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||**Page**|
|---|---|
|**Report of the Directors**|**3**|
|**Income and Expenditure Account**|**4**|
|**Balance Sheet**|**6**|





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||**Year ended**|**Year ended**|
|---|---|---|
||**31/12/20**|**to 31/12/19**|
||**E**|**E**|
|**TURNOVER**|**38,263**|**12,307**|
|Cost of Sales|3,256|6,248|
|**GROSS SURPLUS / LOSS**|**35,007**|**6,059**|
|Administrative expenses|11,078|5,186|
|**OPERATING (DEFICIT) / SURPLUS**|**23,929**|**873**|
|Interest receivable and similar income|7||
|**(DEFICIT)SURPLUS ON ORDINARY**|||
|**ACTIVITIES BEFORE TAXATION**|**23,936**|**873**|
|Tax on (deficit) surplus on|||
|ordinary activities|−||
|**(DEFICIT) / SURPLUS FOR THE**|||
|**FINANCIAL PERIOD**|**23,936**|**873**|





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|||**Balance Sheet**|**Balance Sheet**|||
|---|---|---|---|---|---|
|||**31 December **|**2020**|||
|||**31/12/20**|||**31/12/19**|
||**Notes**|**£**|**£**|**£**|**£**|
|**FIXED ASSETS**||||||
|Intangible Assets|||924||924|
|Tangible Assets|||13,152||2,841|
||||14,076||3,765|
|**CURRENT ASSETS**||||||
|Stocks|||0||0|
|Debtors|||0||0|
|Cash at bank and at hand||13,915|||290|
|||13,915|||290|
|**CREDITORS**||||||
|Amounts falling due||||||
|within one year|||0||0|
|**NET CURRENT**||||||
|**(LIABILITIES)/ ASSETS**|||27,991||290|
|**TOTAL ASSETS LESS**||||||
|**CURRENT LIABILITIES**|||27,991||4,055|





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|27,991|4,055|
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|27,991|4,055|





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