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|||Page|
|---|---|---|
|Report ofthe Trustees||1to 3|
|Independent<br>Examiners|Report||
|Statement<br>of Financial|Activities||
|Balance Sheet|||
|Notes to the Financial Statements||Tto 9|





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|||F|orthe yea|r ended 31stM|arch 2021||
|---|---|---|---|---|---|---|
||||||2021|2020|
|||||Notes|Unrestricted|Unrestricted|
||||||Funds|Funds|
||||||E|L|
|INCOMING RESOURCES|||||||
|Incoming resources|from generated||funds||||
|Voluntary<br>income|||||1,700||
|Total Incoming resources|||||1,700||
|RESOURCES EXPENDED|||||||
|Charitable<br>activities|||||||
|Resources expended|on charitable|activities|||||
|Governance<br>costs|||||||
|Total resources expensed|||||200||
|Surplus/<br>(deficit) for|the year||||1,500||





|||||2021|2020|
|---|---|---|---|---|---|
||||Notes|Unrestricted|Unrestricted|
|||||Funds|Funds|
|||||5|6|
|CURRENT ASSETS||||||
|Cash at|bank|||1,500||
|Debtors||||||
|CREDITORS||||||
|Amounts|falling due within one year|||||
|NET CURRENT ASSETS||||1,500||
|NETASSETS||||1,500||
|FUNDS||||||
|Unrestricted||funds:||||
|General|fund|||1,500||
|TOTAL|FUNDS|||||5|0||



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||||||Direct|Direct|
|---|---|---|---|---|---|---|
||||||costs|costs|
||||||2021|2020|
|||||||2|
||Resources expended||on charitable|activities|200||
||Carriage||||||
||||||200||
|4.|DOVERNANCE COSTS||||||
||||||2021|2020|
||||||E|5|
||Wages||||||
||Printing,|postage and|stationery||||
||Rent||||||
||Accountancy fees||||||



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