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

Period start date Period end date Day Month Year Day Month Year **From** 01 April 2021 **To** 31 March 2022 

## 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 Mr T Humphreys<br>Mrs B<br>6<br>Humphreys<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) Elected Trustee selection methods 

(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 Young Lives Vs Cancer, Teenage Cancer Trust etc. for our referrals of Young People with Cancer. We also provide a bereavement support for parent who have lost a child to cancer, this is a friendly, non formal support group, no professional counselling is given during the support sessions. 

## **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. We are slowly growing back into a place where we can focus on more fundraising activities, with things like fun days, quiz nights etc in the pipeline. 

- 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** 

We have been working hard on our bereavement group for parents who have lost a child to cancer, we meet once a week for a non-formal brunch, this is slowly growing, and we are gaining new attendees. 

## **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** 21/06/2023 

March **2012** 

**TAR** 

6 



Annual Accounts for the year ended 31 March 2022
Registered Charity No. 1113108

Contents of the Annual kcounts
for the year ended 31 March 2022
Pag0
Charfty Inlorffl*kni
Ind¢p•nd•ot euminevs report on the accounts
Stai•m•nt ol financial actlviti•s
8•l*nE• Sh•qt
54

The Tanya's Courage Trust
IR8giSt8red Charity No. 113f081
Charity inforniation
Trust Office Unil 3
19-21 Fore Street
Sl Auslell
PL25 5PX
Accountants Hadand Accountants
Ground Flcor. Unil 3 Southview House
St Austell Enterprise Park
Cafclaze Down
St Austell
PL25 4EJ
Bankers The C¢>Operatsve Bank
8 OhJ Town Sireel
Plymouth
Devon
PLI 1DE
Chlef executlve Iris Billing
Treasurer Marlene Newrnan
Support getvic•s exeeutlve Nikki Empel-Newman
Patrons James Morrison (Musicanl
Neil Warnock (Pfolessional Football Managerl
Alex Mackay (Celebrity Chefj
Or Sophie Mepham
Or P Merritt
Dr A Childs
Daniel Evans Ix-factor finalisll
Page I

Independent examinerfs report on the accounts
for th¢ y¢ar ¢nded 31 March 2022
I wport on thé accounts of Th8 Tanyas Cthjrage Trusl for the year ended 31 2022, %￿•(* are sat out on page$ 3 to 8.
Respe¢1b￿ responsibiliti•$ of trust••s and examin•r
It 15 my respon51bility to..
examine the aecounis uThJ8r s6¢￿On 145 of the Chanbe5 Act.
lo follow the procedwes Lqid do￿ in the general Direc￿$ gNen by the C￿ty CmmiMiffi (under sectlon 14515llbl of the
Chanlies Act, and
to Sl8le whether p8r￿¢XIIèr manors have corne lo my attention.
Basss of Independ•nt examin¢r's stat•m•fflt
My axaminalion was ￿rried out in ac¢LYOanee gen8fal ￿rectiOnS given ty the Chanty ComML8s￿n. An gxaminatyon includes
review of the a¢¢ounting record5 kepl by the chanty and a companson of accthjnis presented vAth tho$e re¢¢yds. 11 a150 Includ85
consideralion of any unusual Iterns cffj disclosur88 In the a¢¢ouni$. and seoknfig explanats'ons from the tnjslees concemirs any such
maller5. The procedur8s undertak8n do not pro¥￿e all the e¥h3erKe that be required in an audit, aftd con88queniiy no opinion 1$
given as to %*theiher the a¢wJnts p￿sent a'inje and laf. ¥i8w and the report Is limited to Ihosa mallefs Set ¢xJt In the staiemeni below.
Ind•p•nd•Dt •xamln•rfs stat•m•nt
In connection wlh rny eXaM￿at￿3n. no mattw ha$ ¢(Mr• to my attonbon
l. which 9ives me rOasonab￿ cause to bdieve that In. any matenal respect. ty requi¢•m￿lS..
to k8ep accounting records In accr*dance ¥wlh 130 of Ihe Chantyts$ A¢¢..
. 10 prepar& a¢cwni$ %thich a¢¢ud %Ylh the accwnbr¥J fecords cm *ilh Iho requiremenM of the Charilies Aei have
noi betrn mel.. or
2. to whKh. in rny opinion. attsntion ghoukl be in tyd•t ￿ •nabkn a m•r undef51anding of the xcounls to ba reachad.
SIGNED
NAMe
Martyn Olvef ACCA
Ground Fkxr, Unil 3 Stsuthview Heu$a
Si Aust811 Entarpn88 Park
Cartlatè
Austsii
PL25 4EJ
HARLAND
Page 2

