The da¥-tO￿a¥ management olthe charity ha5 been delegated to Leah Fletcher. Thi5 isover5een by Arnold Muwon8t
ITrusteel and Mèrtin Lf¢tle (Treasurerl.
Remuneration Itvels are set by the Trustees and ave reviewed on an annual basi*
The Trustees have revlewed the risks faced by thecharity. and systems have been established to manage those rlsks.
Core Oblectfves and A￿VItIes.
The charity conshlers the provision of htyjsing, foctyj. educaiioTr and heakhcare ro vulnerable children as one of it5 primary
objectives. Its core values further irKlude the mentorin8 of youn8 people and the traiThing of church, buslness and
comrnunity leaders.
The trustee5 confirm that they have relerred to the guidance contained in the Charity Commi$5ion'$ Beneral
inlorrnation on public benefrt when reviewing the Foundation'5 aims and objertive5 and in planning future acti￿tieS.
End 4fYear Report for the ptrlod Aprfl 1020- M¥r¢h 2021
NDE-Network UK has continued to work hard in creating programs and supporting ihe work of Kampala Children Centre,
U8anda. Our VK trustees, staff and volunteers have worked hard to ensure that UK administrative, 8overnance,
administrative and fundraising efforts are well coordinated and beneficial to ihe entire charity. In Uganda we have
contlnued to 8Sve the best care ro the least and most needy thildren and ytyjng people livlng in Wakiso tovm council and its
neighbouring communities ihrough our warm lovin8 children's home. Kampala Children's Centre IKCCI and schools,. Destinv
Brid8e
Acaderny.
Primary
and
KiThJer8arten
as
Stride
Hi8h
School.

NATIONS DISCIPLESHIP ENTERPRISE
Trustees Annual Report IContlrfL*O)
Year ended 31 March 2021
Flnanclal re¥lew
During the year. incorning resources raised amounted to £260.52112020- £290.9951. Re50urce5 expended on the artivities
of the charity. arnounted to £268.627 12020.. £228.1711. The ck>5ing lund balance is £49.225 12020.. £57.3311 and will be
utilised in the future for charitable attivitie5.
Flnanclr*
The charity ralses its funds from Individuals. (hurthes and well-wishers who subscribe to the philosophy of rts causes.
Funds are raSsed fo¥ specwlc causes. restrlrted or allocated as perdonor prelerence.
Due to the shortage of full funding for the charity's programs. the £harr(y does not hold a reserve account except in the form
of unused restrirted income which later getsallotsted to ihe intended projetts.
Educatlon
Due to the pandemic there have been slgrsificant changes to our education programs. Hundreds of our students In the
community couldn't attend school due to lockdown5 and those at KCC had to be home schooled. To miti8ate the neBative
impact on the Students and brKlge academic gap5. we re50rted to online learning and providing printed education resources
directly to students in the community. Despite challen8es of the pandemic, our education pro8rarn continues to benefit
both the resident childreTh at KCC and non.re5•Jent vulnerable children in our famity based care proBram.
Chlldcare & H*akh
KCC £ontinues to take care of resident children includin8 babies and students in the surroundin8 communities. Our partly
completed medlc31 centre t￿1[nUeS to serve the children. staff and COH chlldfen. The medlcal centre bulldln8 contlnues
being built amidst Challenges of lockdowns and restrictions. We have been able to provide tons of food to hundreds of
starving families durln8 lockdowns
Coronavlrus
Our PfO8rams have been immensely affected due to lockdowns and restrictions. We moved to home and di8ltal learnln8.
A150 13 staff and 8 universit¥ students caughi the viru5, however, we are relieved that ihey all ful￿ recovereé. At the tlrne
of writing this report Schools are siill closed and learnin8 contirsue5 at home and di8ltall¥.
THE YEAR AHEAD
SIK*rt Term
We are preparSn8 forthe reopenin8 of schools
Plannin8 to officially open the Destiny Medical Centre In February 2022
Oestiny Africa shall continue with online concert5 and meeting5
The Lon8 Term
Xeep developln8 the STEM Centre at Kampala Child￿rt Cent
Establish a talent ènd skills devÈlopmÈnt academy wilhin our current sewdary school stwtture to help our young
people on career planning and employability
Continuin8 Wlth the refurbishment of the KCC campus
All thls couldn't have been posslble wlthout the gener051ty of our supporters and commttment from our staff and
volunteer5. Thank you.
May God dchly ble59yOU.

