COMPANY REGISTRATION NUMBER: 06473749
CHARrrY REGISTRATION NUMBER: 1123819
THE RUSTY BUCKET CIIRISTIAN RESOURCE CENTRE
Company Limited by Guarantee
UNAUDITED FINANCIAL STATEMENTS
31 DECEMBER 2023
Chartml certifi￿ Accountants
Morval
Cornwall
PL13 IPN

THE RUSTY BUCKET CHRISTI￿￿ RESOURCE CENTRE
COMPANY LIMITED BY GUARAKfKE
YEAR ENDED 31 DECEKBER 2023
PAGE
Trustees, arjttual report (incort￿tIng the diT¢Ctots rq)orr)
Charter&l certified accountants rqM)rt to the board of trustees on the
preparation of the unaudited statutory financial stat¢m¢nts
Statement of financial activities (including income and exp¢nditure
account)
State￿ent of fu￿nCIal position
Not&s to the financial statemfflts
The folloiving pa2es do not forni part of the fmAneixl staternents
Detsiled statement of financial activiti
17
Notes to the detailed statement of finanaal activiti&
18

THE RUSTY BUCKET CHRISTIAN R￿SOURCE CENTRE
COMPANY LIMTfED BY GUARANTEE
TRUSTEESI ANNUAL REPORT (IliCORPORATINC THE DIREcfoRIS REPORT)
YEAR EIYDED 31 DECEMBER2023
The trustees, who are also the directors for the pur￿Se8 of company law, present their report
and the unaudited fingnciai statements of the ¢])arity for the year elld￿ 31 December 2023.
REFERENCE AND ADMtNISTRATIVE DETAILS
Registered charlty name
The Rusty Bu¢ket CbrA8tian Resour£Y Centre
Charity registratAon number 1123819
Company regtstration
number
06473749
Principal office and
registered
offi¢e
I l Bakeley cr￿llt
Uphill
Weston.Super.Mare
North Somers¢t
BS23 4XZ
THE TRUSTEES
MrP Penhaligan
Mrs P Penhaligan
COMPANY SECRETARY Mrs P Pa)]￿lIgan
ACCOuh￿A￿￿s
M¢th¢r¢ll Gard
Charter&l certifi￿ Accountants
Morval
LA)0¢
Cornwall
PL13 IPN
STRucfuR4 GOVERNANCE AND MANAGLMEiYr
Governfing document
The organisation is a charitable Company tAmital by Guarantee inc0T￿rated in January, 2(K)8
and registered &s a chaTity io April, 2tM)8. The company was established under a
Memorandum of Association that estsblished the objects and powers of thc cbaritable
company and is governed under its artic1&8 of A&sociation. Jn the ¢v¢nt of the company being
wound up m¢nthL7 arc r¢quircd to Contribute an amount not excealing £10.00.

THE RUSTY BUCKET CHIUSTIAN RESOURCE CENTRE
COMPANY LIMrfED BY GUARANTEE
TRUSTEESI ANNUAL REPORT (INCORPORATING THE DIRECTORIS REPORT)
YEAR ENDED 31 DECLIIBER 2023
STRUCTUR[ GOVERNANCE MANACEMEiYfito•th*ff4)
Recrnitment and appolntment of new trnstees
Th¢ dirc¢tors of the company are also clwity trustees for the of tharity law and
under the companys articles are known &s trust￿. Following the retiremen¢ in Novemb¢r
2022, of MTS D SinAps0￿ Mr R Simpson and Mrs C Melltis, the decision was made not to
s¢¢k additional trustees but to take the nec&%wy time to effectively address the charit518
future. Ple&se note- All tmstees give th¢ir tinJ¢ voluntarily and receive no benefits from the
charity.
Organisational structure
Tn￿tee8 are jointly responsible for strat¢gi¢ dir¢¢tion and policyof the charity.
Risk nLqnagement
Th¢ tsiJst¢cs havc a duty to 1(lentify.a[￿ ￿leW the risks to which the clwity is ex￿)S￿ and to
ensure appropriate ￿ntrOlS are in place to provide reasonable assurance against fraud and
OBJECTIVES AND AcrIvrrIES
Objectlves and aln
The charit5ls objectiv¢s a5 sd out in the CoMpan￿S Memorandum of Association are .
To advance the ChrAstian faitb in tA)oe and in such other parts of the United Kingdom or the
world as the directors of the Cbarity (herein (xlled 'the truste48")may from time to timc think
fit and to fulfil such other purp)s¢8 which are exclusively clwitable acci)rdiDg to th¢ law of
England and Wales and relate to the ¢b￿ltable work of th¢ Charity.
To relieve petsons who are in c4)nditions of need or haTdsbip or who are aged or si¢k and to
relieve the distress caused th¢reby in the said location and in such other parts of th¢ United
Kingdom or the world &8 the trustees may from tim¢-tO-ti￿c think fiL
To provide facilities for recreational and other leisur¢-tim¢ occupation in the inte￿ts of
social welfare for peT8ons who bav¢ need by re￿n of their youd4 povety, or so¢ial and
economic circumstances and with the object of improviug th¢ir conditions of lrfe in the said
location and in such other parts of the United Kingdom as the trnstees may from time-to-time
thÉnk fit.
We are a con]munity charity operating fron] Uphill, Nortll Somersd. We believe that it is
important that our trustees commit to regular ¢valuations of the Clwitys Aims and
Obj¢ctiv¢s. W¢ ar¢ c0nllnitt￿ to meet community neo]s and are flexible in how we raspond
to those ne&ls whilst t￿t (x)mpromising th¢ above Stat￿ Aims and Objectives.

