The Haven (Stapleford)
Report and Financial Statements
Year Ended
31 December 2024
st
Charity No: 1156295
Company No: 08900578
Hopewell Business Services
(Accounlomls)
'Doverbeck'
8 Gunthorye Road
Lowdham
Nollingham NG14 7EN

Th• Haven (Stapleford)
Reference and Adminlstrative Inforniatlon
Trustees
Russell Olding (Chair)
Peter Edrnonds
Louise Brown
Frances Connor
Tlmothy Brindley
Charlty Reglstratlon Number
1156295
Company Reglstratlon Number
8900578
Princlpal Offlce
The Haven Centre
Wadsworth Road
stapleford
Nottingham
NG9 8BD
Bankers
HSBC UK
26 Clumber Street
Nottingham
NG13GA
Sollc5tor8
Geldards LLB
Cubo
Standard Court
Park Row
Nottingham
NG16GN

The Haven (Stapleford)
Contents
Page:
1to5
Chair of Trustees Annual Report
6t07
Report of the Trustees
Independent Examlnefs Report to the Trustees
Balan￿ Sheet
10
Income & Expenditure Account
11to13
Notes fomiing part of the financial statements

ANNUAL
REPORT
Haven [Staplefordl
info@havencentre.co.uk
www.havencentre.co.uk". .

Introduction
The Haven Centre: A Community Pillar since 2014
The Haven [St3plefordl inaugurated the Haven Centre on Wadsworth Rd in 2014.
This centre remains dedicated to serving the Stapleford community in
accordance with its charitable mission.
Meeting New Challenges in 2024
As we entered 2024, we faced new challenge5. In addition to our church services
and meetings, we ran over ten community-focused programmes aimed at
providing support to the two m05t disadvantaged communities in our borough.
Thanks to generous funding, we have been able to sustain our Food Bank,
assisting numerous households experiencing financial difficulties. We are deeply
thankful to the many volunteers who stepped up to help with food collections
and deliveries.
Our Toddler group is flourishing, just like the other groups in the building.
It's wonderful to witness the growth of Creative Hand5 Child Care, CGL,
Social Souls, Beeston Players, the Men's Mental Health Group, the charity
shop, and the café, 311 while we continue to Sustain this invaluable
community resource center.
We will continue to adapt and change with the trends and needs of our community.
ANNUAL REPORT 202411
Charity Number 1156295

OPERATIONS
2024 saw the continued development of our services. We have found some of
the adjustments we made, regarding staffing, brought challenges, but it meant
we were able to focu5 on building towards the future. We have some fresh
faces as well as the return of familiar faces. Although our goal has been to
expand and move forward, our primary focus has been on developing and
strengthening our existing foundations.
Food-bank continued to see an upturn in demand and, as always, the
team of volunteers have served the community well this year.
Community Café [open oneday each week, with FREE soft play and
Wi-Fi. Super Tots [stay and play group, two sessions per weekl
CGL lan agency based in our centre supplying support and health
checks for recovering addicts]
Social Souls - work experience for adults with learning difficulties
IV4
In addition, providing personal and spiritual support for those who seek it,
and opportunities for personal development. The church continued to
provide.
Weekly worship service
Weekly Bible study groups
Counselling & support opportunities to develop gifts & abilities.
Food-bank
Management of the centre
The heating system remains a considerable challenge since the gas boiler
stopped functioning in 2020. The existing boilers are beyond economical
repair. Thankfully, we have a backup immersion heater for hot water,
ensuring a consistent supply. Unfortunately. Nottinghamshire County
Council has not been able to provide any solutions for our heating issue.
Due to the terms of our lease, we cannot pursue permanent fixes. Since
September, we have relied on portable electric heaters, and additionally,
we invested in a few diesel heaters to maintain room usability during the
coldest months. While these measures were helpful, the winter proved to
be quite challenging, significantly affecting our energy bills and the
overall usability of the building. We are actively seeking solutions in
collaboration with the council.
We have continued streaming our in-person Sunday services online.
allowing those that are house bound or geographically distanced to join
online.
We were also able to join other churches from The NG Network to have
joint service5.
Ongoing work and maintenance to the fixtures and fittings of the building
continued. We were able to continue improving the grounds due to
volunteers and the hard work of Social Souls.
ANNUAL REPORT 202412
Charity Number 1156295