NATIONS DISCIPLESHIP EMTERPRISE
Trustees Annual Remicw
Year ended 31 Marth 2021
Hévlng exwe55ed a wiliwne55 to COrt￿Ue in ￿. a re50krt*M for the aPpOthri￿ of Mitrhdl Ch•rlE5WOrth LLP will be
prop)5ed atthe forthcoThMr¥knmial Generèl Meeti
6 R••d
Sale
M33

NATIONS DISCIPLESHIP ENTERPRISE
Statement of Trustees. Responsibilities
Year ended 31 March 2021
The trustee5 are responsible for preparing the Trustees. Annual Report and the financial Statements in accordance with
pplicable law and United Kingdom Accounting SlaThdard5 (Vnited Kingdom Generally Accepted Aciounting Prarticel.
The law applirable to charitie5 ifb England and Wales require5 the trustees to prepare financial 5tatement5 for earh financial
year which give a true and fair view of the state of affairs ol the charity and of the incoming resources and application of
r*saur¢es of the tharity for that period. In preparing thesÈ finantial st3tements. the trustees 3re iequired to..
selert suitable accounting policies and then apply them consistentty-
observe the method5 and principles in the Charities SORP..
make judgernent5 and e5timate5 that are reo50nable and prudent:
state whether applicable a¢couniin8 Stafidords hove been followed. subjett to any materlal departures dlsclosed and
explained in ihe financial $tateft￿ts-
prepare the financial statements on the going concern basis UTr￿55 it is inappropriate to presume that the charity will
continue in operation.
The Trustees are responsible for keeping proper ac(ountiTh8 records that disclose with reasonable accurary at any tirne the
financial position of the charity and enable them to ensure that the hTrancial statement5 comply with the Charitie5 Act 2011,
and the Charity IAccount5 and Reports) Re8ulation5 2(*J8 and the provisions of the trust deed. They are a150 responsible for
salegu4rdin& the a55ets of the charity and hence for takin8 reasonable 5tep5 for the prevention and detection ol fraud and
tsther irregularitie5.

Mitchell Charlesworth LLP
Chartered Accountants
3rd Floor. 44 Peter Street, Manchester. M2 5GP
Independent Examiner's Report to the Trustees of
Nations Discipleship Enterprise
I report to the charity trustees on my examination of the accounts of the charity for the year ended 31 March 2021 which
are set out on pages 7 to 14.
Re5pon51bllltles and ba515 of r•port
As the charit￿5 tru5¢ee5 you are re5POlb5ible for the preparation of the accounts in accordan￿ with the reqvirement5 of the
Charitie5 Art 20111'the Act'l.
I report In respect of my examlnatlon of the ¢horftrfs ocwunts carrled out under sertion 145 of the Act and In ¢arryln8 out
my *xamln3tlon I have followed all the applicable Direttions wven by the Charity Commlssion under sertlon 14515llbl of the
Art.
Independent examlnerfs st•tement
I have completed my examination. I confirm that no material matters have come to my attention in connection with the
examlnation 8lvin8 me cause to believe that in any material respett..
accountln8 records were not kept In respect ol the charty as required by section 130 of the Act.. or
the accounts do not a¢¢ord with th¢)se records..
the accounts do not compl¥ with the applicable requirements concemin8 the lorm and content of accounts set out in
the Charities IAccounts and Reports) Regulations 2¢Y)8 other than an¥ requirement that the accounts 8l¥e a 'true and
fair view, which is not a matter considered as part ol an independent examination.
I have no concern5 and have come across no other matters in connertion with the examination to which attentlors should be
drawn in this report In order to enable a pvoper under5tandin8 of the accounts to be reached.
Allson 6u¢kley FCA
Independent examlner
mItc￿lI Chirle5WOrth iLP
3nl Floor
44 Peter Slrttt
•Aanthester
M15GP
251.911.1922.........

