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|Legal and Administrative|Information||
|---|---|---|
|Trustee's<br>Report||4-12|
|Independent<br>Examiners|Report|13-14|
|Statement<br>of Financial|Activities|15|
|Balance Sheet||16|
|Notes to the Accounts||17-18|





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|Income||||||||
|---|---|---|---|---|---|---|---|
||||Notes|General|Fund|2020|2019|
|Membership|and|||||||
|Conferences||||33607||33607|68447|
|Sponsorship|||||||2500|
|Other||||1015||1015|100|
|||||34622||34622|71047|
|Expenditure||||||||
|Activities||||54362||54362|28718|
|||||54362||54362|~2871|
|NET INCOMEI EXPENDITURE||||(19740)||(19740)|42329|
|Total funds|brought|forward|on|||||
|1"January|2020|||78150||78150|35821|
|TOTAL FUNDS C||RIED|FORWARD|58410||58410|78150|





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|||NOTES|2020|2019|
|---|---|---|---|---|
|Cash at Bank|in Hand||59096|78842|
|Creditors: Amounts<br>falling due within one year|||686|692|
|Net Assets|||58410|78150|
|Unrestricted|General Funds||58410|78150|





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|EXPENDITURE||||
|---|---|---|---|
||General Funds|2020|2019|
|Activities||||
|Training|24828|24828|12654|
|Administration|23637|23637|8797|
|Bank Charges|466|466|831|
|Computer<br>Costs|2128|2128|389|
|Accountancy|764|764|692|
|Other Expenses|2539|2539|5355|
||54362|54362|28718|



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||The Trustees|did not receive any remuneration|did not receive any remuneration|in their roles as Trustees,|||
|---|---|---|---|---|---|---|
|6.|CASH AT BANK AND IN||HAND||2020|2019|
||Cast at Bank||||59096|78842|
|7.|CREDITORS:|AMOUNTS|FALLING DUE||||
||WITHIN ONE|YEAR|||686|692|



