UNiViDA
Fringing life, hope & opportunity
to Ghildren in Brazil
Annual Report & Financial Statements
Year Ended 31st December 2022
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99
I I

UNiViDA Trustees, Annual Report forthe Year Ended 31 December 2022
Annual Report
We present tyjr annual reF#Yt and fina￿la1 statements ofthe chaTtty for the year erthj 31st Detsmber 2022. The financial
Statements have been prepared in accc*dants with the accounting Oicies set out in nole 1 to the account5 and CoM￿Y
with the chanty's trust deed. the CharitBs Act 2011. ttE Companies Act 20C6, and Statement of Recommended Practice
applicable to charities preparing their acccMJnts in aCc￿lan￿ Imth Firtrancial Rep)rttng StaTrJard aPpI￿able in the UK
and Republie of Ir862nd IFRS1021 {effective 1 January 20151.
Raf•r•ne• and Admlnlstratfv• Infomiatlon
Charlty Name:
Charity Registrntion No.
Cornpany No.
UNIVIDA
1136743
C6958514
Reg18tsred Addrus:
7 H￿h Street. Sta￿e Hill, Bristol BS16 SHA
NiViD
IrfehopeanthJpFK￿nty
Dlractor8 rrru8t••8:
J Harris. Sttretarytrroasurw
M Clerrnnts
R M8rques - Chair￿r$on
M Marques (Trustee only)
Accountants:
Fun$￿ Q'o ACA ".
Bramptry) Swwces Ltd, 24 Cabot Ri88. Portishead, Bristol BS20 6NX
Bank•rn:
HSBC, Carolgate. Reiford. Nothnghamshire, ON22 6DA
CAF Bank Limibj, 25 ￿'r￿￿8 Hill Avenue, ￿'n98 Hill, West Malling. Kenl ME19
4JQ
Structure. Govemance and Management
Governing Document
UNIVIDA is a registered charity in ErKJlaTrJ & Wales no. 1136743, i￿ted 10th July 2009, with a Memoran¢Jum and
Articles ofAssociation. Registered Company No C￿958514.
Management
The chaTity actively fundraises and seeks to continue charitable th through the carefijl stthvardship of tts exlsllng
resources. Trustees meet regulaty to oversee the adminigtTation of serV￿e8.
Tru8tees
Tru8lees are appjinted by inwlatKfft. Atl Trustees give Iheir t1￿ arKI exWise ￿[Y and no trustee remuneration was paid
in the ye%7r - see note 3.
Related Partleg
UNiViOA works in partrwship a Brazilian registered tharity Clian￿S do Brasil para Cristo ICBC). Funds used for
charitable actimties in Brazil are transferred intemationalty to CBC and man4ed by a UNIVIDA Trustee in Brazil.

UNiViDA Trustees, Annual Reportforthe Year Ended 31 December 2022
Training
During this year UNiViDA Trustees arKI volunteers r￿Mal￿1 UFrfJated ￿ Charty Commission guidanc£ on charity
administrats'on and reFQrting resp)nsibilities.
Risk Management
The trustees have considered the m74or risks to the charity is exposed and have reVi￿￿d those risks and actively
work to establish sygtems and procedures to manage those risks. UNVI IDA has Wilc￿ and procedures in place to
reduce risk and protect ￿nefiCianeS vcAunteers.
Oblothe and Actlvltles
Objocts
The charty'$ ot4.ects are..
To advance education, relieve $i¢kneBs and hardship of those living in [￿VertY, provision of support. activitie¥,
and resources to I￿r1d skills arKI cap• of those FeoF4e.
To advance the Christian faith and pr￿te (ther similar purFX)S•S that are deem•J chantable in $uth parts of the
worfd as the Trustees see fiL
A¢tlvltlo8 for Publlc Bènaflt
UNIVIDA benefits 260 chIld￿n and young people
laged 7.141 and their famil￿, living in a favela on
the outskirts of the city of Fortaleza. The charity
provides Quality Christian education. trainiThJ, and life
8ki118 in a safe leamin9 environment.
•ri'v.:
In Brazil, this education ar#J training14 hours extra per chikl per day). (￿tplernents Ihe Servi￿ of Ihe slate schcd system
8nd gives the opportunty for children to $￿Ceed in their ychc¢Jling, rn h￿hor education and successfully compete for
meaningful employment, ultimately improving quallty of life. The C￿lty also cares for parents and families, providing
opportunrties for skills training, recreab'on. and family thlties.
In our view there is no detriment or hann that might arise fr(xn these aims. UNlVtDA I￿nefits wple living in favelas who
are living in poverty. Acce55 to benefits is rrffered fredy and equally to all. The only requirement for children and young
people wishing to access education and training in Brazil is that they are registered in state school {free to all). The purpose
of this requirement is to ensure that the student is in supervised educabon forthe whole day, thu3 bringing maximum benefit.
Outside of the beneficiaries, there are no pitvate beneffts from the organi8atton other than the incidenlal tenefils of salarie9
to staff employed by our partners in Brazil to deliver these serv￿.