NATIONS DISCIPLESHIP ENTERPRISE
Statement of Financial Activities {including income and expenditure account)
Year ended 31 March 2021
Unrestricted Restricted
Funds 2011
Fund5 2021
Total
Fund$ 2021
Unrestricted
Fund5 2020
Restricted
Fund5 2020
Total
Fund$ 2020
Notes
Income..
Donations and le8acies
5.744
25.931
31.675
47.841
47,841
Othertrading artivities
129325
99.621
228.846
42.344
2CKI,810
243,154
Total Intome
134.969
125.552
260.521
42.344
248.651
290,995
Expendltur
Expenditure on charitable
activbties
121209
147NI8
268.627
80.638
147.533
228,171
Total expendltur•
121209
147A18
268,627
80.638
147.533
228,171
N•t Inwmellexpendllur•l
13.760
1211661
18,1061
138.2941
101.118
62,824
Tran5fer5 between lund5
Net mowment offvnds In i
ar
13.760
121J661
18.1061
138.2941
101.118
62.824
R¢tonelll&tlon ojfvnds
Tot31 fun(J5 brought forward
182,3341
139,665
57.331
144.0401
38,547
15.4931
Transfer between fund$
79162
Total lunds carded for￿Id
11288
37,937
49.2Z5
182.3341
139.665
57.331
The statement of linancial attiwties irKlude5 all gain5 and losses recogn15ed In the year
All incomeand expenditure derive frorn contiThuing attNities

NATIONS DISCIPLESHIP EKfERPRISE
Balance Sheet
Asat31 March 2021
31 M¥¢h
2021
31 March
2020
Tangibleassets
ebtors
Cash at bank and In hand
3￿13
Cxedllm: Amo¥ntstsllkwdwT*IthknoM
1405861
13L1261
492
57,331
49225
57,331
Th• fimd50fthe
Restricted income funds
UfirestrKted income funds
11288
37J37
139.665
182,3341
16
Total tharttyfund5
493
57.331
251oiJ2022
R eowe

NATIONS DISCIPLESHIP ENTERPRISE
Statement of Cash Flows
Year ended 31 March 2021
2011
2020
Cash flow from operatlng acdvkles
Cash used in operating actNities
17
61.658
Net cash Inllow from operntln8 artlvltle5
61.658
Net cash used In Investi￿ activitses
Net In¢re•st In ¢•sh •nd <•sh tqulv•lents
61.658
Cash and ¢ash equivalents at be8inAin8 of year
85.654
23.996
C•sh •nd f•sh *4ulv•lent •1 end oly*•r
.298
85.654

