
## **Trustees' Annual Report for the period** 

Period start date Period end date Day Month Year Day Month 01 April 2020 **To** 31 March 

Day Month Year 31 March 2021 

**From** 

**To** 

## Section A                        Reference and administration details 

**Charity name** The Tanya’s Courage Trust 

**Other names charity is known by** 

TCT 

**Registered charity number (if any)** 1113108 

**Charity's principal address** Unit 3 19-21 Fore Street 

St Austell Cornwall **Postcode PL25  5PX** 

## **Names of the charity trustees who manage the charity** 


**----- Start of picture text -----**<br>
Name of person (or body)<br>Dates acted if not for<br>Trustee name Office (if any) entitled to appoint trustee<br>whole year<br>(if any)<br>1 Mr A Grindrod Chair<br>2 Miss K Osbrink Vice Chair<br>Ms C Barker-<br>3<br>Burnside<br>4 Mrs S Winch<br>5<br>6<br>7<br>8<br>9<br>10<br>11<br>12<br>13<br>14<br>15<br>16<br>17<br>18<br>19<br>20<br>**----- End of picture text -----**<br>


## **Names of the trustees for the charity, if any, (for example, any custodian trustees)** 

**Name Dates acted if not for whole year** 

March **2012** 

**TAR** 

1 



## **Names and addresses of advisers (Optional information)** 

**Type of adviser Name Address** 

## **Name of chief executive or names of senior staff members (Optional information)** 

Iris Billing & Nicola Empel-Newman 

## **Section B              Structure, governance and management** 

## **Description of the charity’s trusts** 

Trust Deed Type of governing document 

- (eg. trust deed, constitution) 

Charity Trust How the charity is constituted 

- (eg. trust, association, company) 

Trustee selection methods 

Elected 

- (eg. appointed by, elected by) 

## **Additional governance issues (Optional information)** 

You **may choose** to include additional information, where relevant, about: 

- policies and procedures adopted for the induction and training of trustees; 

- the charity’s organisational structure and any wider network with which the charity works; 

- relationship with any related parties; 

- trustees’ consideration of major risks and the system and procedures to manage them. 

## **Section C                    Objectives and activities** 

March **2012** 

**TAR** 

2 



## **Summary of the objects of the charity set out in its governing document** 

Supporting Young people with, or affected by Cancer. Providing financial, emotional and social support either during treatment or when in remission provision of grants to aid physical and financial needs. 

**Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)** 

Emotional support, financial grants and gifts given to ease the pressure of having a young person in the family with cancer. Our aim is to provide support and assistance in areas that other charities may not be able to. We understand how this affects the whole family. We try to put young cancer patients in touch with other people going through similar experiences. We also like to put parents in touch with each other to give them reassurance and hope. We work alongside other charities like CLIC Sargant, Teenage Cancer Trust etc. for our referrals of Young People with Cancer 

## **Additional details of objectives and activities (Optional information)** 

March **2012** 

**TAR** 

3 



As a charity we are constantly growing in the ways we support our beneficiaries and in the ways we fundraise to enable us to reach objectives. 

The results in our staff numbers growing in an attempt to become more professional and consistent in our fundraising efforts. 

You **may choose** to include further statements, where relevant, about: 

Our fundraising efforts were impacted by the Covid-19 pandemic. 

- policy on grantmaking; 

- policy programme related investment; 

- contribution made by volunteers. 

## Section D                      Achievements and performance 

March **2012** 

**TAR** 

4 



## Section D                      Achievements and performance 

**Summary of the main achievements of the charity during the year** 

Due to the impact of the Pandemic (Covid-19) there was very little activity with the charity due to forced closures for lockdown periods and restrictions of events being held. 

## **Section E                    Financial review** 

March **2012** 

**TAR** 

5 



We do not currently have any reserves in place. 

## **Brief statement of the charity’s policy on reserves** 

**Details of any funds materially in deficit** 

## **Further financial review details (Optional information)** 

Charity shops with all stock donated by the public. Fundraising Events 

You **may choose** to include Fundraising Events additional information, Promoting the charity to community groups to appeal to them to where relevant about: fundraise for the benefit of the charity. 

- the charity’s principal sources of funds (including any fundraising); 

Appealing to the public to hold fundraising events to support the charity. 

Appealing to schools and Colleges and local community groups/authorities to ask them to support the charity. 