Balance Sheet
for the year ended 31 March 2021
Not•
2022
2021
Flxed as$•ts
Tangible fixed assels
1.843
Current ass•ts
D8blors
Barik balances
Paypal
Cash in hand
2,791
12.897
199
1.306
17,194
1,714
64.472
297
1.067
67.550
Current Ilabillll•s
10
1.250
1.250
N•t curr•nt as8•ts
15.944
66,300
N•t a8S•t•
17.510
88.143
Fund• of th• Charlty
Unr¢¥tricled funds
17.510
68.143
On b•hatl ol th• board of truJtq•*
N•m• of tru•t•• Adam Grindrc¥J
Slgnatur•
Date of approval
Page 4

Statement of financial activittes
for the year ended 31 March 2022
Not•
2022
2021
Total incomlng r•soure•s
234.049
263.975
Resourc￿ expended
Charitable activltles
Purchases
Beneficiary payments
Employee costs
Premises costs
Repairs and fenewals
General administrative expenses
Motor expenses
Travel and subsistence
Other finance charges
Advertising, promots'on and gnt8rtainm8nt
17.542
157.921
S9,764
11.616
21.361
6,563
1.881
2.$43
42
279.233
9.236
117,461
42.810
7,128
10,252
655
973
1,928
298
190.741
Othfrr ro•ourc•s •xpend•d
Legal and professional costs
Depr8cialion
Other expenses
3.794
276
1.379
5.449
325
1.929
2.254
Total r•gourc•s •xp•nd•d
284.682
192.995
N•t mov•rn•nt In funds
150.6331
70,979
Total funds brought forward
68,143
2,836
Total fund$ ¢arrl¢d fotward
17.510
68,143
All It4nds tsceived during the ¢Uffent and pmious y9ar wern unr&stricted
Page 3

Notes to the accounts
for the year ended 31 March 2022
Note 1
Basis of accounting
These accounts have been prepared on the basis of historic
Accounting and Reporting by Charities - Statement of Recommended Practice IFRSSE}:
and wilh the Charitses ACL
Note 2
Accounling policies
Incoming Resources
Recognitlon of Incoming resources
These are included In the Statement of Financial Actsvilies ISOFAI when:
th* Irusl8es are virtually Certain they will rècei￿ the resources., and
the monetary value can be measured with suffieienl r81iability.
Incoming rosourcos with related expenditur•
Wherg Incoming resources have related expenditurè las fundraising or contract income) the incoming
resources and related 8xp8ndilure are feportod gross in the SOFA.
Grants and donations
Grants and donations are only included in the SOFA when the Charity has unconditional entiuemenl to the
resources.
Gifts in kind
Gifts in kind are accounted for al a reasonabl8 estimate of their vahje lo the charity or the amount actually
realised.
Gifts in kind for Sale or distribution are includ¢d in the accounts as gifts only when sold or distributed by the
charity.
Gifts in kind lor use by the ¢harity ar$ included in the SOFA as incoming resources when receivable.
Oonated sorvices and facillties
These are only Included In incoming reso*Jrces Iwilh an equivalent amount in resources expendedl where Ihe
benefit to the charity is reasonably quantifiable, measurable and material. The value placed on these
resources is the eslimaled value lo the charity of the service or facility received.
Volunteer help
The value of any voluntary help received is Th)t inehjded in the aectyJnls but is described in the trustees.
annual report.
Expenditure and liabilities
Llability recognitlon
Liabilities are recognised as soon as there is a legal or constructive obligation committing the charity lo pay
out resources.
Grants with performance conditions
Where the charity give5 a grant wlh conditions for its payment being a specific level of service or output to bo
provided. such grants are only recognised in the SOFA once the recipienl of the grant has provided the
specified service or output.
Page 5