UNiViDA Trustees, Annual Report forthe Year Ended 31 December 2022
Voluntsers
The organization continues to benefft from the SUFWt of individuals thr[￿hOUt the county vtho fvndraise and promote the
work of the organization through Chu￿he$, schools. aTra other groups.
Achlevements, Perfommnce in 2022
UNIVIDA WOfk$ In partnership with the Brazilian organisation Cnanps do Brasil para Cristo to deliver qualrty serVi￿S for
children aged 7-14 in the favelas of Fortaleza, Brazil. UNIVIDA assists in the running of a projecl for 260 children, 5 days a
week from 8am lo 5pm, providing an 8ddrtional 20 h￿TS per week of education abng with nutritional food and clean water.
Al the ￿gInnIng of 2022 UNIVIDA funds were used to
carry out an extensive renovation of the krtchen area at the
proj8¢1. Student bathrooms were also rfrfvrbished. This
work Ic¥￿ place whlle students v￿e aKay on schc*
holldays.
UNIVIDA r8eèivès rtyular financial support from a grTh4iThJ number of individuals and organisalK)ns. Emphasis is placed on
sharir¥J a relationship with donors and the results of our servi￿. delivered in FortaFeza. Wth on-going daily care, we see
children gaining the skills, Corfidence, physical and etTr)tional strength to succeed in their education. In addits'on to normal
¢Jaily services UNIVIDA trmngs famil￿$ tctyher by deveky'ng paffjnts'ng skills aThd ￿ganising S￿la1 events which engage
parents in théir Childr￿,5 educat￿.
The new 8ch¢Jol year ￿1¢h begins in February started well with
high demand for registration. The project recruited &Jdit￿nal
qU81iffied local staff to support quality ed￿atIOn goals.

UNiViDA Trustees, Annual Report forthe Year Ended 31 December 2022
Throughout the year, additional fuThJs v￿e usgJ fw ne4V compuier
equipment, the repairand raising of Ferimeterwalls around the project
and for the repair of columns In the dining and chaw area.
General furKl8 V￿re used for the payment of sL7ff and PTOVi8ion of
daily 8erviGes inGluding hot meal$ for all students and ¥laff, dw'ty.
Flnanclal Revlew
The charity's work is entirely reliant on dOnati￿S arKI grants. UNIVIDA'S prin￿paI sources of funding are individuals,
churches, and schools.
UNiViDA continues lo raise funds th[c￿h wntten communications (￿r (k)n￿$ and by speaking engagements or
fundfftising events ¢yganised by Truslees and Volunteers.
Income for the year vrds £177,19012021.' £86,342). Inc(wne vras bc*)slgJ by the receipt of a legacy gift of £70,(X)O following
the closure of a church the chanty ￿ aSsc￿ated wth and the subsequent sale of its church tmjilding In Staple Hill. Total
expenditure was £110,368 {2021.. £58,619). £99.72212021.. £54,322) of which represented grants to Brazil.
Net Assets inGreased to £128.568 from £61.746 In 2021.
Reserrfes Policy
In 2022 the Trustees reVI￿d the d￿rity's reserves Fdicy with consh4eration to the FQSt pandemic ￿OnOMY and cost of
living cris15. It was agreed to hold in free reserves a minimum of £10,CW. This represents 2 months grant expenditure
1£8,0001 for general costs at Universily of Life and an additional £2.fM)O ts UK related expenses. Free reserves at 31
December 2022 stood at £41,568, considerabty rn￿e Ihan this amount.