- how expenditure has supported the key objectives of the charity; 

- investment policy and objectives including any ethical investment policy adopted. 

## **Section F                     Other optional information** 

## **Section G                    Declaration** 

**The trustees declare that they have approved the trustees’ report above. Signed on behalf of the charity’s trustees** 

## **Signature(s** 


**Full name(s)** Mr A Grindrod **Position (eg Secretary,** Chair **Chair, etc) Date** 03/02/2022 

March **2012** 

**TAR** 

6 



Annual Accounts for the year ended 31 March 2021
Registered Charity No. 1113108

Contents of the Annual Accountg
lor the ye¥r ènded 31 Mareh 2021
Pagg
Chlliity Inlorm•tsoTh
Independ•ntexamin•rf8 r•porton t￿ a¢counls
St•t•rnent olflnancial act￿1￿•¥
Noles to the accounts

The Tanya's Courage Trust
IRggl$tsrod Charfty No. 1131081
Charity information
Trust Office Ground Floor Office Suites
The Communication Centre
Par Moor Road
Par
PL24 2SQ
Accountants Harland Accountsnts
35 High Cro$$ Street
St. Auslell
Cornwall
PL25 4AN
Bankèrs Barclays
10 Church Street
SL Austell
Cornwall
PL25 4AS
Chief exgcutive Iris Billing
Treasurer Madene Newman
Support servl¢e$ executive Nikki Empel-Newman
Palrons James Mo￿lSOn Imusicanl
Neil Warnock IProfessional Football Manager)
Alex Mackay Icelebrity Chefj
Dr Sophie Mepham
Dr P Merritt
Dr A Childs
Daniel Evans Ix-factor finalist)
Page 1

Ind•p•ndènt èxaminerfs report on the accounts
for the year ended 31 March 2021
I rEPOrt on the a¢¢ounl$ of The Tanya's Courage Trust for Ihe ye8r 8nded 31 March 2021, which ar$ set out on pages 3 to 8.
Rèspeetlv• r•gponslbilitles of truslees and examiner
The charity's tDJst88s are responsible for th6 preparatlon of the accounts. The Charity's trustses consider that an audit is not requirfd
for this year under section 144 of the Charitie5 Act 2011 (the Chartties Act) and that an Independent examinaton is needed.
It is my responsibilty to..
examine Ihe ac¢ounts und&r section 145 of t￿ Charities Act,
lo folbw the procedures Isid down Sn the genefal Directions gNen by tho Chanty Commission lund8r section 14515llbl of lh8
Charities Act. and
to State whether particulac mattsrs have come to my attention.
Ba$1$ of Indèpèndent examlner's ¥tatsment
My examination was caffled out In accordance with general D1￿ctionS 9iven by Ihe Charity Cornrni55ion. An examination indudes a
review tyf the a¢￿UntIng records kept by the charity and a comparison ol the accounts p￿S￿nIed with those records. It also indudes
consideration of any unusual items Cir dIs¢tsU￿s In the accounts, and seeking explanatiOll5 from the tru$tees concÉrning any such
matters. The proc8dures undertaken do not provide all the evit1ence that wouhy b8 required in an aud¢ and cons8qU8ndy no opinion is
gN6n as to whelh•r the accounts present a'tNe and fairf vvaw and th8 report 15 lirnited to Ih05e matters sel out in the statement bebw.
Ind•p•ndent examlnerfs Statement
In ¢onne¢tion with my examination, no matter has come to my attention
wh￿h gfjves me ￿z5onable cause to believe that in. any rnaterial fftspec( the requirement8'.
to keep accounting records in accordance saction 130 of the Chaiilie5 Act
. to prepare accounts which accord with Ihe accounts'ng rt￿rdS and comply wth the 8ccounting requirements of the Charities Act have
not been met". Of
2. to which, in my opinv)n, attention should be drawn in order to enable 8 pmper understanding of the accounts to be re8¢h*1.
SIGNED
DATE
NAME
Martyn OfverACCA
35 High Cross Str88t
Sl. Austell
PL25 4AN
HARLAND
Page 2