NATIONS DISCIPLESHIP ENTERPRISE
Notes to the Financial Statements
Year ended 31 March 2021
Company Inf0m￿tIoN
Nations Discipleship Enterprise is a charity in England and Wales. The re8tstered office is 6 Broad Road, sale. Cheshire.
M33 2AL.
Accountin8 Polkles
The prfncipal accounting pOlKI￿ atlopted* jud8ernents and key Sources of estimation uThcertainty in the preparation of
the financial statements are a5 follows..
Ba￿$ of pr•yr•tlon
The financial statements have been prepared ITh accordance with Accountin8 and Reportin8 by Charities.. Statement of
Recommended Practice applicable to charities preparin8 their accounts in accordance with the Financial Reportin8
Standard applicable in the UK and Republic off Ireland IFRS 1021 leffective l January 20151- (Charitie5 SORP IFRS 10211.
the Financial Reportin8 Standard applkable in the UK aThJ Republlcof Ireland IFRS 1021 and the Charlties Act 2011.
The financial 5taternent5 are prepared ITh 5terlin& which is the hjnrtional currency of the chafity. Monetary arnounts in
these financial statements are rounded to the nearest £.
Nation5 Di5ciple5hip Enterprise rneets the definition of a public benefit entity under FRS 102. A55et5 and liabilitie5 are
initially reco8ni5ed at historical c05t or transaction valve Unle55 otherwise stated in the relevant accountin8 policy
notelsl.
Golni ¢on¢¢m
At the time of approving the linancial statements and having due regard to the impact of COVID-19, the trustees have
a reasonable expectation that the charity has adequate resources to continue in operational existence for the
foreseeable future. Thus. the trustees continue to adopt the 8oin6 concern basis ol accountins in preparing the
financial Statements.
In¢omlni r•sour¢•i
All incomin8 resources are Included In the statement of firsancial actknties when the charity Is entltled to the Income
and the amount can be quantified with reasonable accuracy. The lollowin8 specilic policie5 are applied to particular
cate8ories ol income.
Donation5 and le8acie5 are included in lull in the Statement ol Financial Activities when received.
EXPend￿U￿*
Expenditure Is recognised once ihere Is a legal or coThstrurtNe obli8ation to make a payment to è third party, It Is
probable that settlement will be required, and the amount of the obli8ation can be measured reliably. Expenditure is
classified under the lollowin8 actNity headings..
Costs of rai5in8 lund5 are the direct and indirect costs of raisin8 fuThds for charitable purpose5.
Charitable a£tivitie5 include expenditure a550Clated with the provision of the rhariws 5eryice5 and include both
the dI￿rt costs and support tosts relating io ihese artivrties.
Support £OSts include central functions and have been allocaied to attl￿ty Cost cate8orles either direttly where
dentifiable or on a basis of time spent on supportlllg and man38in8 projerts.
Other expenditure represents those items not falling into anyother headin8.
Funds 5trurlure
Restritted fvnds a￿ funds subjert to spe¢th¢ restrKtive condttions IM￿5ed by the donor or by the purp¢ise of
the contratt/monles recefved. The purpose and use of restrirted funds are set Oui in note 15 to the flnanclal
ststements.
General fvnds are unrestricted funds. whith areavailable for use at the discretion of the trustees in furtherance
of the geneval objectives ol the charity.
io