Notes to the accounts
for the year ended 31 March 2022
Note 2
Accounting policies continued
Grants payable without performan¢• ¢onditions
These afe only recognised in the accounts when a commrtnwnt has bgen made and there are no Conditions lo b8
met relating lo the grant which rèmain in the control of the charity.
Assets
Tanqibla fix•d a$s•ts for use bv charitv
These are capitalised if they can be used for than one year. and cost al least £150. They are valued al cost
or a reasonable value orb recwpl.
Note 3
Analy$l$ of Incoming resources
2022
2021
Donatlons
Event and funcb'ons
Fundraising
Shops
Online sales
Grant income
5.871
1.462
102
199.441
2.493
24.680
234.049
6,082
305
86.337
1,363
169.888
263.975
Note 4
Analysis of resources expended
2022
2021
Em lo eè costs
Wages and salaries
Unilom and clothing
Staff training and welfare
156,170
581
116.012
229
1,221
117,461
157,921
Premises Costs
Rent and rates
Light and heat
Water
Refuse and rec￿lIng
Cleaning
48.623
5.622
1.199
3,816
505
59 7fA
35.965
3,001
744
2.432
667
42,810
G•n•ral admlnlstrative ex
enses
Function and promotional event cosls
Telephone
Pnnting. postsge and stationery
Licences and sub¢nptions
Insurance
Hire of equiprnent
181
2.438
945
935
3.070
2.684
10.252
1.864
1.373
1,523
4.072
12.084
21.361
Page 6

Notes to the accounts - continued
for the year ended 31 March 2022
2022
2021
Other finance char
Merchant 16$$
Bank charges
2.543
1.928
Note 5
Details of certain iteffls of expenditurn
5.1 Trustee •xpensoS
2022
2021
Number of trustees vh) **re paid expense5
Total amount paid
5.2 F••s for •xamlnatlon of th• account•
Independent examiner fee for Teporting on the acounts
0￿er fees paid to the Independent exanNnef
5(M)
500
500
Note 6
Staff Costs
6.1 Staff Cost•
2022
2021
GrL)ss wages
156.170
116.012
Average nurnber ol full-bme equivalenl employeos dunn9 ygar %*AS 1012021 101
Note 7
Related party transactions
7.1 R•mun•ratlon and b•n•fbts
2022
2021
Name of related party and r•lallon
Ir15 Billing (wife of trustee Eddie 8115ingl
10.012
10.012
Page 7

Notes to the accounts
for the year ended 31 March 2022
Note 8
Tangible fixed asset5
Depreciation 15 provided ai Ihe folknwin9 annual rates In order to wrrte off each asset over its èslimated useful life.
Fixtures, fittings & equipmèni
. 15% reducing balarKe m*ihod
Flxtur•¥.
•qyipm•nt
Cost
At 1 April 2021 and 8t 31 March 2022
9,952
D•pr•clatlon
Al 1 April 2021
Charge lor the year
8.109
276
Al 31 M8r¢h 2022
8,385
Net 8ook Value
At 31 March 2022
1.566
At 31 March 2021
1.843
Noto 9
Dèbtors and pr•payments: falllng du• wlthin one y•ar
2022
2021
VAT
2.791
2,791
1.714
1.714
Not• 10
Credltors.. falllng due wlthin on• y•ar
2022
2021
Accruals
Trustee Loans
1,000
250
1.250
250
1.250
Page 8

Annual Accounts for the year ended 31 March 2022
Registered Charity No. 1113108

Contents of the Annual kcounts
for the year ended 31 March 2022
Pag0
Charfty Inlorffl*kni
Ind¢p•nd•ot euminevs report on the accounts
Stai•m•nt ol financial actlviti•s
8•l*nE• Sh•qt
54

The Tanya's Courage Trust
IR8giSt8red Charity No. 113f081
Charity inforniation
Trust Office Unil 3
19-21 Fore Street
Sl Auslell
PL25 5PX
Accountants Hadand Accountants
Ground Flcor. Unil 3 Southview House
St Austell Enterprise Park
Cafclaze Down
St Austell
PL25 4EJ
Bankers The C¢>Operatsve Bank
8 OhJ Town Sireel
Plymouth
Devon
PLI 1DE
Chlef executlve Iris Billing
Treasurer Marlene Newrnan
Support getvic•s exeeutlve Nikki Empel-Newman
Patrons James Morrison (Musicanl
Neil Warnock (Pfolessional Football Managerl
Alex Mackay (Celebrity Chefj
Or Sophie Mepham
Or P Merritt
Dr A Childs
Daniel Evans Ix-factor finalisll
Page I

