REGisfERED COMPANY NUMBER: 07013695 (England and Wale5)
RKGisfERED CHARITY NUKBER: 1136215
REPORT OF THE TRusfEES AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YL4R EryDED 30 SEPTEMBER 2023
FOR
PET RESPECI LTD
3 Melton Park
Redcliff Road
M¢ltt>n
E&%t Yorksh(re
HU14 3RS

PET RESPECT LTD
cor4TENTS OF THE FINANCIAL STATEMEVIS
FOR THE YEAR Ef4DKD 30 SEPTEMBER 2023
PA8e
Report of the Trvsttts
Independent EIamineT'S Report
St4tsJty¢nt of Activltle5
Balance Sheet
6 to 7
Notes the Fknanclal StAtements
8 to 13
Det#iied stats￿￿1 ActlTrltle5
14

PET RESPECT LTD
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 30 SEFfKMBER 2023
The Charity is controlled by its governing a dced of frns4 and eotL8titsrtes a limited eotnpany. limited by
guarantee, as defined by tlie Companies Act 2fy)6.
OBJECTIVES AND ACTIVITIES
Obj¢etlve$ and
To advance the education of the pub]ic in aniomi welfare and animal bebaviour, and the prirKiples of good care and
]i]aDag¢m¢nt Df p¢ts.
To promote hwnalle behaviour towards aninmls by providing appropriate care attd attention by reason of fitness,
nMltreatm¢nL pooi circurllthce5 or ill usage.
To advan¢e in life aThl h¢lp people by providing sllpport and a¢tsvity whith dev¢lop their Skills. ¢apa¢ilies and
¢apabilities to enable thetn to participate in ￿￿llety as mature aDd Twnsiljle individuals.
The clwity has been mindful of the public benefit requirements as laid out in the Chatity Cornmission guidelities whe
setting their objectives athd the details of their activities as ]Aid out An the AehxeVen￿tr and Perfornjance seetion of tbis
report hopefvlly slwv th￿¢ objectiV¢8 are b¢ing m¢l..
ACHIEVEMELYT AND PERFORMANCE
Pet Re&pect has been very busy this year itt ￿￿0018. Pupil Referr8[ Unit& University, Care Hojnes and even a visit to
Hull Royal Infirnw.
Our r¢putation has spr¢ad and w¢ ar¢ fully book¢d Ihroughout thr WKL w¢ visit 2 whools at the same titne
as we now imve more reliable Volunteers with their th>g&
We ar¢ also in th¢ of &w8sing & f¢w rtM)rc dogs 80 that thcy join as ￿ g¢t tt)afty requ&4ts tt> vigit
Care Homes. Our priority has always been scknls as our main aim is to eJTrcourage ¢l]ildren lo be kind to animals and
also how to be safe arolllld dogs- Th¢ atThOllllt of dog attacks is it￿￿$]￿g ￿telY and thi$ is ￿waYS down to the f&ct tbat
people (lo no¢ train their dogs and when they get outvf control, are a danger to the public. We teach children how tts
lthve around dogs how tt* treat them positively attd knlldly.
All the schools pay for the Anirnai knisted Therapy (AAT) but we still offer some free t￿ter sessioL8. We also visit the
Carc Horllcs for frcc or a 5Th￿11 donatioN ow dog8 give 80 muGb pleasure to the elderly residents and
haye an amazing effect on those with dementia.
We haven't attended many futidraising events due to ill healtty bjt we aTe hoping to atterd more next year
We still have a few customers order prI[tt￿ items but our n)ain cust0ll￿r Hull Peoplel Memorial, had to closc
down due to incr￿l￿g ovetlas.
They donated t lovely amount of over £18k to Pet Respeet wbieb came LI i lovely shockl! tlwiked ￿ for helpiThg
them ov¢r the ￿ar5 alld providing them with Orde￿ at last millutc (and hand deliv￿]ll18 th¢ml}.
We will keep the money in reserve to go ￿v￿dS & newvaD in the
Next ycar looks to be busy 4s we have raken on a few more volunteers so we wiu be able to deliver to mor¢ sthoois al
Care Hom¢8.
W¢ are proud of what we have achieved the years. 8￿d￿llYbUIldIll8 a giKMI reputstion and we will continue to do so.
Page I