NATIONS DISCIPLESHIP ENTERPRISE
Notes to the Financial Statements
Year ended 31 March 2021
Actountlng Polkles fcajth￿J
Flxed Assets
All fixed a55et5 aTe int￿ded at net kx)ok valuÈ. AdditH)ns of a SIn￿e item or a Rroup of sirnilaT Iterns ÈxcÈèdin8 £5￿ arÈ
cbpitalised at COSt.
The trustees cons6dÈr that the valuation remains appropriate as at 31 Match 2021.
Tangible fixed assets are depreciated over their esiimated usefvl e(onom* lives as lolkjws..
Flxtures and fittlngs- 25%on cost
Cash at trarth and In hand
Cash at bank and Cash in hand intludes cash arKI short term highty li4UrtI ifivestments with a short matudty of three
months or less from thè date ol atquisitit>n or opening of the deposit or similar attount.
Cr¢dltors and prov5slons
Creditors and provision5 are recognised where the charity ha5 a present obligation resultin8 froffl a past event that wlll
probably result in the transfer of fund5 to a third party and the amount due to settle the obligation can be rneasured or
estimated reliably. Qeditors and piovi5i00s are I￿rMallY reco8ni5ed at their 5ettleinent amount after allowing foi anv
trade di5count5 due
Fln•n¢l•l Insirumerfs
The charity oTrly has financial assets and financial liabilities of a lind that qualify as basic financial Instrument5. Baslc
financial instruments are inltialty re(08ni5ed at iransaction value and subsequeThtty measured at their settlement value
with the exception of bank loans which are subsequently measured at arnortised c05t usin8 the effective interest
rnethod.
Jud8•m•nts and k•y sour¢•s of •stlm•tlon un¢•rt•lnty
In the èpplieation of the ¢hèriV$ 8¢wunting policies. the trustees are re4uired to make judgements, estimates and
assumption5 about the carrying amount of •55ets and liabilitie5 that are not readily apparent frorn other 50ur£e5. The
estimates and associated assumptions based on historKal experience and other fattors that are Considered to be
relevant. Attual resuhs may differ from these estimates.
The estlmètes and underlying assumptions are reviewed on an on8oin8 basis. Revisions to accounting estimates are
reco8nlsed In the perlod Sn which ihe estimate is revlsed vthere the re¥Lsion affeus only that period. or in rhe period of
the revisSon and future perlodswhere the rewsion affects both current arsd fvture periods.
Income from donat10ft5 and le8acles
Unrt5tricted
Funds 2011
Restricted
Funds 2021
To¢al Unrestricted
2021
Fund5 2020
Restricted
Fund5 2020
Total
2019
Donation5'.
Gift aid donations
5.744
25.931
31.675
47.841
47,841
5,744
25.931
31.675
47.841
47,841
li

NATIONS DISCIPLESHIP ENTERPRISE
Notes to the Financial Statements
Year ended 31 March 2021
Incomefrom oihertradln8 *rtMt5És
Unrestrkted
Fund5 2021
Restrlcted
Fund5 2021
Total Unrestrtcted
20ZI
Funds 2020
Restricted
Funds 2020
Total
2020
Gifts and donations
income
Child Sponsorship
Service5
Mi5cellaneou5 income
2.836
29.124
8.344
325
199.051
1,434
3.161
228,175
9.778
2,040
IOJ.037
¥228
41,393
161.265
66,981
119225
99,621
42,3d4
2￿,810
243,154
Anatysls of eXPend￿￿re on ch•rltable adlddes
li
2020
Charltable expendlture
KCC fund expenditure
80,638
147,533
188,833
268.627
228,171
Anatysls ol staff Costs. Irust••s' r•mun•r•tlon and th• ¢0rt4lk•y m•n•t•m•nt
p•rsonn•l
2021
2020
S•larles and wa8es
47,354
35.998
47,354
35.998
No employees had employee benefrts in excess 01 £60,(￿ 12020.. NIU. Pension costs are allocated to acthities ITh
p¥oportion to the related staffing Costs incutted and are wholly£har8ed to unrestrictedfunds.
The charity trustees were not pald or receNed any other beneffts from empknymeni with the charfty in the year1202Q.
Salaries and wa8e5 Costs includes É32.776 12020.. £22,091) paid to one trustee for 5er¥l(es In the year. Payment5
totallinE £2.08312020.. £6.3441 were made to one12020.' onel trustee in respert of reirnbur5ernent of charity e¥pense5
incurred personally.
Staff numbews
2011
2020
Number
Number
The average rnonthty head couht of employeesdurim8 theyearwas:
Administrative staff
Taxation
The charity is exempt fvorn tax on income and gain5 falling within sertion 9)5 of the Taxe5 Act 1988 or sertion 252 of
thÈ Taxation of ChargeablÈ GainsAtt 1992 to the ÈxtÈntthat th￿￿3[￿ 3ppliÈd to its tharitable objÈtts.

