REGISTERED CHARITY NUMBER: 1166935
REPORT OF THE TRUSTEES AND
UNAUDITED FINAiYCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2024
FOR
ST PETER'S HOUSE CHAPLAINCY
Jane Cooksey Limited
15116 Boarshurst Bus. Park.
Boarshurst l.ane. Cjreenfield
Oldham
Lancashire
OL3 7ER

ST PETER'S HOUSE CHAPLAINCY
CONTF.NTS OFTHF. FINANCIAL STATEMENTS
FOR THE YEAR ENDED JI JULY 2024
Page
Report of the Trustees
Independent Examiner's Report
Statement of Financial Aclivities
Balance Sheet
Cash Flow Statemen¢
Notes to the Cash Flow Statement
Notes lo the Fin#nci#l fiiatements
9 10 16
Detailed Statemenl of Fingncial Activities
17 to 18

ST PETER'S HOUSE CHAPLAINCY
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 JULY 2024
The trusiees present iheir report wtth the financial statements of the charity for the year ended 31 July 2024. The
trustees have adopied the provisions of Accounting and Reporting by Charities.. Statement of Recommended Practice
appl icable 10 chariiies preparing their accounts in accordance wilh ihe Financial Reporting Sthndard applicable in the
U K and Republic ot. Ireland IFRS I O?) (effeciive l January 2019).
OB.IECTIVF.S AND ACTIVITIES
Objectives and aims
Tlie objects of Ihe CIO are..
{ l ) To advance Christian Religion for ihe benefil of the public in the Metropolitthn District of Manchester or elsewhere
by:
o the work and m inistry ol. the persons appointed io undertake religious services and faith-based pastoral support, glive
spiritual direciion and be chaplains (including lay workers) ai any of the institutions of Higher Education in Ihe
Metropolilan Districl ot- Manchester (and their atTilial¢d inslitutions). and
o advice and counselling on the education and wellbeing of students, ststT and members of such insiitutions of Higher
EduLalion.
12) The promotion of religious harniony for the public benefit in the Metropolitan District of Manchesier area or
elsewhere.
Public benefit
The Trusiees have considered the Charity Commission's guidance on Public Benefit.
As a charity established for Chrislian chaplaincy lo Ihe higher education institutions (HEIS) in Manchester. th¢ public
beiielit provided is largely lo studen15 and staff of those HEIS. some 85,000 people. This resiriction arises from our
objectives. and is appropriate given our resources. and the chaplaincy provision made in other university towns.
In furtherance of its objectives. in 2022-23 the charity:
l.'niployed a chaplaincy team and provided office and meeiing accommodation.
()I'lered a Christidn Chaplaincy team. so advancing the Christian Religion for the benefit of the public in the area.
Provided pastoral care 10 studen15, particularly where their problems have a religious componenl.
Provided a mulii-faith prayer room and chapel.
Oller¢d weekday prayers and services
' Otlered a student focused volunteer programme to engage with students
Provided a place where university students and slaff can congregate and encounter both one another and the divine.
' Offered a community café where values of fatih are expressed.
Provided a Wholeness Progrdrnme that offers tuition in physical and spiritual wellbein8.
' Continued with a financial hardship projeci that supwrts students with food and wellbeing resources.
Running Si Peter's House as a chaplaincy centre
' otTering office space for a variety of charitable and faith-based organisations.
Provided advice lo the Universiiies and the Student Unions on matters of faith and the religious requirements of the
sludenls.
Developed a Mulii-Faiih Chaplaincy team. promoting religious harn)ony in the area.
Page I