The foodbank has continued to serve the community, This Christmas we gave
shopping vouchers to service users to spend on meat and veg at a local shop.
£500 worth of vouchers were given out. This year the Foodbank received
incoming food donations through Tesco, Stapleford Baptist Church and
individual donations. Also, Warburtons supplied a monthly donation of bread
products. We also received financial donations which are included in our end
of year account5. We are grateful for all the support from businesses and
individuals
We continued our work with Social Souls which included the social evening
and also a monthly afternoon Café run buy Social souls on the first Tuesday of
the month. The Men's mental health group continued in partnership with the
Social Prescribing team, this runs once a month on a Monday Evening.
We also were continue with selected showings of our Community Cinema
with the annual showing of"The Polar Express" this is an immersive
experience using lights, smoke machines, fans, and snow machines. Yet again
it was a great hit and has become part of the Christmas
tradition at the Haven. We are grateful to Bridge Audio for their kind support,
and donation of time, expertise and equipment
EESS,
Staff
The core staff team remained solid. with one full-time and one part-time
member, plus support from some sub contracted part time staff.
The support and volunteer hours from Social Souls has been a great asset to
the work of the centre.
All compliance challenges have been met in terms of employment law and
wages/ pensions. On the job training is provided and personal development
plans are in place. Levels of qualification and experience are above average.
Al I legal requirements Ihygiene and safety trai ning etc] have been met. All
staff and volunteers are DBS checked and up to date with safeguarding
procedures. Policies have been composed for all significant areas including
Safeguarding
Data Protection [GDPRI
Professional Boundarie5
social Media
In addition we have a comprehensive Staff Handbook and Code of Conduct.
Copies available on request.
ANNUAL REPORT 2024 | 3
Charity Number 1156295

FINANCE
2024 has been a year of seeing some of the benefits of the changes in the
budget. We were pleased that the actions taken over the previous couple of
years continue to allow us to move in to a stronger position.
We remain grateful for the help from grant giving trusts and will look at
strengthening our financial position in 2025. We are grateful to Broxtowe
Borough Council. Our budgeting has remained strong and has carried us
through. We are still operating as frugally as possible. Government guidelines
for salary and pension increases have been met. Wages and bill payments are
kept up to date. Assets are appropriately maintained. Cash flow was kept
strong by the generous giving of church members, on top of Grants. Our
Directors continue to strategi5e to bring us to a place of greater financial
security.
DIRECTORS/TRUSTEES
Our governing group remain consistent and stable, and Operating budgets are
produced and adhered to. There have been no changes in the board, and the
team continue to serve well with good robust discussions In meetin8S.
ORGANISATIONAL HEALTH
The church remalns healthy and focused on its Mission to Serve the
Community. Feed back is always Positive, and we estimate that within any
given week, we helpl support upwards of 200 people in this community.
Russell Olding
Senior Minister
ANNUAL REPORT 2024 | 4
Charity Number 1156295

The Haven (Stapleford)
Report of the Trustees for the year •nded 31st December 2024
The Trustees present their annual report along with the unaudited financlal statements of the Charlty for the
year ended 31 st December 2024. The Trustees have adopted the provisions of the Statement of Recommended
Practice {SORP) "Accounting and Reporting by Charities" (FRS102) in preparing the annual report and
financial statements of the Charlty.
The financial ststements have been prepared in accordance wlth the accounting policies set out in notes to the
accounts and comply with the charity's governing document, the Charitles Act 2011 and Accounting and
Reportlng by Charlties.. Ststement of Recommended Practlce applicable to charltles preparing their accounts
in accordance wlth the Financial Reporting Standard applicable in the UK and Republlc of Ireland published on
16th July 2014 (as amended by update bulletin 2 published on 5th October 2019.
structure, Governan¢• and Managem•nt
Govemlng Documant
The Haven (Stapleford) was est8bllshed as a ch8rltable trust by a deed and reglstered with the Charlty
Commission on 20th March 2014. The Charlty Is also established as a Company Llmited by Guarantee
and reglstered Viith Companies House on 18th FebNary 2014. The charlty is based at The Haven Centre
Wadsworth R¢)ad, Stspleford, Notungham.
There are currently five Trustees and future Trusteas Shall be appolnted by a resdulion at a meeting of the
Tru8tee8 In accordance wlth the Trust Deed.
The Trustees are re8ponsible under the Charity's govemlng document for controlllng the management and
admlnlstratlon of the Charlty.
The TNStees who served during the year are set out In the index page.
Appolntment of Tw8tees
The chalr of the Trustees Is nomlnated by the board of Trustee$. Trustees are elected by the Current Trustees
as required.
Twstee Inductlon and Tr£inlng
All Trustee8 are brfefed on thelr legal obligations under charity law and the decision making proces8e8, the
buslne$$ plan and recent financial performance of the Charlty. Trustees are encouraged to attend
approprlate ext8mal tralnlng events where these wlll facllltate the undertaking of their role.
Org8nisatlon81 Stmcture
The Charity Is principally UK based in Nottjngham.
At the beglnning of the year there was one full-tlme and one part-time employed stsff members.
The Board of Trustees meet on a regular basls to dlscuss strategic direction and pollcy of the organisation.