NATIONS DISCIPLESHIP ENTERPRISE
Notes to the Financial Statements
Year ended 31 March 2021
10. Net Ir*omel1expend￿Urè> for the year
2021
2020
Thls Is ststed after £har8lng'.
Indèpendènt Examiner fees- for indÈpÈndent examination
l520
2.520
11. CoMm￿ments under Opera￿￿1 ￿aSe$
The Company leases offite space under formal ￿￿￿alIng1￿•Se$. The lease ayeemeni terminates in July 2021.
Land and BulldlTh
2021
2020
Total minirnum lease paym￿t$ under nort￿N¢ell•b1e operatlllg ￿¥St art •$ follows..
Within I year
Within 2- S year5
Over 5 year5
3.1th)
9,3
3.1c￿l
3,100
12.4CM)
12. Tan8lbh fix•d •ss•ts
Offl¢•
Equlpm¢nt
Cost
At L April 2020
Additions
Oisp05a15
1,5CKI
At 31 March 2021
1,5C#J
D•pr*¢l•iion
At L April 2020
Char8e for the year
Released tsn disposal
1.5LKI
At 31 March 2021
1,5C#)
N•t bookvak
At 31 March 2021
At 31 March 2020
13. Debtor5
2021
2020
Prepayments
Other debtors
I803
710
2.B03
3.513
2.803

NATIONS DISCIPLESHIP ENTERPRISE
Notes to the Financial Statements
Year ended 31 March 2021
14. Credltors: Amountslalllng due wlthSn one year
20Zi
2020
Trade creditors
Other taxes and srxial securit￿5
Accrua15
37,847
639
2,100
27,988
618
2.520
40,586
31,126
15. A￿ty51$ ol restrfrted ch•rit*le fvry15
Funds at
l April
2020
Fund5 It
11 March
2021
In￿rnI
Resouros
Resourees ExpendÈd
Tr•nsfers
Restrlded funds
KCC fund
139.665
125,552
1147,4181
179,8621
37,937
The resirided fvno Is for the corttlrtuafife of the KampaLI Children's Cenire IKCCI and Child sp)nsorshlp thereln.
16. An•lysls ol ynrestrkted ¢h•rft•bbe fvnds
Funds ¥t
l April
2020
Funds •1
31 Mar¢h
2021
In¢omlbY
Resources
Resouytes
Expermled
Tr•nsfe
Unrestrfrted lunds
Genefal funds
182,3341
11213091
79,862
11,288
17. R¢contlllatlon ol net mo¥em¢nt In fvnds to n¢t tash Ilowfrom oporntlby*rtI￿tles
1021
2020
Net movemeni In funds
Increaselldecreasel Sn creditors
Ilncreaselldecrease in debtors
18.1061
62.824
16591
15071
61,658
18. Aelated party transactlo
A Muwonge was reimburstil expenses iA¢urred persoNallyamountinB to f2,08312020.. £6,344>.
A Muwon8e recei¥ed paymentsavnountinglo £NIL12020.. £2.3￿) relating to his Servi￿$.
A Muwonge wa5 paid a Salary in theyear of £32,77612020= £22.CV311.
19. Anatysis of chanBe5 in fvnd5
The charity had no debt duringthe year.
14

NATIONS DISCIPLESHIP ENTERPRISE
Detailed Statement of Financial Activities
Year ended 31 March 2021
zi
2020
Income=
Restricted donatiohs
Spon50r5hip
Services
Gift aid donations
Mistellaneous intome
3.161
228,175
9.778
47.841
161.265
66.981
31.675
260,5ZI
290.995
Expendlture..
Donations to NDE U8anda
Due5 and sub5cription5
Mi5cellaneou5 expen5e5
Petty Cash
Professional fees
Rent, rates and utilities
Repairs and maintenance
Statlonery. postage and delivery
Telephone
Wages and salarles
Travel and other expenses
Accountancy fees
33
6.113
151.157
2.473
2.161
7.324
10.370
466
538
967
47,354
5Jl
2,520
14,116
11.695
874
3SO
920
35.998
5.107
2.520
268.627
228.171
Net bncorn1n￿1ou401n1) resources lor the year
18.1061
62,824