ststement of financial activities
for the year endod 31 Mar¢h 2021
Nots
2021
2020
Total incoming rosourc•s
263,975
207,036
Rosourcos gxp6nd•d
Charltablo a¢tivltlos
Purchases
8eneficiary payments
Employee costs
Premi8e5 COSt$
Repair5 and renewals
General adminislralive expenses
Motor expenses
Travel and subsistence
Other fftnance charges
Advertising, promotion and entertainment
105
9.336
123.917
53.808
3.171
12,451
1.086
1,948
3,452
502
209,776
9,236
117,461
42,810
7,128
10.252
655
973
1.928
298
190,741
Other re$ourcg$ oxpended
Legal and professional costs
Depreoation
Other expenses
soo
383
1,845
2.528
325
1,929
2,254
Total rosourcgs gXPond8d
192,996
212.304
Not movgment in funds
70.979
15.267>
Totsl funds brought forward
2,836
2,431
Totsl funds carri•d forward
68,143
2,836
All funds receNed during the curTDnt andprevious year were unrgStriGted
Page 3

Balance Sheet
for the year ended 31 March 2021
2021
2020
Flxed as¥ets
Tangible fixed 8889t$
1,843
2,168
Current ass•ts
Debtors
Bank balances
Paypal
Cash in hand
1,714
64,472
297
1,067
67,5SO
1,SS9
1,40e
48
568
3.821
Current li4bilitl•s
10
1,250
8,625
Net current a￿￿ts
66,300
5,004
Net assets
68,143
2,836
Funth of th• Charlty
Unfestricted hJnd8
68,14
2.836
On behalf of thg board of trust•es
Name of trust•• Adam Grindrod
Signaturo
Oate of approval
Page 4

Notes to thg accounts
for the year ended 31 March 2021
Note 1
Basis of accounting
These accounts have been prepared on the basis of historic wst in accordance with".
Accounts'ng and Reporting by Charities- Statement of Recommended Practice IFRSSEI.,
and applicable UK Accounting Stsndards..
and with the Charities Act.
Note 2
Accounting policios
Incoming Resourcès
Recogni￿On of incoming resource8
These are included in the Statement of Financial Ath"vits'e5 ISOFA) when..
the trustees are virtually certain they will receive the resourcgs,. and
the monetsry value can be measured with sufFicient reliability.
Incoming rnsources with relatod expendlture
Where incoming resources have rèlated expenditure las with fundraising or contract income} the incoming
resources and related expenditure are reported gross in the SOFA.
Grants and donatlons
Grant5 and donations are only included in the SOFA when the charity has unccnditional entsdement to the
resources.
Gifts In klnd
Gifts in kind are accounted for al a reasonable estimate of their value to the charity or the amount actually
realised.
Gifts in kind for sale or distribution are included in the accounts as gifts only when sold or distributed by the
charity.
Gifts in kind for use by the charity are included in the SOFA as incoming resources when receivable.
Donated services and facllltlos
These are only included in incoming resources Iwilh an equivalent amount in resources exp8nded} where the
benerrt to the charity is reasonably quantifiable. measurable and material. The value placed on these
resources is Ihe estimated value to the charity of the service or facilty ￿CeIved.
Volunteer help
The value of any voluntary help received is not included in the accounts but is described in the trustees,
annual report.
Expenditure and liabilitles
Liability recognltlon
Liabilities are recognised as soon as Ihere is a legal or ¢onstructive obligation commith'ng the charity to pay
out resources.
Grants with perfomiance conditions
Where the charity gives a grant with ¢onditions for its payment being a specific level of service or output to be
provided. such grants are only recognised in the SOFA once the recipient of the grant has provided the
specified service OT output.
Page 5

Notes to the accounts
for the year ended 31 March 2021
Note 2
Accountlng pollcles contlnued
Grants payabl& wlthout performance condI￿On9
These are only recognised in the a¢¢ounls when a commitment has been made and there are no conditions lo bg
mel relating lo the grant which remaln in the eonlrol of the charity-
Assets
Tan4ibl8 fSx•d assets for use by charfty
These are caprtalised if they can be used for mor8 than one year, and cost al lea51 £150. Thoy ar8 valued al ¢o$t
or a reasonable value on receipt.
Note 3
Analysls of Incomlng resources
2021
2020
Donations
Event and functions
Fundraising
Shops
Online sale8
Grant ineome
6,082
305
7,752
2,349
217
194,203
2,515
86,337
1,363
169,888
263,975
207.036
Note 4
Analysls of resourcos expondod
2021
2020
ee cost5
Wages and salaries
Uniform and clothing
Staff training and welfare
116.012
229
1,221
117.461
122,668
127
1,124
123,918
Prèmlses costs
Rent and rates
Light and heat
Wat&r
Refuse and recyding
Cleaning
35.965
3,001
744
2.432
667
42.810
44,158
6,840
934
1.473
402
53,808
General administrative ex
enses
Function and pr¢Jmolional event costs
Telephone
Printing, postsge and stationery
Licences and 5ubcriplions
Insurance
Hire of equipment
181
2.438
945
935
3,070
2.684
10,252
1,405
2,614
1,610
1,553
2.514
2,755
12,451
Pa8e 6

