## 



## 

||Page|
|---|---|
|Trustees'<br>Annual<br>Report|1-2|
|Charity's<br>Information||
|Accountants<br>Repott||
|Statement ofFinancial Activities||
|Balance Sheet|6|
|Notes to the accounts|7-8|





## 

## 

## 

## 

## 

## 



## 

## 



## 

## 

## 

## 

## 

## 

## 



## 

|||Unrestricted|Unrestricted|
|---|---|---|---|
|||Fund|Fund|
|||2021|2020|
|Incoming Resources||35,678|53,476|
|Resources expended||||
|General administrative|expenses|1,152|1,012|
|Travel and subsistence||2,200|872|
|Advertising,<br>promotion|and entertainment|3,376||
|Legal and professional|costs|200|200|
|Other finance charges||47||
|Other expenses||36,094|18,500|
|||43,069|20,584|
|Surplus||7391|32 892|





||Notes||2021||2020|
|---|---|---|---|---|---|
|Current assets||||||
|Cash in hand||42,607||49,798||
|Net current assets|||42,407||49,798|
|Net assets|||42 407||49 798|
|Accumulated<br>Fund||||||
|Balance at start ofperiod|||49,798||16,906|
|Net (defecit)/surplus|||(7,391)||32,892|
||5||42 407||49798|





|||||Unrestricted|Unrestricted|
|---|---|---|---|---|---|
|||||Fund|Fund|
|I|Profit and loss account||analysis|||
|||||2021|2020|
||Incoming<br>Resourses|||||
||Donations|||35,678|53,476|
|4|Resources expended|||||
||General administrative||expenses|||
||Telephone<br>and fax|||250|240|
||Postage, printing|and stationery||746|608|
||Internet service subscriptions|||156|164|
|||||1,152|1,012|
||Travel and subsistence|||||
||Travel and subsistence|||2,200|872|
||Advertising,<br>promotion||and entertainment|||
||Annual<br>conference||expenses|3,376||
||Legal and professional||costs|||
||Accountants<br>fees|||200|200|
||Other finance charges|||||
||Bank charges|||47||
||Other expenses|||||
||Donations<br>given|||36,000|18,500|
||Other expenses|||94||
|||||36,094|18,500|






