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2024-12-31-accounts

RDTF annual report year end 2024

We really struggled this year and only supported a hand full of ac;vi;es for underprivileged children in Cambridgeshire.

The charity has decided it can no longer con;nue long term. We haven’t been able to achieve what we originally set out to do and since lock down have found the challenge of running a charity whilst holding down jobs and raising a family ever more challenging.

We will con;nue for now but are slowing things down with the inten;on of shuEng down the charity by the end of 2026.

Hamid Hejazi

Richard Darton Tennis Foundation

Income & Expenditure Statement
For the period 1st January 2024 to 31st December 2024
Income
General Donations
Fund Raising Donations -
Total Income £0.00
Expenses
Admin Expenses -
Cambridgeshire Youth Projects £2,379.00 Note 1
Bank Charges £60.00
Total Expenses £2,439.00
Net Surplus £2,439.00
Notes
1. Money to support Cambridgeshire Projects
Richard Darton Tennis Foundation
Balance Sheet as at 31st December 2024
Assets
Cash at bank £5,176.76
Total Assets £5,176.76
Liabilities
Total Liabilities
Total Net Assets or Liabilities £5,176.76
Funds for Charity
Unrestricted Funds £5,176.76
Total Charity Funds £5,176.76

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Accounts Breakdown

Month In Out Who - What Date
January 5 Bank charges 13.01
750 Steve Shaw - Cambridgeshire Youth Projects 14.01
February 5 Bank charges 13.02
March 5 Bank charges 15.03
April 5 Bank charges 13.04
May 5 Bank charges 14.05
1512 Steve Shaw - Cambridgeshire Youth Projects 14.05
June 5 Bank charges 13.06
July 5 Bank charges 14.07
August 5 Bank charges 13.08
September 5 Bank charges 13.09
October 5 Bank charges 14.10
117 Steve Shaw - Cambridgeshire Youth Projects 22.10
November 5 Bank charges 13.11
December 5 Bank charges 14.12

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