Notes to the accounts- continu•d
for the year ended 31 March 2021
2021
2020
Other finance char
Merchant fees
Bank charges
es
1,928
2.429
1,024
3,453
1,928
Note 5
Detalls of ¢grtain it•m¥ of •xpenditurg
5.1 Trust09 9xpon$•s
2021
2020
Number of trustees who were paid expanses
Total amount paid
5.2 Fees for •xamination of th• a¢¢ounts
Independont examiner foe for ceportlng on the acounls
Other fee5 paid lo the independent exarniner
500
500
500
500
Note 6
Staff Costs
6.1 Staff Costs
2021
2020
Gross wagas
116,012
119.821
Averay& number of full-time equivalent employees during the year was 1012020- 101
Note 7
Related party transaetlons
7.1 Remunèratlon •nd ￿nt￿8
2021
2020
Name of related party and rotatlon
Iris Billing {wrfg of trustee Eddle Billing}
10.012
15.613
Page 7

Notes to the accounls
for the year ended 31 March 2021
Note 8
Tangibl• fixgd •ssots
Depreciation is wovided at the follow5ny annual rate8 in order lo write off each asset over its estimated useful life.
Fi¥turas, fittings & 8qulpm8nt
15% reducing balance method
Flxturnl,
fllllng• &
4qulpmont
Cost
Al 1 April 2020 and at 31 March 2021
9.952
DeprKlatlon
At 1 April 2020
Charge for the year
7.784
325
At 31 March 2021
8,109
Net Book Value
At 31 March 2021
1,843
At 31 March 2020
2,168
Note 9
DebtoryJ and prepaym•nts- falling duo within ong ygar
2021
2020
VAT
1,714
1,714
1,599
1,599
Not• 10
Creditors.. falling due wlthln one y•ar
2021
2020
Accrual$
Trustee Loans
1,000
250
1,250
soo
7,875
8.375
Page 8

Annual Accounts for the year ended 31 March 2021
Registered Charity No. 1113108

Contents of the Annual Accountg
lor the ye¥r ènded 31 Mareh 2021
Pagg
Chlliity Inlorm•tsoTh
Independ•ntexamin•rf8 r•porton t￿ a¢counls
St•t•rnent olflnancial act￿1￿•¥
Noles to the accounts

The Tanya's Courage Trust
IRggl$tsrod Charfty No. 1131081
Charity information
Trust Office Ground Floor Office Suites
The Communication Centre
Par Moor Road
Par
PL24 2SQ
Accountants Harland Accountsnts
35 High Cro$$ Street
St. Auslell
Cornwall
PL25 4AN
Bankèrs Barclays
10 Church Street
SL Austell
Cornwall
PL25 4AS
Chief exgcutive Iris Billing
Treasurer Madene Newman
Support servl¢e$ executive Nikki Empel-Newman
Palrons James Mo￿lSOn Imusicanl
Neil Warnock IProfessional Football Manager)
Alex Mackay Icelebrity Chefj
Dr Sophie Mepham
Dr P Merritt
Dr A Childs
Daniel Evans Ix-factor finalist)
Page 1