Independent examinerfs report on the accounts
for th¢ y¢ar ¢nded 31 March 2022
I wport on thé accounts of Th8 Tanyas Cthjrage Trusl for the year ended 31 2022, %￿•(* are sat out on page$ 3 to 8.
Respe¢1b￿ responsibiliti•$ of trust••s and examin•r
It 15 my respon51bility to..
examine the aecounis uThJ8r s6¢￿On 145 of the Chanbe5 Act.
lo follow the procedwes Lqid do￿ in the general Direc￿$ gNen by the C￿ty CmmiMiffi (under sectlon 14515llbl of the
Chanlies Act, and
to Sl8le whether p8r￿¢XIIèr manors have corne lo my attention.
Basss of Independ•nt examin¢r's stat•m•fflt
My axaminalion was ￿rried out in ac¢LYOanee gen8fal ￿rectiOnS given ty the Chanty ComML8s￿n. An gxaminatyon includes
review of the a¢¢ounting record5 kepl by the chanty and a companson of accthjnis presented vAth tho$e re¢¢yds. 11 a150 Includ85
consideralion of any unusual Iterns cffj disclosur88 In the a¢¢ouni$. and seoknfig explanats'ons from the tnjslees concemirs any such
maller5. The procedur8s undertak8n do not pro¥￿e all the e¥h3erKe that be required in an audit, aftd con88queniiy no opinion 1$
given as to %*theiher the a¢wJnts p￿sent a'inje and laf. ¥i8w and the report Is limited to Ihosa mallefs Set ¢xJt In the staiemeni below.
Ind•p•nd•Dt •xamln•rfs stat•m•nt
In connection wlh rny eXaM￿at￿3n. no mattw ha$ ¢(Mr• to my attonbon
l. which 9ives me rOasonab￿ cause to bdieve that In. any matenal respect. ty requi¢•m￿lS..
to k8ep accounting records In accr*dance ¥wlh 130 of Ihe Chantyts$ A¢¢..
. 10 prepar& a¢cwni$ %thich a¢¢ud %Ylh the accwnbr¥J fecords cm *ilh Iho requiremenM of the Charilies Aei have
noi betrn mel.. or
2. to whKh. in rny opinion. attsntion ghoukl be in tyd•t ￿ •nabkn a m•r undef51anding of the xcounls to ba reachad.
SIGNED
NAMe
Martyn Olvef ACCA
Ground Fkxr, Unil 3 Stsuthview Heu$a
Si Aust811 Entarpn88 Park
Cartlatè
Austsii
PL25 4EJ
HARLAND
Page 2

Balance Sheet
for the year ended 31 March 2021
Not•
2022
2021
Flxed as$•ts
Tangible fixed assels
1.843
Current ass•ts
D8blors
Barik balances
Paypal
Cash in hand
2,791
12.897
199
1.306
17,194
1,714
64.472
297
1.067
67.550
Current Ilabillll•s
10
1.250
1.250
N•t curr•nt as8•ts
15.944
66,300
N•t a8S•t•
17.510
88.143
Fund• of th• Charlty
Unr¢¥tricled funds
17.510
68.143
On b•hatl ol th• board of truJtq•*
N•m• of tru•t•• Adam Grindrc¥J
Slgnatur•
Date of approval
Page 4

Statement of financial activittes
for the year ended 31 March 2022
Not•
2022
2021
Total incomlng r•soure•s
234.049
263.975
Resourc￿ expended
Charitable activltles
Purchases
Beneficiary payments
Employee costs
Premises costs
Repairs and fenewals
General administrative expenses
Motor expenses
Travel and subsistence
Other finance charges
Advertising, promots'on and gnt8rtainm8nt
17.542
157.921
S9,764
11.616
21.361
6,563
1.881
2.$43
42
279.233
9.236
117,461
42.810
7,128
10,252
655
973
1,928
298
190.741
Othfrr ro•ourc•s •xpend•d
Legal and professional costs
Depr8cialion
Other expenses
3.794
276
1.379
5.449
325
1.929
2.254
Total r•gourc•s •xp•nd•d
284.682
192.995
N•t mov•rn•nt In funds
150.6331
70,979
Total funds brought forward
68,143
2,836
Total fund$ ¢arrl¢d fotward
17.510
68,143
All It4nds tsceived during the ¢Uffent and pmious y9ar wern unr&stricted
Page 3