pEr RKSPECT LTD
IIEPORT OFTHE TRUSTEES
FOR THE YEAR ENDED 30 SLPTKMBER 2023
FINAF4CIAL REVJEW
Reserves pollcy
It i$ the policy of the charity to rnaintain Iw'd Ullrestrictyj fimd& which a￿ th¢ fr¢e K8erves of the orgatiisation, at a
level sufficien¢ ￿ ¢over tbe ¢osts for a period of no ttmir than 12 nx)nths.
Details of ttwvwnettt in reserves for the year found on pages 5- 14 of the fiDanci41 statemellts.
STRUCTUR4 COVERNANCE AND MANAGEMEliT
GDv¢fDlng doeumellt
TELe charity is controlled by its governing docum￿( a d¢eA of ¢rwt. 8lld co￿$t1)jIeS a limit￿ compatty* Limitsd by
guarantee, as defined by the CompatLi¢S Ad 21KI6.
Recrnitment 4ppoSntment of trustces
The trustees of the chE4rity form an cxecutiye committtt wlho rcpr¢scnt the orgattisatioD. The trustees rn￿t on a trgular
basis and are wpporkd in their governance of the cknritys affaiTh by the en)ployees.
Appointmellt of trust¢es is govern￿ by the constitution of the ¢lJatity and the Ix)aJd of tr￿t￿8 is authorised to appoint
trustees to fill vacancies arising througb r￿Agnation ordeath of an cxisting trustee.
Indlletton and training of new trustees
New trust¢cs arc itKlucted by being invited to attend commtttee meetings in order that they llwy judge tbe levcl of
onmiitment and r(wnsibilitics that are involved wilh b¢iDg a In¥t¢¢.
REFER￿NCE AND ADMINisfRATtNY DETAILS
Re%15tered Ctsmpally number
07013695 (Englaad and WAles)
Reg5stered Charlty llumber
1136215
Reglstered office
35 Seafi¢ld Ayem
Hull
HU9 3JQ
Trusfees
L Barcoe Company Se¢retary
M Hartley Director
K Hepple Director
S KellyDireetor
G Hartley Di￿tOr
A Mi118 Dir¢¢tor
Company Se¢retary
L E Barcoe
llldependent Examlner
T M Racltha
Chartered Certified A¢c4)UlltaLts
3 Melton Park
Redcliff Road
Melton
East Yorkshire
HU14 3RS
Page 2

PET RESPECT LTD
REPORT OF THE TRusfKES
FOR THE YEAR EM)ED 30 SEpfKMBER 2023
Approved by order of the board of trustees on 9 Fehnjary 2ff24 attd Sign￿ on its behalf by:
K Heppl¢- Tr￿tee
Pagc 3

INDEPEF4DENT EXAMINER'S REPORT TO TUE TRUSTEES OF
PET RESPEcf LTD
Jndep.Qndemt_e￿mL￿clS report to the tru_stev of P¢t R¢wt tAd.('the CO￿$&y_,)
I rqiort to the charity truste&4 Oth my examination of the accowhts of tbe Conwany for ¢b¢ y¢ar endéd
30 September 2023.
RespoDsibilities alld basls of report
As the charilys trustC¢s of the Cotnpany {and a]so its dirKtors for the PUTPQS=s of con)pany law) you sre responsible for
the preparatioll ofthe accounts in ￿ordanCe with the reqllireme[￿ of the Companies knt 2006 ('the 2006 Act,).
Having Satisfied M)￿lf that the ￿coUnts of the CoTDp2rty are llot required to Ix awlited lltder Part 16 of112e 2(rf)6 Act
and are eligible for illdep¢ndeDt examinatioAL I rew)rt in respect of my ¢%aULi￿o￿ ofyour c]witys ￿¢0￿￿￿ as carried
oul undcr SL*tion 145 of the Charitics Act 2011 ('tb¢ 2011 Acl.). In canying out my examin￿lOn I haye follow¢d the
Directions givcn byth¢ Chatity Con]mi&8ion ujyjer Section 145(5) Ib) of the2011 ACL
Independent exomiller'$ $tat¢ment
I havc completed my examiLatiotL I c4)ufirm tt￿t no hAve Con￿ to my attention in colu￿¢tion with the
examinatiott giving mc causc to believe:
accounting T￿OrdS were Dot k¢pt in rqrcl of the Cowy as rcquired by S￿tion 386 of tile 2006 Act" or
¢he a￿uLtS do not ￿e0rd with those record& or
the accounts do not ¢omply witlL the arLouniing requirements of S¢¢tion 396 of the 2006 Act other than any
requirem¢ut that the accounts give a true and fair Yi£w IAthieh is not a matter collsidvr¢d &8 part of an indepcnd¢nt
examination" or
tbe accounts have not been prepared in 2¢cord8nee with the methods and prineiples of the Statem¢nt of
Recomtllend¢d Practice for accouniingand reporting by ¢hariti¢s {applicable io clwi'ties pr¢parAng thetr accounts
tts ac¢ordallce withthe Financial R¢portiDg Statjdard applicable in the UK and Republic of Ireland (FRS 102)).
I have no Concen￿ hav¢ ¢om¢ a¢ro&8 llo otber matters in cooll￿110￿ with the examination to which att￿tion should
be drdwll in this report in ordet to enable a proper understanding of the a¢couDts to b¢ teacbed.
T M Racltham
Rackbam's
Chartered certifi￿ Accountants
3 MeltorA Park
Redcliff Road
Melton
East Yorkshire
HU14 3RS
9 FebLiwy2024
Page 4