THK RUSTY BUCKET CHRISTIAN RESOURCE cEiYfRE
COMPANY LIMrrED BY GUARANTEE
TRUSTEESI ANNUAL REPORT (INCORPORATING THE DIREcfoR'S REPORT)
YEAR ENDED 31 DECEMBER 2023
OBJECTIVES AND ACTIVITIES
ACHIEVETMtEKrs AND PERFORMANCE
Slgnifieant activities
Although the charity MOV￿ from tDoe in December 2021 we continued to InV￿t ill that
Community through a self-anpl0y￿ arrpngement with Sara Baron to a&8iSt with the continu
impact of Boundless Trust in developing sustaithle ￿mmunity projccts. This arrangen]ent
came to a naturni Conclusion toward8 the ffld of the rq)orting year.
Having mov¢d it's principal offic¢ from ￿0e to Uphill, liorth Somerset, the charity h
identified a significant potential partlle￿hjp opportuntty with St. Paul's Chur¢h - a tljriving
community focused estsblishment in tbe centr¢ of Weston Super Mare. Our fi￿t partneTship
attangement was to fimd a part tim¢ onployee to explore the gtowth p)tential fore a Young
Adults 18-30 ministy. Jn additio￿ we are p￿$￿tlY considering a major investment in the
church's growing youth ministy.
Public Benefit Statsment
The tnL8tees have complied wxth tbe duty in s￿tioll 4 of the 2(M)6 Charities Act to have due
regard to guidance publishe41 by the Ckwity Commissioll
Reserve8 policy
Any rtstriclion of r￿e[v¢S is idelltifial on rc(%ipL &8 at year end there were £682 of rcstricted
reseTves and £118436 of llnre5trict￿ raserva. The Statement of Financial Activities shows
net income in the yvar of £1904

THE RUSTY BUCKET CHRISTIAN RESOURCE CENfRE
COMPANY LIMITED BY GUARANTEE
TRUSTEES, AIYNUAL REPORT (INCORPORATING THE DIREcfoRIS REPORT)
YEAR ENDED 31 DECLMBER 2023
PLANS FOR FtrruRE PEIUODS
To be trusted.
To be gtK>d listeners, not just talk￿.
To be consistent in our decision makin&
To invest our fimds wisely.
STrL4LL COMPANY PROVISIONS
This report has been prepared in ac4x>rdance with the provisions applicable to cornpanies
entitled to the stnall companies exemptio
d sigoed on behalf of the
board of ttv8tee8 by:
F£Lk
Mr P Penbaligan
Tn￿tee
Mrs P PenhaIigan
Chatity Secretary

THE RUSTY BUCKET CHRISTIAN RESOURCE CENTRE
COMPANY LIMrrED BY GUARANTEE
CHARTERED CERTIFtED ACCOLwfAMS REPORT TO THE BOARD OF
TRUSTEES ON THE PREPARATIOIN OF THE UNAUDrrED STATvfoRY
FINANCIAL STATEIKENfs OF THE RUSTY BuC￿￿T CHRISTIAN RLSOURCE
YEAR ELWED 31 DECEMBER 2023
As describ￿ on the statement of financia] positio￿ the tr￿8tee5 of the charity are res￿nsIble
for the preparation of the financial statements for the year ended 31 December 2023. which
comprise the statement of finoncial activities (including inwm¢ and ¢xp¢nditure account),
statement of financial position and the related not&8.
You consider that the charity is exempt from an audit under the Cornpani&s Act 2006.
Jn accordance with your inst￿CtiOnS we bave compiled these financial Statements in order to
&ssist you to fidfil your statutory responsi￿111tie5, from th¢ accounting r¢cords and fro
inforniation and explanations supplied to us.
METHERELL GARD
Chartcrcd C¢rtifi¢d Accountants
Morval
Cornwall
PL13 IPN