Ind•p•ndènt èxaminerfs report on the accounts
for the year ended 31 March 2021
I rEPOrt on the a¢¢ounl$ of The Tanya's Courage Trust for Ihe ye8r 8nded 31 March 2021, which ar$ set out on pages 3 to 8.
Rèspeetlv• r•gponslbilitles of truslees and examiner
The charity's tDJst88s are responsible for th6 preparatlon of the accounts. The Charity's trustses consider that an audit is not requirfd
for this year under section 144 of the Charitie5 Act 2011 (the Chartties Act) and that an Independent examinaton is needed.
It is my responsibilty to..
examine Ihe ac¢ounts und&r section 145 of t￿ Charities Act,
lo folbw the procedures Isid down Sn the genefal Directions gNen by tho Chanty Commission lund8r section 14515llbl of lh8
Charities Act. and
to State whether particulac mattsrs have come to my attention.
Ba$1$ of Indèpèndent examlner's ¥tatsment
My examination was caffled out In accordance with general D1￿ctionS 9iven by Ihe Charity Cornrni55ion. An examination indudes a
review tyf the a¢￿UntIng records kept by the charity and a comparison ol the accounts p￿S￿nIed with those records. It also indudes
consideration of any unusual items Cir dIs¢tsU￿s In the accounts, and seeking explanatiOll5 from the tru$tees concÉrning any such
matters. The proc8dures undertaken do not provide all the evit1ence that wouhy b8 required in an aud¢ and cons8qU8ndy no opinion is
gN6n as to whelh•r the accounts present a'tNe and fairf vvaw and th8 report 15 lirnited to Ih05e matters sel out in the statement bebw.
Ind•p•ndent examlnerfs Statement
In ¢onne¢tion with my examination, no matter has come to my attention
wh￿h gfjves me ￿z5onable cause to believe that in. any rnaterial fftspec( the requirement8'.
to keep accounting records in accordance saction 130 of the Chaiilie5 Act
. to prepare accounts which accord with Ihe accounts'ng rt￿rdS and comply wth the 8ccounting requirements of the Charities Act have
not been met". Of
2. to which, in my opinv)n, attention should be drawn in order to enable 8 pmper understanding of the accounts to be re8¢h*1.
SIGNED
DATE
NAME
Martyn OfverACCA
35 High Cross Str88t
Sl. Austell
PL25 4AN
HARLAND
Page 2

ststement of financial activities
for the year endod 31 Mar¢h 2021
Nots
2021
2020
Total incoming rosourc•s
263,975
207,036
Rosourcos gxp6nd•d
Charltablo a¢tivltlos
Purchases
8eneficiary payments
Employee costs
Premi8e5 COSt$
Repair5 and renewals
General adminislralive expenses
Motor expenses
Travel and subsistence
Other fftnance charges
Advertising, promotion and entertainment
105
9.336
123.917
53.808
3.171
12,451
1.086
1,948
3,452
502
209,776
9,236
117,461
42,810
7,128
10.252
655
973
1.928
298
190,741
Other re$ourcg$ oxpended
Legal and professional costs
Depreoation
Other expenses
soo
383
1,845
2.528
325
1,929
2,254
Total rosourcgs gXPond8d
192,996
212.304
Not movgment in funds
70.979
15.267>
Totsl funds brought forward
2,836
2,431
Totsl funds carri•d forward
68,143
2,836
All funds receNed during the curTDnt andprevious year were unrgStriGted
Page 3

Balance Sheet
for the year ended 31 March 2021
2021
2020
Flxed as¥ets
Tangible fixed 8889t$
1,843
2,168
Current ass•ts
Debtors
Bank balances
Paypal
Cash in hand
1,714
64,472
297
1,067
67,5SO
1,SS9
1,40e
48
568
3.821
Current li4bilitl•s
10
1,250
8,625
Net current a￿￿ts
66,300
5,004
Net assets
68,143
2,836
Funth of th• Charlty
Unfestricted hJnd8
68,14
2.836
On behalf of thg board of trust•es
Name of trust•• Adam Grindrod
Signaturo
Oate of approval
Page 4

Notes to thg accounts
for the year ended 31 March 2021
Note 1
Basis of accounting
These accounts have been prepared on the basis of historic wst in accordance with".
Accounts'ng and Reporting by Charities- Statement of Recommended Practice IFRSSEI.,
and applicable UK Accounting Stsndards..
and with the Charities Act.
Note 2
Accounting policios
Incoming Resourcès
Recogni￿On of incoming resource8
These are included in the Statement of Financial Ath"vits'e5 ISOFA) when..
the trustees are virtually certain they will receive the resourcgs,. and
the monetsry value can be measured with sufFicient reliability.
Incoming rnsources with relatod expendlture
Where incoming resources have rèlated expenditure las with fundraising or contract income} the incoming
resources and related expenditure are reported gross in the SOFA.
Grants and donatlons
Grant5 and donations are only included in the SOFA when the charity has unccnditional entsdement to the
resources.
Gifts In klnd
Gifts in kind are accounted for al a reasonable estimate of their value to the charity or the amount actually
realised.
Gifts in kind for sale or distribution are included in the accounts as gifts only when sold or distributed by the
charity.
Gifts in kind for use by the charity are included in the SOFA as incoming resources when receivable.
Donated services and facllltlos
These are only included in incoming resources Iwilh an equivalent amount in resources exp8nded} where the
benerrt to the charity is reasonably quantifiable. measurable and material. The value placed on these
resources is Ihe estimated value to the charity of the service or facilty ￿CeIved.
Volunteer help
The value of any voluntary help received is not included in the accounts but is described in the trustees,
annual report.
Expenditure and liabilitles
Liability recognltlon
Liabilities are recognised as soon as Ihere is a legal or ¢onstructive obligation commith'ng the charity to pay
out resources.
Grants with perfomiance conditions
Where the charity gives a grant with ¢onditions for its payment being a specific level of service or output to be
provided. such grants are only recognised in the SOFA once the recipient of the grant has provided the
specified service OT output.
Page 5