ST PETER'S HOUSE CHAPLAINCY
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 JULY 2024
ACHIEVEMENT AND PERFORMANCE
Towards the end of the 202?1?3 year. Ihe charity's main funders advised the trustees that they were no longer in a
posiiion to support St Peter's House chaplaincv. The trustees therefore took the decision to wind up all operations. A
combinalion ot" some ongoing transition granls from the fund¢rs and Ihe charity's reserves enabled a phased and orderly
wind down of all operations. This commenced with closure of the community cafe in July ?O?i. followed by wind up of
nearly all other operations by December 2023.
All siaff had left the charity's employment by December 2023. The trustees are graleful for the work and dedicaiion of
the siaff during their lime at Si Peierfs House.
st Peler's House has been a vibrant place of community for ihe lasl fifty years and the organisation5 which have funded
il recognisL' Ihai the pressing need for chaplaincy continues. They have given iheir assurance thal work is underway to
ensure that a reima¥)ined otTer ot Christian chaplaincy is pul in place al the University of Manchester and Manchester
Melropolitan University. beyond the work of Si Peier's House.
During ?02?123. Si Peter's House conlinued lo operaie out of large premises on Oxford Road, Manchester. The building
was not fil for purpose in the long iemi. requiring significani investment on repairs and improvemenls. With full
repairing and renewal responsibility for the building. the charity was facing significant future costs. Having decided to
close oper¢1tions. responsibilit>. fur the building will revert lo its 50150 beneficial owners. Manchester Diocesan Board
ol. F inance and Truslee5 t.or Meihodisi Church Purposes. The legal aciions to make this changje in responsibility are
Close lo completion.
Si Peter's House has provided space in its building lo a rnnge of charilies. Student slart-ups and other not-for-profit
org?anisalions. Wilh one exception. Ihey all moved oui of Si Peteff s House by January ?024.
Finance
Jane Cooksey.I,Id is accountani and independeni examiner.
Ga￿le Naden is ihe Treasurer.
FINANCIAL REVIEW
Finuneial position
In IIIL LurrLnl year ?O??1?3 there was a deficit of £65.149 (20?11?2 deficit of £15,990). Ai Ihe end of the year
unrc5triclcd funds amounted to £45.758 (2022 £110,907) and reslricl¢d funds were £1.791 (?0?2 £1.79]).
After the year end. the charity has had sufficient income and reserves to ensure the orderly wind down of operalions. Ai
(he date ot thi5 report. there remain sufficieni reserves 10 complete all wind-up matters. the trustees will then consider
appropriate use ot any residual t-unds.
STRUCTURE, GOVF.RNANCE AND MANAGEMENT
Tlie board mel seven iimL5 durinbTr th¢ )'Lar.
The CIO'S charilable aclivity is primarily chaplaincy.
REFERENCE AND ADMIIYISTRATIVE DETAIL5
Registered Charity number
1166935
Principal Addre55
Si Peter's House
Oxford Road
Manchester
M139GH
Page 2

SI. PETER'S HOITSE C.H.4PL,IIYCY
REPORT or TFIE TRL'STEES
FUR T14E I'EIIR EYDID31 JI.I.V 2
24
Trustees
Dr B J 'l'reves Brown
Revd Dr C Wickens
G INaden
Reid .4 J l.unn
Ms l-l J Plalts
Revd Di. S J o.xley
Archdeacon K B Lund
Re&d M J c.oe
S Davieq
Revd C Downing
Indepeiident EKAiiiin¢r
Jan¢ Cooksey
Jai)¢ ('.ooksey Liii)iled
15116 Bo(11'5hursL BLIS. Park.
E3oai'shui'si Lune, lireenlield
Oldliaiii
Lanc1£ shi
OL3 7ER
Appi'oved by order of the board of inistee5 On ....
and signed on ils behalf by:
CJ Naden - Try4ie¢

INDEPENDF.NT EXAMINER'S REPORT TO THE TRUSTEES OF
ST PETER'S HOUSE CHAPLAINCY
Independent examiner's report to ihe trustees of St Peler's House Chaplaincy
I repon 10 the charity trustees on my examination ofthe accounts of Si Petevs House Chaplaincy (the Trust) for the year
ended 31 July ?024.
Responsibilities and basis of report
A5 the charity trustees of Ihe Trust you ar¢ responsible for the preparation of the accounts in accordance with the
requirements of the Charities Acl ?0 I l ('th¢ Aci'}.
I report in respect of my examination of ihe Trust's accounts carried oul under Section 145 of the Act and in carrying
out my examination I have followed all applicable Direciions given by the Chariiy Commission under Seclion 145(5)(b)
of the Aci.
Independent examiner's statement
I liave coiiiplet¢'d ni). Liainiiiation. I confimi thal no material mailers have come to my allention in conneclion with the
examination gy iving me cause 10 believe thai in any material respect:
accounting records M'ere not kept in respect of ihe Trust as required by Section 130 of ihe Acl: or
the accoun15 do not accord wilh those record5: or
the a¢counts do not comply with the applicable requiremenis concerning the forn) and conlent of accounts set
Out in the Charities (Accounts and Reports) Regulations 2008 oiher ihan any requirement that the accounts give
a true and fair view which is nol a matter considered as part of an independenl examination.
I have no concerns and have come across no other matters in conneclion with the examination io which atteniion should
be drawn in this repon in order to enable a proper understanding of ihe accounts to be reached.
Jane Cooksey
'I'hc Association ol- Lhartered Certified Accounianis
Jane Cooksey Limited
1.$116 Boarshursi Bus. Park.
Boarshursl Lane. Greenlield
Oldliam
l.ancashire
01.3 7ER
Date:
.l.oLfr.l.ts
Page 4