PET RKSPECT LTD
STATEMEpff OF FINANCIAL ACTIVITIES
roR THE YEAR ENDED 30 SEwfEMBER 2023
2023
Total
2022
TDtsI
Unrestricted Restrict&l
fi]llds
Notes
INCOME ATrID Ef4DOWlItENIS FROM
Donations and ICE￿1¢5
18,303
18.304
400
Oth¢r tradi￿8 ￿tIvIti¢￿
34.712
34.712
26.083
Total
53,015
53.016
26,483
XPENDITURE ON
RaisiDg fvnds
270
270
1.546
CharltAblt 4¢tlvlties
Charitable Activity Expense5
Charity Governance Expenses
27,067
113
27,180
18,039
960
Tot81
27.337
27,450
20,545
NET INCOMbl(LXPENDITURE)
25,678
(112)
25.566
5,938
RECONCIUATIOTri OF FLTNDS
Total fuuds bmughl fonv8rd
25.239
451
25.690
19.752
TOTAL YUNI)S CARRIED FORWARD
50,917
339
51,256
25,690
The notes fonn part ofthese fjnancial statetKuts
Page 5

PEI. RESPECT LTD
BALAN'CE SItEET
30 SEI PTETrIBER 2023
2023
Ttstal
funds
2022
TotsL
u[￿estricted Restrict¢d
nds
fuu¢ls
Not¢s
FIXED ASSEI
T￿gible assets
427
339
766
956
citRIIENT ASSETS
SttKks
Debtors
Cath at bpAnk
2,0(rt)
769
22,925
10
982
48.527
982
48,527
51.509
51509
25.694
CRKDrroiis
AtNoullts falling due withto one year
(1.019)
(1,019}
(960)
NET CURRETrU A&sKrs
so.4￿)
50,490
24.734
TOTAL ASSM LESS CURRErrr
[jAB￿lI.1￿s
50.917
339
51,256
25,690
r4ET ASSETS
50917
339
51256
25,690
FUNDS
Unr¢slrieted funds
Restti¢td
12
50.917
339
25.239
451
TOTAL FUNDS
51256
25,690
The ciwitable company 15 ¢lltiUed lo exemption from 8Thiit UtLd¢r Section 477 of thc Companieg Act 2006 for th¢ year
ended 30 September 2023.
The mwb¢rs have not required th¢ Company to obtain an audit of its F￿anCIal Sta*￿￿￿ts for the year cnded
30 septemb￿ 2023 An aceordatL¢e with Section 476 of Iheconjpanies Aci 2006.
The ttwt¢¢8 acknowledge their resrx)nsibilities for
{a}
8uring that the charitabl¢ compthy keeps accounting records th&t comply with Sectious 386 and 387 of the
Con¥anies A¢t 2(K)6 aud
preparing financial stakmeDts wbich 8i%E a Irue and fair vicw of the state of affairs of th¢ charitable comp•ny AS
at the ¢tsd of &qeh fiTLancial year and of its swplus or deficit for wh financi￿ yew in aN￿rdanC¢ rrith the
rEquirEments of Sections 394 and 395 and which otherwise comply with the requircmthts of the Companies Act
2006 r¢latiU8 to fitsanciai so f8r as appli￿ble to the charitsbl¢ cowpany.
Ib)
Th¢ notes forn part of thsse fJDaDciai s(atetMIts
Pag¢ 6
continued...