THE RUSTY BUCKET CHRISTLIN RESOURCE CEIYTRE
COMPANY IJMrrED BY GUARANTEE
sTATE1￿￿￿T OF FtNANCIAL AcrIvtTIES
CLUDLYG INCOME AND EXPENDTfuRE ACCOUNT)
YEAR Ehl)ED 31 DECEMBER 2023
2023
UnrGstsict¢d Re8tri¢t¢d
funds
funds Total funds TotaI funds
2022
Not¢
Income and endoivments
Donations and legacies
tnvestment incorne
Othw income
291
1,593
20
291
1,593
(1,445)
202
Total llleome
1,904
(1,243)
Expendfiture
Expenditure on charitable activities 89 (26,688)
Other exp¢nditure
io
Totsl expelldAt￿re
(26,536) (65,089)
(6,123)
Q6,536) (71212)
(26,688)
Net expendlture 2nd net m0vell￿nt In
funds
(24,784)
(24,632) (72,455)
Reconciliation of funds
Total fill)ds brought forward
Total funds carried forlvard
143,220
118,436
682
143,902
119,118
216,357
143,902
682
Th¢ stat¢An¢nt of financial activiti¢s includes all gains and losses reco￿19&￿ in the ye4T,
All income and expenditure derive from ￿ntinuing activities.
The notes on pages 9 to 15 form part of these f￿alle￿￿ $tatsm¢nts.

THE RUSTY BUCKET CHRISTIAN RESOURCE CENTR
COMPANY LI￿￿TTED BY GUARANTEE
STATEMENT OF FINANCIAL POSITION
31 DECEMBER 2023
2023
2022
Note
CURRENf ASSETS
Debtors
Cash at bank and in hand
14
317
120.060
120J77
312
144.698
145,010
CREDITORS: amounts fallfng dlle wlthfin one
year
Is
1.107
1.108
143,902
NET CURRENT ASSETS
119,270
TOTAL ASSETS LESS CURRENT
LIABILfrIES
119370
119270
143,902
143,902
L¥IET ASSETS
Restricted fimds
Unrestricted funds
682
118,436
119,118
682
143,220
143,902
Total charity funds
16
For the year ending 31 December 2023 the charity was entitled to exemption from audit under
section 477 of the Companies Act 2006 relatillg to companies.
The memb￿8 have not rcquirn] the company to obtain an a]￿lt of its flllancial stat¢m¢nts
for the year in question in accordanc£ with section 476.
The directors acknowltsjge their r&s￿￿E11ties for complying with the requirements of
the Act with rwt to accounting r￿ordS and the prepardtion of financial statements.
These financial statements have been prepar￿ in ac(x)rdance with the provisions appIicabl¢ to
cornpanies subject to the small compani&%' regime.
The Statement of financial position
continues on the following page.
The notes on pages 9 to 15 form part of these finan¢lal ststsments.

RUSTY BUCKET CHIUSTIAN RESOURCE CENTRE
COMPANY LThirrED BY GUARANfEE
STATEMENT OF FINANCIAL posrrioN
31 DECEMBER 2023
financial statoncnts were approvd by the board of trLL8te¢8 and authoTis¢d for issue on
trxept￿, and are $i￿¢d on behalfofthe bo8rd by:
Mr P Penhaligan
TrLTStee
The notes on pages 9 to 15 forni part of these fman¢lal State￿ents.