UNiViDA Trustees, Annual Report for the Year Ended 31 December 2022
Explanation of Funds to Brazil
During the year grants totalling £99,722 (2021. £54,322) V+we made to Crianps do Brasil para Cristo ICBC)., £50,500
was purpos￿1 for genefal running costs, £49,222 vras used for the Spe¢rf￿ projects described a￿Ve. All grants wer8
actioned by Univida Trustees and managed by Uniwda's Field Director, in partnership staff at CBC.
Tru$tsg8' responsibllltios for the flnonclal statements
Charity law requires the Truste8S to wepare firkincial statements for each financial year which grve a true and f8ir view of
the charity's financial activities during the yèar and of ts financial position at the year end. In preparing these financial
statements the Trust￿ aTe required lo..
al Select suitable WAxJnting policies then apFty tpem consislenty
bl M8ke judgement8 and e8timates that are reaSOna￿e FN￿1
cl State whether applicable UK accoLtnting standards have been folky•BJ. Subj.￿t to any matenal departures disclosed
and explained in the financial statements
d) Prepare the financial statements on a wng CO￿ ba8is un￿$ it 18 inappropnate to presume that the charity wlll
continue in q)erati
The Trustees are responsible for keeping ac￿ntir￿j records whKh dwlose V￿th reasonable x¢uracy the financial
position of the charity and whtch enable them to ascertain the financkgl p￿r(lOn of the charity and lo ensure that the
financial statements comply with applicat￿e laws aThJ the trust deed. They a￿ also resFonsible f(K safeguarding Ihe
assets ol chanty ar￿ for taking r8a80nth Steps tr IIE preVent￿n aThfj t*tection of fraud and other irregularrties.
The Trustees belleve that these fin8fKial staterrents canpty with current 8tatulory requirements and vAth the
requlremen18 of the tru8t deed.
Approved by the Tru$lees on * July 2023
Signed on behalf of the Board of Trustees
M C Clement$
Trustee

UNiViDA Trustees, Annual Report for the Year Ended 31 December 2022
Independent ExamIne￿$ Report
I report to the trustees of UNVI IDA on my e￿inakn of the aCC￿nts of the ccwnpany for the year ended 31sl D￿mber
2022, ￿lch are set out on p4e5 8 to 16.
Rosponslbllltles aNI ba818 of report
As the charity's trustees land also its di￿015 for the ￿rF(￿S of company Iw4 you are responslble for the preparallon
of the accounts in accordance the requirements ofthe Companies Act 20061.the 20C6 Act.).
Having satisfied myself that the accounts ofthe ￿rnp￿Y are not required to audited under Part 16 of the 2008 Act and
8re eligible for independent examination. I retM)rt in resr*ct in ￿SpeCt ￿ my examination of your chanty's accounts as
carried CMJI under section 145 of the Charrt* Ad 2011 Ithe "2011 ACV). In ¢arryin9 Out my examination I have followed
the ￿l￿tIOnS given by the Charity ComMiss￿n under section 14451{bl of the 2011 Act
Independent Examlnof8 report
I have completed my examination. I confirm that rK> matters have come to my attentlon Sn cOnn￿lon with the
examlnalion which give me cause to telieve that
11 Accounting records were not kept in ￿pert of the company as requir&J by section 386 of ￿ 2006 Act. or
21 The accounts do not accord wth those accounting records., or
31 The accounts do not comply with the aGGounling requirements of seL#ion 396 of the 2006 Act other than arry
requirement that the accounts give a'true and farf wew is not a matter considered 8$ Part of an
Independent examlnation.. or
41 The aGGoun15 have not been pr8pared in accordanc* ￿th th& methods and principles of the Statement of
Recommended Prxtice for ac¢ounling arKI reForknTrJ for charities {applicatrJe to charities preparing accoun18 In
accordanGe with the Financial Rewting Starthjard appI￿able in the UK and RepUt￿lC of Ireland - FRS 1021
I have no concem8 and have come acr088 r￿ matters in ccffir*ctKffi wth the examinat￿ to Nthich attent￿n ghould
be drawn in this report in c*der lo enth a proper understanding of the ￿Ount$ to be reached.
Funsho Ojo ACA
Brampton Services
24 Cabot Rlse
Portishead
Brislol
Dated.. V July 21Y23