PKT RESPEcf LTD
BALANCE SHEET- ¢ontthued
30 SEPTEMBER 2023
Th¢se financial statements have been prtp￿ in a¢coTd&￿t wlth th¢ PAOVi$iOTLS applie&ble tr> ¢haritable companies
subJ￿t to the small compani¢s regime.
Th¢ fiuan¢iBI 3tat¢ments ￿re apprOV￿by thc Board ofTrust¢N and authori%d for i58u¢ on 9 F¢bruary 2024 wrr¢
8igned on its behalf by.
L Bttrcoe- Tn]stee
Th¢ notrs foTm Part ofth¢sc fJDanci81 stat￿¢nts

PET RESPECT LTD
NOTES TO THE FINANCIAI. STATEMEKrs
FOR THE ITAR 311 SEPTELItBER 2023
ACCOUNTING POIJC
Basts ofprepAriDg the tln*ndal stattmellts
The financial statements of th¢ charitable company, ￿.1¢b is a public benefit ¢Thtity under FRS 102, have b¢¢ll
prepared in ￿COrdan¢¢ with the Charlties SORP (FILS 102) 'Accountitig alld RepNJrting by Charities.. Statemcnt
of Recon]n￿t1ded P￿tice applieabl¢ to chariiies preparing their ac¢oullts in accordance with th¢ Financial
Rwrting Standard applicable in the UK and Republic of Ireland (FKS 102) {¢fftctive l Jauuary 20191,,
Fin&ncial Reporting Stand3rd i¢r2 Tk Fill&llcAal Rep)rting Srandard applicable in the UK and Rcpublie of
Ircland, al￿ th¢ compani￿ Act 2(h)6. The financial statEmerLts bave been prepared under the histori￿] cost
onventio
All i￿A)e is r¢oognised itt the StatertKnt of Financial ActivitiG5 once the clwity has entitlem¢nt ￿ the fimd& it
is probabl¢ that the illcome will be rec¢ivcd and th¢ atwmt ean be measwred r¢li&bly.
xpendlture
Liabilities are recogDixd as expendibjre as soon as there is a legal or wnstmetive obligation comtnittithg the
charity to that cxp¢nditure. il is probable that a tra￿Sfer of economic bellefits will b¢ required in settlement and
the atnoullt of the obligation Can be n)&￿Ured reliably. EX[￿￿11t￿r¢ is accounted for on an accruals basis atsd has
btxll clas8ified ullder headings tILai aggregat¢ LU ¢ost relared kn the cat¢gory. Where costs cannot be dir¢¢tly
attributed to particular headill￿ ty baye been to ￿tiVitie5 on a basis consist¢nt with the use of
r￿oUrces.
Ton￿ble fixed assets
Depr￿latio￿ is provided at the following ann￿1 ntes iti orts to vnile off each 8&4Ct over its estimated
life.
Plat)t and rD8ehinery
330/ts on reduciDg balaw 25% on reducing balan¢¢ athd 15°h oll reducing
balance
stoeks
StsKks are ￿Illed &t the lower of cost aDd reall￿ble value. ats mthng due alloww￿e for obsolet¢ and slow
moving iteIiL4.
Ty4Jatlo
The charity is exempt from (xTrrporntion its cTrJaritable activiti¢s.
Fund i¢¢ounthig
Unrestricted funds ¢￿be u*1 in ¥eordallce with the c]witsbl¢ obj￿tiveS at the diScr￿LOn of the tr￿tees.
Restrieted finds cJn only be wed for particularrestricted pwp08es within tbe obJ￿ts of the ￿￿￿ty. R￿trictionS
aTiS¢ svben specified bythe donor or Twhen fillM]8 arc raised for particular restricted pw)oses.
Fwther ¢xplanation of the nattwe and PUTPX)s¢ of fi]nd is includ￿1 in th¢ llotes to tbe financial statements.
Pw8
continued...