The Haven Istsploford)
Rèport ol the TnMtO08 for th• year ended 318t (locom￿r 2024 (Cmdnuedj
Struckn. Governan￿ and Ill•nag•mènt (Cl￿￿n￿ed)
Risk Management
The TNstees are developing a iisk management strategy ofr.
a rev1￿ of the risks a charity may face..
the estsblishment ol systems and pr¢)cedures to mlbgate Ihoso r*ks hJentif*d in the plan:
the Imp￿mentation of procedures dwnod io mlnlrrim any p0kn1￿1 impact an thg Charity Str￿1d
those risk8 matoflalise: and
Indivtdu81 team trlp iiik assess￿.
On8 elernent in the managernent of financi￿ r*k is th¢ settiry of a re•oNes p* and Ils regular revivw by
TnMte88.
Publ1¢ Bon•fit stst•m•nt
Th• Joctlon of th18 r•port above wtil￿d 04•CtThw and aclivi* sets cut tho alm8 •nd wioritth of the Charity.
The Tru8ts88 have con8[de￿d Ihb matter. In conlunclion vlth the gukd8nc8 contakrtd In the Ch•rity
Comml8slon'8 96n6rn1 guldanco on pU￿1C banefft, and have &)ncluded:
Thal the alm6 of thg erganlsation continue lo b• ¢h•iitable:
That the alm8 and work done grle Idan￿fi•ts18 benefits to th• charllable 8ectOT and both Indrocty
and dIrac￿Y to indNidua18 in need,.
That Its benefits are for the putjlc. arn not unreawW rostrlctad In any w and certalnly nol by
ablllty to pay:
Thal there is no dolrim¢nl or horm wising from th• arfn• and acti%tyts#.
Flnanclol R•vlw•
Tho oyernll llnandal po•lllon ￿ tho Chaflty h88 agaln Improv•d and $l&hUy strengthened from tha previous yoar ••
tho Tru8tOe8 exerclsed lighter fin8nGial control through regular maouws. Sound financlal management has
ontinued a more positNo outc¢)me for ts year with Mt fvnds of £14922 of which £7725 was Rastricted.
(2023: £13659 of whlch £9946 Re•tsKtedl èt the er#l.
Pnnciple Fundhy Soure•s
The m8lorlty ol fundlrrfJ r•¢wved by the C￿11￿ C￿ from IndlvKluoh, rom leltings.other ch•rith8 and
organlsalbns h tho UK
R￿#1¥•* Pollcy
The Trusle¢$ hove establ￿h￿d a policy whereby, grth the Charitys present18vel and nature of actsvibes, the
unrestricted funds not committed or invested in intangiblo ond tsngible fLxed as88ts llhe free re￿￿￿$,? hehj by
tho Char6ty 8htyJld not be less th8n thrna monts. unrestrlctod QXWKli￿rQ.
Allhough tha eurrent thl ¢1 unwtriclad 8ti11 fth short of this poky the Trustees ore ¢onfKlent that wlth tlghtar
budgettsng Contro￿ and sound m•nagemenl In thls levd of fund8 8tsodity knprov• o¥•r the on6ulng ￿[3.
Invo#tmont Pollcy
The Trustéès the to invest In wch assots 48 See fiL
The Charfty has a poll¢y of keeplng any surplus 114u￿ funds in •hort tsmi doposlls (th8 Roserved ACCO￿¢) vkntch
ean be readily a¢ces$8d should the need aiise.
Tax Stats
The Haven Istsploford) h a reghtored ch•r5ty 16 ex•iipt frryn carpoyation tsx and income lax.