ST PETER'S HOUSE CHAPLAINCY
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 JULY 2024
2024
Total
funds
2023
Total
funds
Unrestricted
fund
Restricted
funds
Notes
IIYCOME AND ENDOWMENTS FROM
Donations and legacies
82.992
12,682
95.674
193,084
Charitable activilies
Chaplaincy activilies
5.000
Other trading aciivities
Invesiment income
Other income
47.324
879
1.350
47.324
879
1,350
312,467
763
Total
13? 545
12.682
145.227
511,314
EXPF.NDITURE ON
R(iisiiig luiids
1,478
1,478
167.344
Charitable activities
Chaplaincy activities
156.848
156.848
396,784
Other
2.168
2.168
1?,335
Totml
160.494
160.494
576.463
NET INCOMF./IF.XPF.NDITURF.)
(27.949)
12.682
(15.267)
(65.149)
RECONCILIATION OF FUIYDS
.1 olal I'unds bruubiil t"orward
45.758
1.791
47.549
112.698
TOTAL FUNDS CARRIED FORWARD
17.809
14.473
32.?8?
47.549
The notes form part of these financial statements
Page 5

ST PETER'S HOIISE CHAPLAINCY
BALANCE S14EET
31 JLLY 2024
2024
1.ot
fui)ds
20?3
To(al
funds
Unreslricied
fund
Restricted
fiiiids
Notes
CIIRRENT .4SSETS
Stocks
Debiors
Cash at bank
13
1.000
7,159
19.128
14.473
33,601
66.638
C.'REDITORS
Aiiii)tinls tallin{I due witliin oiie year
11..119)
(1.319)
(19,089)
:"I' CURRENT ASSEI'S
17.809
14.473
47.549
TOTAL ASSF.TS I,F,SS CURRENT
LIABILI'I'I Tr:.
17.809
14.473
32.282
47.549
NET ASSLTS
17,809
47.549
FLNDS
16
Unreslrieted funds
Re%lriclcd fiinds
17.809
14.473
45.758
TOTAI, Tr"(INDS
47,549
'l-lie fiiioiicial slalemeiiis were approved by the Board of 'frustees and auiliorised for iSSLie oli
J.¥ rl.:Afy.'l.....JL&3. .... and were signed on ils behalf bv-.
i Naden TrLlStee
The noies frjmi part of these financial statements
Page 6

ST PETER'S HOUSE CHAPLAINCY
CASH FLOW STATEMENT
F()R THE YEAR ENDF.D 31 JULY 2024
2024
2023
Notes
Cash flows from operatin2 a¢ttvities
Cash g)enerated trom operations
?6.228)
65,426)
Net cash used in operating aciivilies
26.2?8)
65.426)
Cash flows from investing activities
Sale ofiangible fixed a55eis
1,350
Nel cash provided by investing activities
1.350
Change in Cash and cash equivalenls in
the reporting period
Cash #nd ¢¥sh equivalents at the
beginning of the reporting period
(24.878)
(65.426)
58,479
123,90.5
Cash and cash equiv#lents al the end or
the reporting period
33.601
58.479
The notes fonn part of these financial statemenl5
Page 7

ST PETER'S HOUSE CHAPLAINCY
NOTES TO THE CASH FLOW STATEMENT
FOR THE YEAR EIYDED 31 JULY 2024
RECONCILIATION OF IYET EXPENDITURE TO NET CASH FLOW FROM OPERATING
ACTIVITIES
2024
2023
Net expenditure (or the reporling period (as per the Statement of
Financial Activities)
Adjustment5 for:
Depreciation charges
Profit on disposal of fixed assets
Decrease in siocks
Decreas¢/{in¢reasc) in debtors
(Decrease)lincrease in crediiors
(15 ?67)
(65,149)
1,154
(1,350)
1.000
7.159
17.770)
2,648
(4.843)
764
Iyel cash used in operations
26,??8)
65.4?6)
ANALYSIS OF CHANGES IN NET FUNDS
Ai 1.8.23
Cash flow
At 31.7.24
Net cash
Cash al bank
58,479
24.878
33.601
58,479
24,878
33,601
Total
58,479
24.878)
33,601
The notes fonn part of these financial statements
Page 8

