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|Trustees'|annual<br>report||2 —4|
|Receipts|and payments|account||
|Statement|ofassets and|liabilities||
|Report of|the independent|examiner||





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|||||2022|2021|
|---|---|---|---|---|---|
|Receipts||||||
|Offerings<br>and gifts||||56,710|44,154|
|Other income (restricted|gifts for outreach||work)|7,000||
|Total receipts||||63710|44.154|
|Payments||||||
|General<br>property<br>running|expenses|||17,101|4,656|
|Supported<br>workers<br>and|gifts|||21,305|15,576|
|Church<br>outreach<br>and activity costs||||2,070|4,282|
|Other outreach<br>work (from restricted||funds)||7,000||
|Total payments||||47 476|24 514|
|Net receipts<br>/ (payments)||||16,234|19,640|
|Cash funds at beginning|of period|||111,153|91,513|
|Cash funds at end of period||||127,387|111,153|
|Statement ofassets|and liabilities at 31 December 2022|||||
|||||2022|2021|
|Cash funds: balance at|bank|||127,387|111,153|
|Net assets Itotal funds|(unrestricted)|||127,387|111,153|





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