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2023-03-31-accounts

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Note 1 2022 Income and Expe nditur e
Funds
Income and Endowments 2023 2022
Receipts from Gift Aid/Royalties 306 21
365
Computer
donations
General donations 20,138 4,764
Grants (see pages 11-12for full grant details) 65,524 71,000
Charity income 2023totals 85,968 76,150
Resources Expended
Expenditure for raising funds
Direct fundraising
expenses
958 233
Allocation ofgeneral overhead expenses 2052 1266
Direct Charitable
Expenditure
Visiting and Befriending,
Information
and Signposting 6,300 6,300
Staff Payroll 73,316 73,545
ITSupport/Laptops/Broadband etc. 2,589 2,628
Accountancy
fees
686 594
Training 55 150
Website/
Marketing
development
302 194
Governance 694 404
Sundry Expense 396 380
Bank Charges 84 25
Depreciation
on office equipment
585 561
Total Direct Charitable
Expense
88,018 86,279
Surplus for the year totransfer to reserves -2050 -10,129

4.Tangible Fixed Assets 31.03.2023 31.03.2022
Cost 10719 9545
Addition 1174
Accumulated Depreciation -9061 -8500
Depreciation Charge -585 -561
1073 1658