THE RUSTY BUCKET CHRISTIAN RESOURCE CENlllE
COIIIPANY LJMrrED BY GUARANfE
NOTES TO THE FINLNCIAL STATEMENrs
YEAR ENDED 31 DECEMBER 2023
GENERAL INFORMATIOY
The charity is a public benefit entity and a private company limit￿ by guarante4
regist¢r&J in England and Wales and a registered cE￿Ity in England and Wales. The
addrcss of thc rcgistcrcd office is I l Berkeley cr￿ent, Uphill. WestOn-Super-Ma￿,
North Somers4 BS23 4XZ.
STATEMLNT OF COIWPLIANCE
These financial statements have been prepared in complianc¢ with FRS 102, The
Financial Rep)rting Standard applicable in tbe UK and the Republic of Ireland,, th¢
Statement of Recommended Practice applicable to charities pr¢paring their accounts in
a¢cordauce with the Financial RqM)rting Standard applicable in the UK and Republic of
Jreland (FRS 102) (Charitie8 SORP (FRS 102)) and the compani￿ Act 2(M)6.
ACCOUNTING POLICtES
BASIS OF PREPARATIOLY
The financial statemfflts hav¢ b¢￿ pr¢pafftl on the historical a)st b&8Ès, 88 modifieAJ by
the revaluation of certain financial &8sets and liabiliti&s and investment properties
me&wred at fair value througb iiiLxiin¢ OT ¢xp¢nditure.
The financial ststemfflts are pr¢par￿1 ill st￿lin& v4hi¢h is the fjJnctional currency of the
entity.
GOING COryCERIY
There are no material Unc￿￿1nti￿5 about the Charitys ability to continue.
DISCLOSURE ExEm￿I0Ns
The &c￿ll￿ts have been prepar￿ in a¢COrdan￿ with the proF•lSiOLS of FRS 102 Section
IA small entitias.

THE RUSTY BUCKET CHRISTIAN RESOURCE CENTRE
COTrIPANY LLltrrED BY GUARANTEE
NOTES TO THE FINANCIAL STATKMENfs (Wth*￿)
YEAR ENDED 31 DECEMBER 2023
ACCOUNfING POLICIES
FUND ACCOUINTtNG
Unrestri¢tPAI fimds are available for use at the dis￿l0n of the tnL￿t￿ t() further any of
the ch￿l￿S purposes.
Desiguated fimds arc unrestricted fimds earnwk￿ by the trustee5 for particthar future
project or comtnitrnenL
Restrict￿ funds are subje￿ed to T&StTiCtions on their expenditure declared by the donor
or through the toms of an appeal, and fall into one of two su￿¢]￿95￿. restricted incorne
fimds or endowment fimds.
INCOMING RESOLIiCKS
All incoming resources are included in the 8tat¢ment of financial activiti&s when
entitlement has p&8sed to the charity. it is probable that the economic benefits as80¢iat
with th¢ transaction will flow to the charity and the amount can be reliably measured.
The following Sp￿lfi¢ policics are applied to particular categories of in￿rne:
income from donations or grdnts is reLx>gDi8&1 wh¢n thffe is evidence of entitlement
to th¢ gitt, r￿cIpt is probable and its atnount can be measured reliably.
legacy inwm¢ is r￿gniSed when receipt is probable and entitl¢m¢nt is ￿tablIShed.
incorne from donat￿ goods is measural at the fair valu¢ of the goods unl&8s this is
impractical to measure rcliably, in which case the value is derived from the cost to
th¢ donor or th¢ ¢StIn)at￿ resale value. DoDateA faciliti&8 and servicss are
reCognis￿l in the accounts when receiv￿ if the value Can b¢ r¢liably measured. No
amounts are includal for the contribution of general volunteers.
inwm¢ from contracts for the supply of Servi￿ is recngnised with the delivffy of
the contracted wvice. This As Classifi￿ &8 unrestrictcd ￿ndS unless there is a
contractual requir¢mcnt for it to be spent on a particular pury)ose and returned if
un8p¢ll( in which case it may be regarded as restrict&l.
io-