Indepondenl Examlnerts Report to
Thè Tru8to0s d Tho Havon18taplalord)
For th• year ondod 318t D•camlJor 2024
I roport on the accounts of Tho Haven Islaplefordl for th• yèarended 31it December 2024
R•8po¢tlvg r•8pDn8lbll¢l•s of Tru•ts•s and Examln•r
Ttts Cha(W8 Twsi¢¢$ arn r8sponsLble lor th8 pra￿￿tIon ol lh¢ accounls, The Chartvs Truslett Conskler
that an audll Is not rgqulred lor this ye8r urKler serAlon 14412) of the Ch8rflle5 Act 2011 Ilhè 2011 Act) and
Ihal an IndepeNlènl examlnation Is need8d.
11 l• my wpon8lbllity to..
l ex•rnln• tha accounts und¢f 8ecUon 145 of th 2011 Acl and
2 lo follow th• procedur8$ lald down In the gènéral dlre¢llon& glven by Ihg Charlty
Commlmlon ur¢der 8•ctbon 1451Sllbl of Iho 2011 Acl •nd
3 to itale wtholh•r partlculgr matt8rn have comé to my altenuon.
ea81• 01 Ind•p•ndonl Ex•mlnof8 Report
My ex4mlnfillon w•$ ¢affiod oul In 8¢cord8n¢a vhlh th8 g¢n¢rnl dlreGllon$ 91￿n by Chorfty cornm￿810n.
An examlnallon Include8 J revlBw ol the accounllno records kept by the ch8rlty and a compartBon of the
account8 pr88enlgd wlth lho￿ f&cord8. 11 also Includ85 conslderallon of any unusu&l11oms or dl8doBure$
In Ihg accounls. and 8oeklng expl8n8llon$ from you 89 Iru$lees concgmlng •ny Such mall¢rn. The prowlur¢•
U1￿0rt?ken do not provldo 411 Ihe evklence Ihal would bè requlred In on oudll, and con8equenlty no oplnlon Is
glven 48 lo wtholher Ihe accounlj proiénl a Irue and lalr vl8W and thg repor118 Ilmlleil lo those m8ller8 Jet
out In slatomenl b•low.
Indop•nd•¢)t Examln•rf# Ststsm•nt
In Gonnècllon wllh rny •x•rnlnatlon, no matter hal Gom• lo my •118ntlon'.
11) whl¢h gfv¢$ m? reuon•bl• ￿U$• lo bellovo that In m*terfo1 ro$pe¢l, th• requlrernonts..
to keep accounllng I￿r￿s tn aCcO￿ancI wllh •ecllDn 130 01 lh• 2011 Act.. #nd
to prnparè accounts whlch 8¢cord vAth Ihe •ccounlln9 reco￿8 and Mrnpty ¥Alh IP
accountlng r•qulremenls of lh• 2011 Act
bl
hwe nol bo•n rnol,, or
(21 lo wthlcth, In my oplnlon. o11onll¢)n thoufd b¢ drawn In ord•r lo enablo & propor und8f8tandtng ol
tho accoun1• to be rnached.
Clfve A Hope*Y(I
Hopewell 8u8lnMs S•ryic•s
'Doverbg¢k'
8 GunthoTpe Rojd
Lo*Ylh8m
Nottlngh8m
NG14 7EN
Slh Sèptember 2024

The Haven (Stapleford)
Balance Sheet
As at 31st December 2024
(Note)
2024
2023
Fixed A88ets
Computer Equlpment
F & F & Equipment
Propety Improvements
1118
2065
1502
2323
Total Flxed A88ets
14)
3183
3825
Current A88Ot8
Dobtor8
C88h at Bank
Cash - Cafélcharfty Shop
<5)
4949
11974
100
4396
12638
75
Total Currenl A889t•
17023
17109
Lou Llabllltlo8
short Terni Credltor8
Loan Account
<6>
2321
2963
2285
4990
5284
7275
N•1 Current A88at8llLlabllltleo)
11739
9834
Total A880t81088 Llabllltle8
14922
13659
Provl8lon for Othor Llabllltl
Not A880t8
14922
13659
Represented by;
Unre8trlcted Fund8
Unrestrlcted - Deslgnated Funds
Re8tr1clod Funds
7197
3109
604
9946
(7)
(8)
7725
Total Charlty Fund8
4922
13659
The flnanclal 8tatements ware approved and authori8ed for issue by the board on 22nd September 2025
Slgned on behalf of the trustees
Rev Russell
Idlng
{Chair of Tnistees)