PKT RFSPEcf LTD
N(yrEs TO THE FINATrICIAL sfATEMErfrs. ￿￿tI￿ned
FOR THE YEAR ENDED 30 SEYfEMBER2023
DONATIONS AND LEGACIES
2023
2022
Donations
18304
400
OTHER TRADING ACTIVITIFS
2023
2022
Fundraising events
Sknp income
1,725
32,987
1,565
24.518
34,712
26.083
NET INCOMEIIEXPENDrruRE)
Nd incomeJ(expenditiJre} is $tatryl &fter c]￿￿ng1(cr¢d1EIftg).'
2023
2022
Depreciation- owned assets
190
243
TRUSTEES, REMLNERATION AND BENEFrrs
There were no tr￿C$, renwneration or otlkr benefits for the year ended 30 S¢ptembet 2023 tK*r for the )rar
¢ud¢d 30 ￿t¢fflb￿ 2022.
T￿￿tee$, ex
Th¢r¢ w¢r¢ no trustees. expenses paid for th¢ year ¢nd¢d 30 S¢ptcrnbu 2023 llor for th¢ year
30 September 21r22.
STAFF COSTS
There were Jy) remunerated st&ff during the year.
COMPARATIVES FOR THE STATEMEYT OF FINANCIAL AC[I￿lEs
unT￿l¢t¢d Restri¢trd
funds
fijnds
Total
INCOME Af4D ENDOWMKNfs FROM
Donatio￿8 and l¢g&cies
401
400
Other tradillg activiti
26,083
26,083
Total
26.484
(i)
26,483
EXPENDTfuRE Oh,
Raising fijnds
1.546
Cbarltsble actlvltles
Charitable Activity ExpeDS
Charity Gov¢rnan¢e Expenses
17.889
150
18.039
960
continued...

PEIT RESPECT LTD
NOTES TO THF FINANCIAL STATEMEfffls- coD¢iDued
FOR YEAR ETrIDED 30 SEPTEMBER 21123
COMPARATNES FOR THE STATEMENf OF FINANCIAL ACTivrrIES. Colltlnued
Unrestricted
R¢strict
Total
funds
TotA]
20,395
150
20.545
NET INCOMEI(EXPENDrruRE)
6.089
(151)
5.938
RECONCILIA'I'iof4 OF FUNDS
Total funds brought fonlrard
19,150
602
19.752
TOTAL FufiDS CARRIED FORWARD
25239
451
25,690
TANGIBLE FIXED ASSETS
Plant
chitiery
Con]puter
cquipm¢nt
Total&
COST
At l October 2022 and 30 Septemb¢r 2023
23.395
889
24284
DEPRECIATION
At l O¢tober 2022
Charg¢ for year
22,439
889
23,328
190
At 30 S¢ptember 2023
22.629
889
23,518
NET BOOK VALUE
At 30 Sep¢emb¢r 2023
766
766
At 30 SeOetsth¢r 2022
956
956
It¢ms eo8ting les5 than £250 individuaity are noi ￿UallY capIthli%￿ An auM￿l impai￿At r¢view is carrled out
to ensure that all ftted assets still have usefid lif¢.
STOCKS
2023
2022
Stocks
2,000
2.000
Page 10
¢ontinu￿...

PET RESPECT LTD
N(YfES TO THE FINANCIAL SfATEMENfs. conthiued
FOR THE YEAR EM)ED 311 SEFfEMBER 2023
10. DEBTORS: AMOtiThTS FALLING DUE wrrllIN ONE YEAR
2023
2022
Trade debtors
Prepaym¢iits
150
832
769
982
769
ii.
CREDITOKS: AMOUNTS FALIING DLT wrrHtN ONE YEAR
2023
2022
A¢¢rt￿d expenses
1.019
960
12. MOVEMENT tN YLTNDS
Net
nx)vement
in fuuds
At
1.1022
At
30.9.23
Unrestrtcted funds
Generdl filnd
Equipment
24.734
505
25.756
(78)
50,490
427
25.239
25.678
50,917
Restrleted funds
Equipment
451
(112)
339
TOTAL FUNDS
25.690
25.566
51.256
Net nM)vement in fiJud8. io¢Iu(l¢d in the AErf)Y¢ a8 follows:
Incoroing
resources
Resources
expended
Movement
in funds
Unrestrlcted funds
GenEfdl fund
Equipment
53,015
(27259)
(78)
25,756
(78)
53.015
{27.337)
25,678
Re$trl¢ted funds
Equipment
(113)
(112)
TOTAL FUNDS
53,016
(27.450)
25,566
Page 11
continued..

