| Our mission —Our vision Section 1 —An overview ofSickle Cell Care Manchester |
Our mission —Our vision Section 1 —An overview ofSickle Cell Care Manchester |
Our mission —Our vision Section 1 —An overview ofSickle Cell Care Manchester |
[page 3] |
|---|---|---|---|
| About Sickle Cell | [page 4] | ||
| About Us | [page 5] | ||
| Yearly event community | fund raiser | [page 61 | |
| Trustees | |||
| [page 7] | |||
| Our Supporters | [page8] | ||
| Section 2 —Governance | |||
| Structure &management | [page 9] | ||
| Chairperson's report |
[page 10-12) | ||
| Our Activities and Objectives Section 3-Our Finances |
[page 13-14] | ||
| Treasurer's report |
[page 15-16] | ||
| Section 4 —Our other important | information | ||
| Acknowledgements | [page 17-18] | ||
| How you can help | [page 19-21] | ||
| Looking to the future | [page 22-23) | ||
| Contact us | |||
| [page 24] |
| Name | Position | Dates acted ifnot for whole |
ear | ||
|---|---|---|---|---|---|
| Dawne | Josephine | Bowes | Chair Person | 29/07/2019 | |
| Diana | Matthews | Treasurer | 15/06/2015 | ||
| Rohan | Steele | Secretary | 15/06/2015 | ||
| Sheron | Patricia Burton - Francis | Trustee | 25/08/2016 |
| INCOME | |||
|---|---|---|---|
| Funding and Grants | |||
| Subscribed Donations |
7714 | ||
| General Fundralsing |
|||
| Just Giving | |||
| Trustee Contributions | 149 | ||
| insurance Received |
|||
| Total Income Resources | 45891 | 55863 | |
| Year End 3L8.2022 | Cash/ PayPal Payments | ||
| Project Manageinent | 24147 | ||
| Wages | 25896 | ||
| Just Giving | 216 | ||
| Insurance, interest and Charges | 498 | ||
| Rates and Taxes | 170 | ||
| Office Expenses | 212 | ||
| Professional Contract Services |
|||
| Oflice Equipment | |||
| Advertising and Promotion |
|||
| Travel | |||
| Web Hosting | |||
| StaffTraining | |||
| Software | |||
| Total Resources Experided | |||
| Net Income forthe year | |||
| Total funds at015eptember 2021 | OAR | ||
| Total Funds at 31/08/2022 | 17,948 | ||
| Fixed Assets | |||
| barents Assets | |||
| Bank and Cash | 17,948 | 17,948 | |
| Current Uabiltues | |||
| Creditors (amounts due witMn one year) |
|||
| Net Assets | |||
| Unrestricted Funds |
|||
| Restricted Funds | |||
| Total Funds | 17PCL | 17,948 |