Notes to the accounts
for the year ended 31 March 2021
Note 2
Accountlng pollcles contlnued
Grants payabl& wlthout performance condI￿On9
These are only recognised in the a¢¢ounls when a commitment has been made and there are no conditions lo bg
mel relating lo the grant which remaln in the eonlrol of the charity-
Assets
Tan4ibl8 fSx•d assets for use by charfty
These are caprtalised if they can be used for mor8 than one year, and cost al lea51 £150. Thoy ar8 valued al ¢o$t
or a reasonable value on receipt.
Note 3
Analysls of Incomlng resources
2021
2020
Donations
Event and functions
Fundraising
Shops
Online sale8
Grant ineome
6,082
305
7,752
2,349
217
194,203
2,515
86,337
1,363
169,888
263,975
207.036
Note 4
Analysls of resourcos expondod
2021
2020
ee cost5
Wages and salaries
Uniform and clothing
Staff training and welfare
116.012
229
1,221
117.461
122,668
127
1,124
123,918
Prèmlses costs
Rent and rates
Light and heat
Wat&r
Refuse and recyding
Cleaning
35.965
3,001
744
2.432
667
42.810
44,158
6,840
934
1.473
402
53,808
General administrative ex
enses
Function and pr¢Jmolional event costs
Telephone
Printing, postsge and stationery
Licences and 5ubcriplions
Insurance
Hire of equipment
181
2.438
945
935
3,070
2.684
10,252
1,405
2,614
1,610
1,553
2.514
2,755
12,451
Pa8e 6

Notes to the accounts- continu•d
for the year ended 31 March 2021
2021
2020
Other finance char
Merchant fees
Bank charges
es
1,928
2.429
1,024
3,453
1,928
Note 5
Detalls of ¢grtain it•m¥ of •xpenditurg
5.1 Trust09 9xpon$•s
2021
2020
Number of trustees who were paid expanses
Total amount paid
5.2 Fees for •xamination of th• a¢¢ounts
Independont examiner foe for ceportlng on the acounls
Other fee5 paid lo the independent exarniner
500
500
500
500
Note 6
Staff Costs
6.1 Staff Costs
2021
2020
Gross wagas
116,012
119.821
Averay& number of full-time equivalent employees during the year was 1012020- 101
Note 7
Related party transaetlons
7.1 Remunèratlon •nd ￿nt￿8
2021
2020
Name of related party and rotatlon
Iris Billing {wrfg of trustee Eddle Billing}
10.012
15.613
Page 7

Notes to the accounls
for the year ended 31 March 2021
Note 8
Tangibl• fixgd •ssots
Depreciation is wovided at the follow5ny annual rate8 in order lo write off each asset over its estimated useful life.
Fi¥turas, fittings & 8qulpm8nt
15% reducing balance method
Flxturnl,
fllllng• &
4qulpmont
Cost
Al 1 April 2020 and at 31 March 2021
9.952
DeprKlatlon
At 1 April 2020
Charge for the year
7.784
325
At 31 March 2021
8,109
Net Book Value
At 31 March 2021
1,843
At 31 March 2020
2,168
Note 9
DebtoryJ and prepaym•nts- falling duo within ong ygar
2021
2020
VAT
1,714
1,714
1,599
1,599
Not• 10
Creditors.. falling due wlthln one y•ar
2021
2020
Accrual$
Trustee Loans
1,000
250
1,250
soo
7,875
8.375
Page 8