RECISTERED CHAIUTY NUMBER.. 1155307
Ich .hln

viv
nie
C.onienis ol'ihe financial Staiemenl
lor th Year En
31 r)eccinb.
R¢port of the'frnsi¢¢$
Slaiement ol'Financial A¢iiviii¢s
Balance Sh¢
Noi¢.5 ts) ihe Financial Sth*ments
4 ts>5
T)eiailed Si#i¢m¢ni uf Financial Activities

ort of ihe Tru5tecs
furih Y
¥d 31 December 2023
The Irust¢¢s pre￿nI their report with the financial statements of the charity for the year ended 31 December 2023. The
Irusiecs hal'e adopied th¢ provisions of Accouniing R¢porting by Charities.. Statement of KeLomm¢nd¢d Pr4ciice
appli(*ble lo charities preparing their accounts in accordance iyith the Financidl Reporting Standard applicable in the UK
and k¢publi¢ of Ireland IFRS IQ2} leffrtiive l Januarv 20191.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing dotumcnt
ThL' Ihdrily IS LoRirolled by 115 govemin¥ doLum¢nl. a deed of irusi and curt5ti1u1¢5 ?n Unlncorporaie￿ chariij.
REFERENCE AND ADMINISTRATtVE DETAIts
RtRisteTed Ch&rlty ￿￿￿b¢r
155307
Principal address
4.7 KLndJl Road
Bromlc
BRI 4NH
Tru5ttes
Mrs V () Amodu
M Y Oridd
J AJUI.O
Approv¢d by ord¢T of th¢ board of tr￿Slee$ on 23 October 2024 and signedon it5 behalf by:
Mrs V O Amedu- Truxee
Pag¢ I

Iniema
SialeTnenl f Financial Atlivities
for Ihe Y Endcd 31 Decem
23
Unrestrict¢d
fund
Noi
INCOME AND ENDOWMENTS FROM
Donation5 and l¢gaci¢s
9,117
EXPEIYDITURE OP4
Charitttblt activities
Chariiable Activiiie5
9,174
NET INCOMEI(EXPEYDITURE)
1571
RECONCILIATJON OF FUNDS
Tothl funds brought foNtrd
282
TOTAL FUNDS CARRIED FORII'ARD
225
The noies fortn part of th￿ fsnanti41 ￿alernent
Page 2

alance Shttl
31 DeLember ?023
Unrestricted
fijnd
Noos
CURRENT ASSETS
Cash 21 bank
225
NETCURREYT ASSETS
225
TOTAL ASSETS LESS CURRENT
I.IABILITIES
225
NET ASSETS
225
FUPiDS
Unrestricted funds
225
TOTALFUNDS
225
The financial stsi¢menis were approved by th¢ Board of Trus1¢¢5 znd authonsed for issue on 23 October 2024 and were
signgd on it5 behalf by..
V O Amodu- Trustee
The ntite% form pan ofihese financial statem¢nt5
Pdge 3

s to Ihc Financial Sthieme
ror Ihe Year Ended 31
r 2023
ACCOUNTING POLICIES
Ba5bs of preparing tILe finantial 5tstements
'Fhe tinancial staiemenls of th¢ charit)'y i¥hich 15 a publi¢ b¢nefit eniity under F'RS 102, have b¢eD prepaThl in
accordanLe wilh Ihe Chariiies SORP IFRS 1021 'Accounling and Reporting b>. Charities.. Stsiemenl of
Recommended Practice applicable 10 Lharities prcparing iheir account5 in accordance wilh the Financial Reporting
Standard applicabl¢ in the IIK and Republic of Ireland IFRS IQ21 leffective l Jonuary 20191,, Financial RLporting
Standard 102 The Financial Reporting Standard applicabl¥ in the UK and RLpublic ol. Irel&nd' and the Chariiies Aci
2011. Th¢ linanLial ststetnenls haiie heen prepared under the historical cosi u>nvcniion.
Income
All income is rectrgnised in the Slaiemeni of Financial Aciiviiies once ihe charity has ¢ntitl¢rTh¢nl to the fi]nds, it is
PTLTrbable that the income will be r¢¢¢iv¢d and Ihe amount can be me&8ured reliably.
Expenditure
Liabilitie% are reco￿lSed a% expenditure as won ss there is a legal or constructive obligation committing the chaTity
10 thai expendiluTe, it is probable that a tr￿sfer of econotnic benefils i¥ill be required in settlement and ihe amounl
of Ihe obli8diion c3n be tneasureJ r¥liabl>. Fxpenditure is ac¢ount¢d for on an aLLruals bd5is dnd has been Llassified
under headings ihJi aggre82ie all cost r¢lat¢d to the category. Il'hett Cosis ¢annoi be directly allributed io partIcu￿r
h¢adings the>. hav¢ b¢en allocaied io aciivstie5 on a basis consisieni with th¢ us¢ of r¢50ur*s.
Grants offered 5ubjea to conditions which have not been met at ihe year end date are noted as a commitm¢Dt bvl not
accrued a5 ¢xpenditUTe.
Taxado
The charity is exetnpt frorn tax on ILS Ch￿i￿ble athiviiie&
Futkd aC£QUTLting
Unre¥triGt¢d funds can be u5¢d in aceordance with th¢ ¢hoTitabl¢ objeciive5 at the discretion of the trustee
Restricted lund5 can onl) be used for p2rtiru18r r¢strici¢d purposes wiihin the objects of the charity. Restrictions
arise when specified by the donor or Wh￿ tunds are raised for particular restriLied purposes.
Further explanation of the nature and purpose of ea¢h fund is includd in the note5 10 the financial sta￿enL
TRUSTEES, REMUNERATIO.Y ANI) BENEFITS
There were no tru5t¢¢s' remuner8tion or other benefits for the year¢nd¢d 311)¢c¢mber 2023.
Trustte5' ¢XP¢115e5
'I'her¢ M'eT¢ no t￿Ste£s, expeiis¢5 paid forihe year end￿ 31 December 2023.
P8ge 4
oniinued...

s 10 the Financi
emenis- con
for the Y Ended 31 Decernb¢r 2023
MOVEMEYI T IN FUNDS
movement
in funds
11.1.23
31.1223
Untt$tri¢ted funds
General fund
282
157)
225
TOTALFUNDS
282
1571
225
m0vern￿t in fund5. included in lh¢ above are as follows..
Incoming
resources
Resourc¢5
expended
Moi'emcRt
in funds
Unrestricted
General thd
9,117
19.1741
157)
TOTALFUNDS
9.117
{9,1741
1571
RELATED PARTY DJSCLOSURES
lkneTe wcre no rel&ed P4Tty' (ran5¥tions for Iheyear ended 31 December 2023.
Page 5

eiailed Siaiement f
Ended 31
023
INCOME AND ENDOWMENTS
Dongtloo9 Ind Itggcles
Donation5
9.117
Ttstwl InromlnR rtsourees
EXPENDITURE
Charltthble attlvltlts
RotLS and w&ier
lJoswg¢ und s￿li￿nery
%undri¢s
AILounwncy
360
7,307
8.607
Support ¢05ts
Ihformatloh t¢f hnolov
SUh￿'ripL1￿n
567
'roial rL'5uur¥cs exrKnd¢d
9,174
¢xpendlturt
1371
Thi3 pagc da¢5 not forni part ol'ihe statutory tinqncial stat¢menL8
P4e6