UNIWIOA
STATEMENT OF RNANCIAL A￿l¥￿E5 IINCWI)IPIG INCOME & EXPE14DtWRE ACCOUNT)
YEAR ENDED 31 DECEMBER 2022
Un￿1(ted
Note General FU￿ Funds
FurNIs
Total Furnts Total Funds
zo21
Income aThl endowments Ir•m.'
Gfants and Donatlons
16998S
176.985
66.336
Investments
205
205
Total Incomè aThJ tndryfftnts
170.190
177,190
66,342
Expendlture on:
Ra151n8 Funds
Charfiable attI¥￿Ie5
8,985
101.083
300
2,9Crfl
55,419
3CIJ
101.083
3(K)
Other
Ttstil •xpendlknFre
110.368
110,368
58,619
Nèt IncoM•llexpèndi￿rÉl
s9￿2
66,822
7,723
Trnnsl•rs lJ•tw••n lunth
I69,OL￿)
N•t mo¥ement In fvnds
19.1781
69.ty)0
66.822
7.723
Reconclllatlon ollurttts:
Total FurKls brou8ht fon¥a
Total Funds uryled 10Th￿rd
SO.746
41.568
IIA
61,746
128,568
S4.023
61.746
7.000
Contlnuln8 Oper4tlons:
None of the company's all￿ttle$ *Ere acqulfed of dIscontin￿d durln8 the aLtytfinarKlal perlod
T￿al re¢t4nlsed Balns and los
The company had no reco8nised 8air¢5 or losses otherthan the net res￿jr￿s expended In the abcwe Ferfod

UNMDA
STATEMENT OF FINANCIAL AcnvmES IINau(XNG JPICOME & EXPENtXWRE ACCOUNTI
YEAR ENDED 31 DECEMBER 2021
Unrestrfrted
General F￿￿15 Funds
Trt41 Fu
2021
2021
2021
2021
Income and *ndowmentsfrom:
Grant5 onLI Oon•tl¢)n5
65J36
66,336
Investments
Total IrKom¢ and •nd0￿eThts
65.342
66,342
Expèndlture an:
R•isin8 Funds
Char￿abl• acto￿tt•S
52.419
SSA19
Other
Total expend￿Ul*
55.619
58,619
Ntf InMmell•xpendkurnl
9.723
12WOI
7,723
Tr•nsf•rt b•tw••n funds
N•1 mo¥ement In fw
9.723
12AM)01
7,723
Reconciifatlon ol fund5:
Totsl Funds IYw8ht l(Kward
Total Fundi ¢arrl•d I0￿rd
41.023
,746
54.023
61,746
ii,(Mx)
Contlnulty Oper4tlow:
None of the company's aCt￿￿leS were acqulred or dlscontlnued durln8the above financtsl perlc
T47tal reM8nlsed ¥nd l¢)s5e>
The company had no recoBnlsed Balns or l¢)55e5 Other t￿n the net ￿SOUrceS expended In the abcNe perlod

UNMDA
BALANCE SHEET
AT 31 DECEMBER 2022
2021
Culrert Assets
Sundry debtors
Cash at barsk and in hand
3537
125,331
128A68
1,265
60.781
62,046
Creditor5: Arnounts fallin8 due viithin one ￿r.
cruals
Net Current 0$5¢ts
128.$68
61.746
Plet Assets
128.568
61.746
Charfty Funds
Unrestricted General fvnds
Unrestrlcted Desl8nated fund$
Réstrirted funds
Tot41 fvnds
41,568
SO,746
11,000
128,568
61.746
These account5 have been prepared In accordance wlth the speckl prcp41sltyb of Part IS of the Compan￿$
Art relatlng to svnall companle5.
Fo¥ the year end￿n8 31st December 2022 the tompany *dS Ènt6tled to exempt1￿ from audrt under sectlon 477
of the Cornpanles Aet 2006 r¢l•tSn8 to srnall companles.
The rnember5 have not requlred the cornpanyto obtsin an audit In ac¢ordan¢e wrth sectlon 476 of the
Companies Art 2t¢J6
The dlrettors acknowl•d8e ihelr rewnslNllty fortomplwng wlth the requlrements of the Att w4th res(*tt to
attountin8 record5 and for the preparatlon of accounts.
These f]nanclal stateff*Trts We￿ appro¥ed tythe trttsrees on 5 Juty 2023 and are s18ned on thelr behalf
MARMN CLEMENT5
TRUSTEE
The thjtès on ￿1*$ 11 to 16fom wt of thes•ffinanrlal slat•m
io

