|Report ofthe Trustees||
|---|---|
|Independent<br>Examiner's|Report|
|Statement ofFinancial|Activities|
|Balance Sheet||
|Notes to the Financial|Statements|





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|Statement ofFinancial Activities||||||
|---|---|---|---|---|---|
|for the Year Ended 31 October 2022||||||
||||31.10.22|31.10.201||
||||Unrestricted|Total|funds|
||||fund|||
|||Notes||||
|INCOMING RESOURCES||||||
|Iacomiug resaurces from generated|funds|||||
|Vo!notary income|||548||110|
|Total incoming<br>resources|||548||110|
|RESOURCES EXPENDED||||||
|Charitable<br>activities||||||
|Charitable<br>Giving|||||4,911|
|Charitable<br>activities||||||
|Goveraance<br>costs|||55||60|
|Total resources expended|||493||4,861|
|NET INCOMING/(OUTGOING)||||||
|RESOURCES|||493|~4,861)||
|Net movement<br>iu funds|||493||(4,861)|
|RECONCILIATION<br>OF FUNDS||||||
|Total funds brought<br>forward|||~5986|~10847||
|TOTAL FUNDS CARRIED FORWARD|||6,479||5,986|





|||31.10.22|31.10.21|31.10.21|
|---|---|---|---|---|
|||Unrestricted|Total|funds|
|||I'und|||
||Notes|6||f,|
|CURRENT ASSETS|||||
|Cash at bank||6,479||5,986|
|CREDITORS|||||
|Amounts<br>falling due within one year|||||
|NET CURRENT ASSETS||6479|~5986||
|TOTAL ASSETSLESSCURRENT|||||
|LIABILITIES||6,479||5,986|
|NET ASSETS||6479|~5986||
|FUNDS|||||
|Unrestricted<br>funds||~6479|~5986||
|TOTAL FUNDS||~6479|~5986||





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