The Haven (Stapleford)
Income and Expenditure Account
Year ended 31st December 2024
Restricted Unrestricted
Funds
Funds
Income
2024
2023
{Note)
Tithes & Offerings
Tax Refunds
Café Sales & Events
Room Hire
Charity Shop
Food Bank
Gifts Received
Reserve Alc Int
Tree Fund
40401
9105
2893
50515
2331
40401
9105
2893
50515
2331
1843
564
208
2000
40410
9030
2996
42505
3599
1158
600
152
1843
2000
Total
106017
109860
IQQL50
Expenditure
Salaries,NIC & Pensions
Subcontract Costs
Equipment
Repairs & Maint
Consumables
Ministers & Conference Exps
Rents
Gifts Paid
Health & Safety
Utilities
General Exps & Admin
Foodbank Exps
Insurance
Bank & Card Charges
Loan Interest
Telephone & Internet
ITISoftware
Outreach Events
Audit & Payroll Charges
Professional Fees
Restricted Funds
Deweciation
33003
9384
1193
1847
2234
1483
3000
821
733
29846
9227
33003
9384
1193
1847
2234
1483
3000
821
733
29846
9227
1838
3337
172
102
1272
1050
31465
7963
547
1368
2987
1055
{9)
1283
1969
25489
8086
(10)
1838
3337
172
102
1272
1050
3176
129
152
1786
1194
928
1493
260
(11)
1437
249
1437
249
4883
642
4883
642
3790
Total
6721
101876
10
98684
SurpluslDeflclt
.2878
4141
1263
17
10

The Haven (Stapleford)
Notes to the Flnanclal Statements for the year énded 31st Dxember 2024
Accountlng Pollcles
Genernl infomiation and basis of preparntion
The Haven {Stapleford) is a registered chanty govemed by a trust deed and registered with the
Charity Commission. It is also a Company Limited by Guarantee and registered with Companies H¢)u8e.
The nature of the charitys operations and principle activltles are to proclaim and further the gospel of
Jesus Christ through the spoken word arKI resources.
The charfty constltutes a public benefit entity as define by FRS 102. The financial stalemenls have been
prepared in accordance with Accounting and Reporting by Charities: Slatewont of RecommerKled
Practlce appllcable to charftles preparlng trdr accounts In accordance wlth the Financial Reporting
Stsndard applicable in the UK and Republic of Ireland (FRS 102) issues on 16 July 2014 (as updated
through update bulletin 2 published on 5 October 2019, the Financial Repo￿.ng Standard applicable
In the United Kingdom and Republic of Ireland (FRS 102), the Charilles Act 2011 and Generally
Accepted Practlce as It applies 1 January 2015.
The charfty has applled update bulletln 2 8$ publlshed on S October 2019 and does not Include a cash
flow ststement on the grounds that Is applying FRS 102 Section 1A.
The financlal statements are prepared on 8 golng concern basis under the hlstorfcal cost conventlon,
modlfled to Include certaln Items at fair value. The ffinancial statements are wesented in sterling which Is
the functional currency of the chanty and rounded to the nearest £.
The signlflcant accountlng pollcies applied in the preparation of these financlal statements ara set out
below. These policies have been consislenty applied to all years presented unless otherwise stated.
Income recognltlon
Income Indudes the total funds received durfng the year and ￿mprtse$ donatlons collected from
Indlviduals arKI I￿Se in business. Income Is recognised In the period in vthich the charity Is entltled
to receipt and the amount can be measured with reasonable certainty.
Income Tax reclalmable under the Gift Aid Scheme is recognlsed on a recelvable b8s1s.
Volunteern and donated seNices 8nd f8cllitie8
The value of services prowded by volunteers 18 not incorporated into th&8e financial stalements.
Exp8ndlture recognltion and basis of8llocatk
Expenditure is included when incurred or committed f¢y and has been shown In the Statement of
FinarKial Actlvities inclusive of non-recoverabbe Value Added Tax.
Expendlture on operational pyogrammes is recognlsed In the period in %thi¢h li Is incurred. Specffic
funds are establlshed. which has been all¢xated to prws, but rernalns unspent at the year end.
11