THE RUSTY BUCKET CHRISTJAN RESOURCE CENTRE
COMPLNY LIMITED BY CUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR EhT)ED 31 DECEMBER 2023
AccouNfiNG POLICtES
RESOURCES EXPENDED
Expenditure is T￿OgnISed on an accruals b&sis &s a liability is in(X￿r&I. Expenditure
includes ally VAT whicb cannot b¢ fully recovrf and is classified under headings of
the statemettt of financial activities to which it relatss:
expenditure on raising funds includ&s the costs of all fundraising activities, events,
I￿n-ch￿1t&b1e Irading activitias, and the sale of donat&J goods.
expenditure on charitable activitiGS includes all c08ts incurred by a charity in
undertaking activities that further its ¢l]aritable aims for the benefit of its
beneficiaries. including those support costs and costs rdating to the governance of
the ckLaTity apwrtioned to charitable ￿tiviti￿$.
other expenditure includ&s expenditure that is neither relabj to raising funds for
the charity nor part of its expenditure on charltable activities.
All costs are ajlocated to expenditute categori¢8 T¢fl¢¢ting the use of the resource. Direct
C4)sts attrAbutable to a sit￿¢ activity are allocated directly to that activity. Shared ¢osts
ar¢ apportioned between the activiti￿ they (x)ntribufr to on a r(wonable, justifiable and
consistent basis.
DEPRECIATION
D¢prc¢iation is ￿l¢ulatCd so &8 to write off the cost or valuation of an ￿SeE less its
r¢sidual valu¢, ov¢r the ￿$¢ful econon]ic Life of that ass¢t &s follows:
FIXtL￿eS and Fittings
Computer Equipm¢nt
Plant alld Machinery
250/0 rolucing baJaDC¢
330/0 reducing balanc
INVESTIIENT PROPERTY
Investment propety is initially r￿Orded at cosL which includes purchase price and any
dir¢¢tly attributabl¢ ¢xpenditure.
tnv¢stment property is revalued to its faiT value at each re￿rtIng date and any changes in
fair value are recognised in illLX)me or expenditu￿.
If a rcliable nL¢asurc of faiT value is DO long¢r available without undue cost or effort for
an item of investment property, it shau be transferrnl to tsllgiblc assets and treat¢d &8
such until it is eXp￿tea that fair valu¢ will b¢ r¢liabLy me&%urable on an on-going b&%is.
li-

THE RUSTY BucK￿T CHRISTIAN RESOURCE CENfR
COMPANY LIMTTED BY GUAIL4NfEE
NOTES TO THE FINANc￿L STATEMENfs
YEAR E￿7)ED 31 DECEMBER 2023
LIMITED BY GUAiiAiYfEL
The con]pany is limit￿ by guarantee. In th¢ ¢v¢nt of a winding up of the Company,
members are r¢quir¢d to ¢ontiibute an amount not excealAng £10.
DONATIONS AND LEGACIES
Unrestrict￿Tot￿l Funds UnTestrIcl￿ Total Funds
2023
Funds
2022
DONATIONS
Donations
291
291
(1,445)
(1,445)
Some donations have beffl r¢turn￿l to donors &s unurf resulting in negative donation
VESTMENf ￿COmE
u[]￿￿1[1c1edT0t￿l Fund5 Unrestricted Total Funds
Funds
2023
Funds
2022
Bank interest receivable
1,593
1093
202
202
OTHER LNCOME
UnrG8tri¢tedTotal Funds Unffstricted Total Funds
2023
Funds
2022
Other Income
20
20
ExPEND￿URE ON CHARITABLE AcrivrrIES BY FUND TYPE
UnK8trictolTotsl Funds UnT￿trActed Total Funds
2023
Funds
2022
Faciliti¢s management cost
Supwt costs
24,673
2,015
26,688
24,673
58,349
6,740
65,089
58,349
6,740
65,089
26,536
12-

TllE RUSTY BUCKET CHRISTIAN RESOURCE CENTRE
COMPANY LINIITED BY GUARANTEE
NOTES TO FINANCJAL STATEMEiYfs
YEAR ENDED 31 DECEMBER 2023
EXPEN￿[￿ 01¥4 CHARrrABLE AcrIvtTIES BY AcrIvrrY TYPE
Activiti&8
ndertak
directly
Support Total funds Total fimd
o)sts
2023
2022
Facilities n￿lagement wst
GovernanLY costs
24,673
24,673
58J49
6.740
65.089
1.863
1,863
24,673
26536
10. OTHER EXPENDITURE
Unr&8tricteA Total Funds Unrestiicted Total Funds
Funds
2023
Funds
2022
Loss on disposal of tangible fix
assets held for cbaritys own use
6,123
6,123
11. ryET EXPENDifuRE
Net expenditure is stated aft￿ C1)aT￿￿(credtÈlng).
2023
2022
L05s on disposal of tan￿7)le fixed &ss¢ts
6,123
12. TRUSTEE REMUNERATION AND EXPENSES
No renluneration or other benefits from employment with the GI￿Lty or & related ¢ntity
were received by the tThJs￿.
One or more trustees has claimd expenscs or had their expens&g met by the charity.
The total a￿oUnt paid by the tharity for t￿￿tee expenses is £300. This repres¢nts the
contributions towards living costs for gu&sts.
13. INVESTMEiYrs
Total
Carrying amount
At 31 December 2023
At 31 De¢¢mb¢r 2022
iJ-