Pff RESPECT LTD
NOTES TO THE FINANCIAL STATEMEYTS. couthiutd
FOR THE YEAR ENDKD 30 SEvfEMBER 2023
12.
MOVEMENT IN FUNDS- eon¢lnued
Comparatfves for mov¢m¢nt Ill fuD¢ls
Net
At
1.10.21
At
30.9.22
itL fimds
Unrestrlcted fuDd$
General fiwd
EquipnKnt
18.553
597
6.181
(92)
24,734
505
19,150
6.089
25239
Restrlcted fvnd8
Equipn*nt
602
(151)
451
TOTAL FULYDS
19,752
5.938
25.6
Compardtiyc net movement in fumds, iD¢luded in the above are as follDWS:
Incoming
r¢sour¢es
Resourees
expended
Movement
in funds
Unrestrlcted funds
General fund
Equiptnent
26.484
(20,303)
(92)
6,181
{92}
26,484
(20.395)
6,089
Re5tr1cted fu#ds
Equipment
(i)
(150)
{151)
TOTAL FUP4DS
26,483
(20,545)
5.938
A cutrent yw 12 ttM)tttL% and prioryear 12 moDths ¢ombined position i8 &5 follows..
Net
mtsvey*nt
Illfi￿d8
At
30.9.23
1.10.21
Unrestrlcted fvndj
Genetal fvt
Equipment
18.553
597
31,937
(170)
50,490
427
19.150
31,767
50,917
Restrfeted fwids
Equiprnent
(263)
339
TOTAL FUNDS
19.752
3I.504
51,256
Page 12
Continu￿..

PET RESPE￿ LTD
NOTES TO THE FINANCJAL STATEMLYW3. ￿ntInued
FOR THE YEAR EPIDED 30 SEPTEMBER 2023
12.
MOVEMENT IN FUNDS. contlllued
A current year 12 months and prior year 12 nu)ntlLs combined net nMivenKnt in funds. included in the above are
as follows..
Movement
in fuDd5
Ullrostrleted funds
General fund
Equipment
79.499
{47,562)
(170)
31,937
(170)
79.499
(47.732)
31,767
Res*rficled f￿ndS
Equipment
(263)
{263)
TOTAL FUNDS
79,499
(47,995)
31,504
13.
The following related parly traLqactions ocell￿ during the year ended 30 September 2023.
Payments were llMd¢ to tn￿¢s, and their close [c￿l¥e4 for seryices ptovided by them.
R¢]at¢d Party
Relationship
Service Provided
ArrB)unt
Kim Hepple
Pete Hepple
MarinaHartiey
Tr￿stee
Close relatÈYe of tn]st¢c
Trustee
Session ￿tOr
4,080
380
1.180
Session tutorl website ￿dateS
Page 13

PET RESPECT LTD
DETAILED STATEMENf OF FLYATrTCtAL Acrivr
FOR THE YEAR ENDED 30 SEFTI41¥IBEK 2023
2022
INCOME AND END01￿ENT
Dollation$ Ind legaeles
Donations
18J04
Other tradkng actlvitie$
Tr'uThdraising evtnts
Shop iticome
1,725
32.987
1,565
24,518
34,712
26,083
Tothl tn¢omlllg resource
53.016
26,483
EXPENDITURE
Other trading actlyltles
Opcning stock
Purchases
Closing stock
2,000
270
{2,000)
2.000
1,546
(2,000)
270
1,546
Charltable activltle5
Hall Hire
Printing and StstlOD¢ry
Clothitwryouth Club
S&gsioLs and Tutors
Travel and Van
Mi$¢ellallEOUS
DeprKiatiou
Voluntsers expenses
lfysuranc¢
681
670
108
20.540
2,571
104
191
525
703
630
997
175
12,650
2,152
576
242
(76)
639
26,093
17.985
Support ￿$ts
Flnance
Bank ¢harg¢s
67
54
GoverDgnee eosts
Accoutsiancy fees
1,020
960
Total resources expeJKled
27,450
20545
Net Income
25.566
5,938
Tbis p&gc does not forn] part of the statutory kniai 8tatemet
Page 14