UNIVIDA NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DE￿MBER 2022
1. A¢countlng Policies
The principal ￿lUntIng pJicies adopted. judgements and key S￿rceS of estIma￿n uncertainty in the preparation
of the financial statements are as foll(Y•Wts.'
al Basis of preparatKJn
The financial statements have been wepared in aCcOrda￿e ￿ Accounts'ng arKI ReF¥yts'ng by Charities Statement of
Recommended Practice applicable to charities preparing their xcounls in accordanL* With the Financial Reporting
Standard applicable in the UK and Republ￿ of IreLind (FRS 102> e￿￿ve 1 January 2015. and the Compan￿$ Act
2006.
The Tru$lee¥ have revi*ved the Chanws finJKial p￿Tt￿ and are of the vithv ttwt there are no materkql
uncertainties at￿lt the Chanty's abilty to Continue as a g￿ng concem.
UNiViDA meets the ¢Yefinition of a public tr*nefft entity un(1er FRS 102. A58ets aTrJ liabilitps are Inltially recognised
al hisloricl cost or transaclion vaue untess Otherv￿Se stated in the relwant xcounting Folicy nolelsl.
bl Creditots and prowsions
Creditors and provis￿8 are recc•3nised wtwo tho charity has a iYe8ent outyion resumlng trom a past event that VAII
probably result in the transfer of furKls to a third party and the amcrtjnt due to settle the obligalion can be measured or
estimated reliably. cr￿ltOrS and provisions are normalty recogntsed at their Settlement anount after allowing for any
trade discounts due.
cl Finamal lnslrurr￿ts
The charity only has financial assets and fina[￿la1 Lia￿.1$t￿ of a kind that qualify as basic finanGial instruments.
Basic finan¢ial in$lrurnenls are initsally reccsnised at tran￿1￿)n vaue and subsequently measur8d at their
settlemenl value.
Income
All incom8 is included in the statement of financial actNities when the ¢harity v& entitbd to the irKyJme and the
amount can be quantified wth reasonable accurw. The f01th￿n9 spe¢ific Fdicies a￿ applied to particular
categories of income.
Investment inc£ffle is included vthen recervab
Income from Charrtable actNilies is accounted for vthen eamed
Income from grants where related to perfonnancè and $Frfif￿ ddiverabl85 is aGcounbJ for as the
chanty eams the rNJhl lo consKleration by its performance.
Expondltur•
Expenditure is recognized ￿ an accnjals basis as a liability is incurred. Expendtture includes any VAT wh￿h
cannot be fvlly recovered and is reported as part of expEThditure to which rt relate5.
Charitable expenditure compnses ttK6e costs incLwred by the charity in the ddNery of ils activities and seNices
for rts beneliciaries. It includes costs that can be all(tated directly to such activities and those costs of an
indirect nature necessary to support them. Governance costs include those costs asScc￿ted wrth meeting the
constitutional and ststutory reqU1￿ments of the crority and indude the independent examinerfs fees and all costs
are allocated ￿tween the expenditure categories of the SOFA on a basis designed to reflect the use of the resource.
Costs relating to a particular acb.vty are allo¢*ed diredly, others are apF¥Jtoned on an appropriate basis.
11

UNIV
NOTES TO THE FINANCIAL STATEMENts
YEAR ENDED 31 DECEMBER 2022
2 Legal Stotus olthè Chawlty
The Charity is a company Ilmfted by guarantee and has no share captital. In the event of the charity being
wound ￿p. the liabilÈty in resFect of the guarantee is Ilmlted to £L
3 The trustees recelved no ¥ernuneration durtn8 the year. Tfavel expènsts and health Insurance pald In the
year totslled £8.98512021= £2,9(oI
4 Grnnts Ind Dorwtlons
Unrestricted
fj¢nr•l FuThts
Furyls
Tot*1 Funds
Total Funds
2021
2021
Indfvlduals..
Regular donaiions
Other donatlons
28,194
20A51
28,194
27,451
28,871
6A57
Churche5'.
Re8ular donatlgns
Other don•tlons
8306
li￿￿01
8,306
IIXl.301
8,164
14,941
Schools
Other general donatlons
MRC fjift Ald
3223
9510
169.985
3.223
9.510
176.985
1,165
6,738
66,336
Gr•nts •1￿ Don•tlon•. PrforY••r
Unrestrfrted
Genral Fu
Funds
Totsl Funds
2021
2021
2021
Indlvlduals..
Re8ular donatlons
Other donations
28*71
5.457
28,871
6A57
Churches..
Regular donations
Other donptlons
8.164
14941
8.164
.941
hools
oiher general donatoons
HMRC Glft Aid
1.165
6.738
65336
1,165
6,738
66,336