THE RUSTY BUCKET CHRISTJM RESOURCE CENTRE
COMPANY LIMITED BY GUARAiYfEE
NOTES TO THE Vlll"Ah'CIAL STATE1￿[￿￿[8
YEAR ENDED 31 DECEMBER 2023
13. INVESTMEIYfS
All investments shown above are held at valuation.
14. DEBTORS
2023
2022
Prepayments and accrued inLX)me
Coll]munity loans
153
164
148
317
312
15. CREDfroRS: amounts faulng due within one year
2023
2022
Accnjals aad defetred income
Other creditors
1,019
88
1.019
89
1,107
I,108
16. AYIALYSIS OF CHARfTABLE FUNDS
Unrestrleted funds
At
l January 20
23
At
31 Deeenjbe
r 2023
]ncA)me Exp¢nditur¢
General fjJnd8
143220
1,904
(26,688)
118N36
At
l January 20
22
At
31 D￿the
r 2022
(x)me Ex[￿ndItUre
General fimds
215,675
(1,243) (71,212)
143,220
14-

THE RUSTY BUCKET CHRISTIALY RESOURCE CENTRE
COMPANY LIMITED BY GUARANfEE
NOTES TO THE FINLNCIAL STATEMENfs (¢orfthwtdJ
YEAR EIYDED 31 DECEMBER 2023
16. ANALYSIS OF CHARrrABLE FUNDS (co*
Restrleted funds
At
l January 20
23
At
31 Decembe
r 2023
Income Bxpenditur¢
Youth & community develOpm￿t
682
682
At
l January 20
22
At
31 Decembe
r 2022
Inwme Expenditu
Youth & community development
682
682
17. ANALYSIS OF NET ASSETS BETWEEN FUNDS
unr￿ACted Restri¢tdTotsl Funds
Funds
Funds
2023
Current assets
Creditors Iw than l year
Net assets
Unrestricted Rthicted Total Funds
Funds
Funds
2022
Tangible fix￿ a&sets
Inv&sttllents
Current assets
Creditors less than l year
Creditors greater than l year
et assets
144,328
(1,108)
682
145,010
(1,108)
143,220
682
143,902
18. RELATED PARTIES
There were no relatal party tra[￿CtionS that w¢r¢ required to be disclosed during the
period.
15-

TFIE RUSTY BUCKET CHRISTIAN RESOURCE CENTR
COMPANY LITrtrrED BY GUARANfEE
MANAGEMENT INFORMATION
YEAR EL4DED 31 DECEMBER 2023
The following pages do not forni part of the fmancial statsments.
16-

THE RUSTY BUCKET CHIUSTIAN RESOtJRCE CENlllE
COMPANY LIMrrED BY GUARANfEE
DETAILED STATEMKNf OF FIJIAIYCIAL AcrIvrriES
YEAR ENDED 31 DECEMBER 2023
2023
2022
Income and endowments
Donallons and legacies
Donations
291
(1,445)
Inveslment income
Batfft intet&yt receivable
IA93
202
other income
Other ]nconLe
20
Total income
1,904
(1,243)
Expendlture
Expenditure on charltable activitie8
tnsurance
Legal and p￿f￿10Thal fees
Other office costs
Other interest payabl¢ and similar charges
Sundry
Hospitality
Outreach WOTk
The Haven Project
Grants given
Cornwall community crisis fiu
690
1,152
319
21
768
6,045
290
39
6,875
103
625
52,863
975
3,417
65,089
15,947
IA06
26536
Other expenditure
Loss on disposal of tall￿7)1¢ fix￿1 &￿ts held for charitys own vse
6,123
Totsl expendIt￿¢
26036
71,212
Net expendfiture
(24,632) {72,455)
17-

THE RUSTY BUCKET CHRISTIAN RESOURCE CENTR
COMPAI%Y LI1￿￿ED BY GUARANfE
NOTES TO THE DETAILED STATETh￿￿r OF FINANCIAL AcrIvrrIEs
YEAR ENDED 31 DECEMBER 2023
2023
2022
Expenditure on ￿ble activAties
Frdellltle8 n￿lageD￿nt cost
Activities underhiken direcdy
Licences & insurance
Postage & stationery
Sundry
Hospitality
Outreach wo
The Haven Project
Grants given
Cornwall conllllunity crisis fund
73
290
319
39
6,875
103
625
52,863
975
3,417
58,349
15947
24,673
Governance costs
Govemance costs . insurJnc¢
Governance costs - accountancy f
tEgal & professional fees
Bank charg¢s
695
l.236
4,809
1.152
21
6,740
Expenditure on charitable activities
26W6
65,089
18-