The Haven (Stapleford)
Notes to the Flnanclal Statements for the year ended 31$t December 2024 (contlnuedl
Accountlng Pollcles (¢ontinued)
Expenditure r8cognrtion and ba&'s of allocation (continued)
The majority of costs are directly altributable to specific activittes:
Raising funds include all dlrect costs of lundraising activities.
CharStsble actfvitles Include expendlture assoclated wth the runnlng of the Charivs
operations and include t)oth the direct costs. support costs relating to t1￿$8 actlvities
which also includes govemance costs which are incurred in the govemance of the
¢harfty and are prlmarily 8$soclated constitthional and ststutory requirements.
Support costs include central functions and have been allrJ¢ated to activlty cost
Categories on a bas18 conslstent with the use of resources.
b)
lrncoverable VA T
All resources expentjed are classified under acknty headings that aggregate all costs related10
tha category Irrecoverable VAT 18 charged against the category of resources expended f¢y whlch
tt ¥vas Incurred.
Fornign cunBncies
Transactlons In foreign currencies arg translated Into sterllng at the rate of exchange rullng at Ihe
date of transactlon.
Funds stnjcture
Funds held by the charity are:
Unre8tri¢ted & Unrestricted Designated funds - These are funds ￿1¢h can be used in accordance
wlth the charitable objecls at the dlscfetlon of the Trustees.
Restrlcted Funds - These are funds that can only be used for particular restricled purposes wthin
the objects of the Charlty. Re$tri¢tions arise specified by the donor or when funds are ralsed
ft)r partlcular restrlcted wrposes.
Employees and Tr￿tee3
The charlty had trKI employees subcontracted staff during the year.
Taxatlon
The charity is exempt from c￿p(￿allon tax and income tax as all incorne is charllable and Is applied
for charitable purposes.
12

Hw•nl Siaploford)
Notss toth¢ FInaftG￿ 8tatsmgnts ft*rthoyèar •nded 31$t 00¢omber 2024 l¢ortlnuodl
4 Scl*duie of Flxod Aso0ts
Year
Purtha8e
Addlutyo Dop'n
N8V
PAS
Sound System
New Spèak¢rs x 2 2SS
Bapb"sm Pool
25S
ghung
20S
20S
Soft P* Equlpmenl 25S
0i4it81 Mlxer
25S
Storagè Heaters 25S
N￿1 LaptOP5
33.3S
Eledrfcal Heattrtg
10S
ALk11tC￿jM Computer 33.8S
sx1
Dlshwasher
25S
Quad Plant & Eqthp 10S
2003
2005
2008
4614
4814
999
720
720
2008
2008
2015
2020
2020
2021
2021
2021
2021
45th)
4500
3209
2171
3209
2171
438
1172
952
2561
476
238
238
20e5
21)23
22616
3183
S D•biorn & Propaymonts
l.Tax Cwm. GNIAd
Room Hlr¢
6 short T•nn Cr•dltorn
Nolts CC- Renl
PAY￿1
AudltyPW Fees
250
1051
Blhvd 2023 IT￿orne ExpeThlllurn Fund8 Trf cl￿ 2024
7 Dmlgnatod Fund8
Mlsslons Fund
Emei9en¢y Fund
.332
467
8 R•gtrlGtod Funds
8th12023 Ir*ome E¥9end￿Ul• Funth Trf 2022
Gener81 Travel Fund
Burtlna Faso. S(*wl
Bmxlty4e BC. Community lllthen 3380
Fotrj Bank
407
Defribulalor
1¢yJ
Arnold C18th Cornmuftty Fund
1000
Tree Fund
Mi8sws Fund
Ble88ings Fund
1478
1478
3eoo
183
3177
412
100
200
2000
332
325
325
8721
M OtdlrvJ- Admlli
T Oldlng- ￿lIg•A￿d
3410
9384
10 Gon•r&l EX￿n$t* & Adrnln
PISAdv & Publ
Refule & wa￿ Charge8
Subs-AOGING Clwrthes
Co￿ht
Ho$pltAIItyIConsumables
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712
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880
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1217
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