UNilliDA
NOTES TO THE FINANaAL STATEME14TS
YEAR ENDED 31 DECEMBER 2011
Expe1N￿tYrt
UnYÈstrKtd Designated
Gwwal Furth Funts
Re5trirted
Funds
Tot•1 Funds Totsl Funds
20Z2
2021
Ralslns Fund5
Travel costs and health Insurance
8.985
Charltable ActlvWes:
Grant5 to Brazil
Insurance
StaiioAery
Postage
Cornputèr eonsurnblès
Bank charBes
sundry expenses
Total cost of Charftable Artlvllts
99,722
99.722
54,322
244
210
210
S6
4S3
523
523
326
172
326
101,083
172
101,083
55,419
GovemarKt (osts
Accountancy
300
T￿al resources expended
110.368
110,368
58.619

UNIWIDA
140TES TO THE FINANaAL STATEMEKts
YEAR ENDED 31 DECEMBER 2022
Exppnditure- PrlorY•ar
Generdl Furnk Furnls
Funts
Totsl Funds
2021
2021
Ratsirq Furnls
Travel costs and health lThsurnnce
2,9)0
Chafftible Acll¥lWes:
Grants to Brazil
51.322
244
54.322
Insurance
Statlonery
Postage
Cornputerconsumbles
8ank charBes
Sundry exrtnses
Total cost of Charitable Actlvtfj•s
56
453
172
In
52.419
453
172
172
SSA19
Governanc• costs
Accountancy
Total resources ex￿nded
55,619
58,619
SurKlry
2021
Glft Ald
3537
1,265
3.537
1,265
14

UNMDA
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBÉA 2011
Movement In fv
Year Ended 31 Deumbw2022
Transf*r5
At
ljan
31 Oec
20ZZ
EYndlW￿ Funds
Urwertrfcted Gener41
50.746
50,746
li.fX)O
170.19)
170.1
110.368
110,368
169.0001
169.0001
69,000
69.000
41.S68
41,568
80.000
80,000
7,000
7,OtM)
Unyestdcted Desiwwt•d FwK15
Restrkted Funds
Tot•1 Funds
61.746
177.19)
110.368
128,568
D•Krfptlon •nd FWJqMxe of fund5 aryl tr•r4fws
Frtt reser
Unrestricted General Funds are the free reserves of the chadty. These funds a￿ avallable use at the
dlscretlon of the TTu5tees In furtherance of th• pneral obfrtrtib*5 of the Charfty and ha¥t not been
de$lgnated for other purposes. £69.(#XI was transferred io Unrestrlcted Desltnated funds out of the legacy
81ft recefved durln8 the year.
Unrertrkt•d D•s1￿1•d FurA
Unrestrlcted Designated funds •re fund5 set aside bythe Trustees for specif¢ projtrts. £69,000 ol the
legacy glft was transferred Into the furKls to be used for futuie projects as declded by the Trustee5.
R¢strl¢t•d Funds
Rtstrirt•d Fund b•l•n¢•s •r• fund5 to be used accorthrrfto the wishs of th• donor. not dlstrfbuted at the
year end.
Mtwement In fvnds- Prforye•r
At
At
31 Det
ljèn
2021
Unr•strtctqd G•n•ral Fun&
41.023
41.023
ii.w)
ii.w)
65.342
65.342
55,619
55.619
50,746
50,746
11,0
ii,oco
Unrthrfrt•d Dwt8nat•d Funds
Restrkl￿ Funds
I3.(￿>
13,(KKII
Total Funds
541123
E6.342
52.619
61,746

UNNIDA
NOTES TO THE FINANaAL sfATEMEKIS
YEAR ENDED 31 DECEMBEtI 2022
Analysts of nèt assets bet*ten fvnds
Unrtstricted
Unrestricted De5iKnated R•strkted
Gerwdl Fund5
Furyls
Totsi Fund5
2022
2022
Current assets
41.868
128.868
13001
Current Ilabilitle5
41,568
128.568
An•tysls ol n•t asMts betwe￿ PrforYe•r
G•n•r*l Futh Funds
Total Funds
2021
1021
2021
Current assets
48,046
13001
62.046
47,746
ii.c
3,ts)0
61.746
16