Notes to the accounts
for the year ended 31 March 2022
Note 1
Basis of accounting
These accounts have been prepared on the basis of historic
Accounting and Reporting by Charities - Statement of Recommended Practice IFRSSE}:
and wilh the Charitses ACL
Note 2
Accounling policies
Incoming Resources
Recognitlon of Incoming resources
These are included In the Statement of Financial Actsvilies ISOFAI when:
th* Irusl8es are virtually Certain they will rècei￿ the resources., and
the monetary value can be measured with suffieienl r81iability.
Incoming rosourcos with related expenditur•
Wherg Incoming resources have related expenditurè las fundraising or contract income) the incoming
resources and related 8xp8ndilure are feportod gross in the SOFA.
Grants and donations
Grants and donations are only included in the SOFA when the Charity has unconditional entiuemenl to the
resources.
Gifts in kind
Gifts in kind are accounted for al a reasonabl8 estimate of their vahje lo the charity or the amount actually
realised.
Gifts in kind for Sale or distribution are includ¢d in the accounts as gifts only when sold or distributed by the
charity.
Gifts in kind lor use by the ¢harity ar$ included in the SOFA as incoming resources when receivable.
Oonated sorvices and facillties
These are only Included In incoming reso*Jrces Iwilh an equivalent amount in resources expendedl where Ihe
benefit to the charity is reasonably quantifiable, measurable and material. The value placed on these
resources is the eslimaled value lo the charity of the service or facility received.
Volunteer help
The value of any voluntary help received is Th)t inehjded in the aectyJnls but is described in the trustees.
annual report.
Expenditure and liabilities
Llability recognitlon
Liabilities are recognised as soon as there is a legal or constructive obligation committing the charity lo pay
out resources.
Grants with performance conditions
Where the charity give5 a grant wlh conditions for its payment being a specific level of service or output to bo
provided. such grants are only recognised in the SOFA once the recipienl of the grant has provided the
specified service or output.
Page 5

Notes to the accounts
for the year ended 31 March 2022
Note 2
Accounting policies continued
Grants payable without performan¢• ¢onditions
These afe only recognised in the accounts when a commrtnwnt has bgen made and there are no Conditions lo b8
met relating lo the grant which rèmain in the control of the charity.
Assets
Tanqibla fix•d a$s•ts for use bv charitv
These are capitalised if they can be used for than one year. and cost al least £150. They are valued al cost
or a reasonable value orb recwpl.
Note 3
Analy$l$ of Incoming resources
2022
2021
Donatlons
Event and funcb'ons
Fundraising
Shops
Online sales
Grant income
5.871
1.462
102
199.441
2.493
24.680
234.049
6,082
305
86.337
1,363
169.888
263.975
Note 4
Analysis of resources expended
2022
2021
Em lo eè costs
Wages and salaries
Unilom and clothing
Staff training and welfare
156,170
581
116.012
229
1,221
117,461
157,921
Premises Costs
Rent and rates
Light and heat
Water
Refuse and rec￿lIng
Cleaning
48.623
5.622
1.199
3,816
505
59 7fA
35.965
3,001
744
2.432
667
42,810
G•n•ral admlnlstrative ex
enses
Function and promotional event cosls
Telephone
Pnnting. postsge and stationery
Licences and sub¢nptions
Insurance
Hire of equiprnent
181
2.438
945
935
3.070
2.684
10.252
1.864
1.373
1,523
4.072
12.084
21.361
Page 6

Notes to the accounts - continued
for the year ended 31 March 2022
2022
2021
Other finance char
Merchant 16$$
Bank charges
2.543
1.928
Note 5
Details of certain iteffls of expenditurn
5.1 Trustee •xpensoS
2022
2021
Number of trustees vh) **re paid expense5
Total amount paid
5.2 F••s for •xamlnatlon of th• account•
Independent examiner fee for Teporting on the acounts
0￿er fees paid to the Independent exanNnef
5(M)
500
500
Note 6
Staff Costs
6.1 Staff Cost•
2022
2021
GrL)ss wages
156.170
116.012
Average nurnber ol full-bme equivalenl employeos dunn9 ygar %*AS 1012021 101
Note 7
Related party transactions
7.1 R•mun•ratlon and b•n•fbts
2022
2021
Name of related party and r•lallon
Ir15 Billing (wife of trustee Eddie 8115ingl
10.012
10.012
Page 7

Notes to the accounts
for the year ended 31 March 2022
Note 8
Tangible fixed asset5
Depreciation 15 provided ai Ihe folknwin9 annual rates In order to wrrte off each asset over its èslimated useful life.
Fixtures, fittings & equipmèni
. 15% reducing balarKe m*ihod
Flxtur•¥.
•qyipm•nt
Cost
At 1 April 2021 and 8t 31 March 2022
9,952
D•pr•clatlon
Al 1 April 2021
Charge lor the year
8.109
276
Al 31 M8r¢h 2022
8,385
Net 8ook Value
At 31 March 2022
1.566
At 31 March 2021
1.843
Noto 9
Dèbtors and pr•payments: falllng du• wlthin one y•ar
2022
2021
VAT
2.791
2,791
1.714
1.714
Not• 10
Credltors.. falllng due wlthin on• y•ar
2022
2021
Accruals
Trustee Loans
1,000
250
1.250
250
1.250
Page 8