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|Reference|and Administrative<br>Details||
|---|---|---|
|Trustees'|Report|2to 3|
|Statement|ofTrustees'<br>Responsibilities||
|independent<br>Examiner's<br>Report|||
|Statement|of Rnancial Activities||
|Balance Sheet|||
|Notes to|the Rnancial Statements|Sto13|





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|Stat|emen|t of Financial Activiti|es for the Year Ended $|es for the Year Ended $|1March 2022||
|---|---|---|---|---|---|---|
||||Unrestricted||Total|Total|
|||||funds|2022|2021|
||||Note|E|E|E|
|Income and Endowments||from:|||||
|Donations<br>and legacies||||44,296|44,296|20,272|
|Total income||||44,296|44,296|20,272|
|Expenditure<br>on:|||||||
|Charitable<br>activities||||(13,075)|(13,075)|(4,867)|
|Total expenditure||||(13,075)|(13,075)|(4,867)|
|Net income||||31,221|31,221|15,405|
|Net movement<br>in funds||||31,221|31,221|15,405|
|Reconciliation<br>offunds|||||||
|Total funds brought|forward|||43,365|43,365|27,960|
|Total funds carried|forward||12|74,586|74,586|43,365|
|All ofthe charity's|activities derive from continuing||operations|during the above|two periods.||





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|||||2022|2021|
|---|---|---|---|---|---|
||||Note|f|f|
|Current assets||||||
|Cash at bank|and in|hand|10|75,366|44,061|
|Creditors: Amounts||falling due within one year||(780)|(696)|
|Net assets||||74,586|43,365|
|Funds ofthe|charity:|||||
|Unrestricted|income|funds||||
|Unrestricted|funds|||74,586|43,365|
|Total funds|||12|74,586|43,365|



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