ST PETER'S HOUSE CHAPLAINCY
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2024
ACCOUNTING POLICIES
Basis of preparing the financial statements
'I'he finanLial siaiemenis of ihe charity. which is a public benefit entity under FRS 102, have been prepared in
accordance with the Charities SORP (FRS 10?) 'Accounting and Reporting by Charities.. Statemeni of
Recommended Practice applicable lo charilie5 preparing iheir accounts in accordance with the Financial
Reporting Siandard applicable in ihe UK and Republic of Ireland (FRS 102) (effective l January 2019),.
'inancial Reporting Standard 10? 'The Financial Reporting Standard applicable in ihe UK and Republic of
Ireland, and the Charities Act 2011. The financial slalements have been prepared under the hislorical cost
convention.
Income
All inLome is recognised in the Statement of Financial Activities once the charity has entitlement to the tunds. il
Is probable that the income will be receiv￿. and Ihe amouni can be measured reliably.
Expenditure
LiabilitiLs are recognised as expenditure as soon as there is a legal or constructive obligation committing the
charity to Ihal expenditure, it is probable thal a Iransfer of economic benefits will be required in settlemenl and
Ihe (Imouni of the ubligTaiion can be measured reliably. Expenditure is accounled for on an accruals basis and has
been classified under headings that a￿re&late all cosl relaied 10 the category. Where costs cannol be directly
attributed lo particular headings ihey have been allocated to activities on a basis consislent wilh ihe use of
resources.
Tangible fixed Assets
Depreciation is prL)vided at the following annual rates in order to wrile off each asset over its eslimaled useful
life.
Fixtures and fitlings
250/0 on reducing balance
Stocks
Stocks are valued at the lower of cosl and net realisable value. after making due allowance for obsolete and slow
mi)ving ilems.
Taxation
Th¢ cliarily is exempt trom on its Charl￿ble activilies.
Fund aecountin%
Unrestricted tunds can be used in accordance with Ihe chariiable objectives at the discretion of the trustees.
Restricied funds can only be used for particular r¢siricted purposes within the objccls of the charity.
Restrictions arise when specified by the donor or when funds are rnised for particular restricled purposes.
Further explanation ol. Ihe naiure and purpose of each fund is included in the noles lo the financial slalements.
Pension c05t5 and other PU*it-retiremeni benefits
The Lharity operaies a delined conlribulion pension scheme. Contributions payable to Ihe charity's pension
schLme are charged to the Statement of Financial Activities in the period to which they relaie.
Page 9
Coniinued...

ST PETER'S HOUSE CHAPLAINCY
NOTES TO THE FINANCIAL STATEMENTS- conlinued
FOR THE YEAR EIYDED 31 JULY 2024
DONATIONS AND LEGACIES
2024
2023
Core grants
Donations
Legacies
82,806
186
190,548
2.536
95,674
193.084
OTHER TRADING ACTIVITIES
2024
2023
Rental Income
40,598
6,7?6
132.101
137,309
4,?08
?6,870
1.750
10.229
WholL'ne5S
The WelllHAF
Oiher income
Insurance claim
47,324
312,467
INVESTMENT INCOME
20?4
2023
Bank Interest R¢ceived
879
763
INCOMF. FROM CHARITABLE ACTIVITIES
2024
2023
Granis
5.000
Grants received, included in Ihe above. are as follows:
2024
2023
Covid grant
5,000
Page 10
continued.

ST PETER'S HOUSE CHAPLAINCY
NOTF.S TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 JULY 2024
RAISING FUIYDS
Other trading acttvities
2024
2023
Staff costs
Cafe costs
98.537
68.807
1.478
1.478
167,344
CHARITABLE ACTIVITIES COSTS
Suppon
costs (see
note 8)
Direcl
Cosls
Totals
Chaplaincy aciiviiie5
115.035
41.813
156.848
SUPPORT COSTS
Oiher
Other resources expended
495
Chaplaincy activities
41,813
42,308
TRUSTEES, REMUNERATION AND BENEFITS
There were no Irusiees, remuneration or oiher benefits for (he year ended 31 July 2024 nor for Ihe year ended
31 July 2023.
Trustee5' expenses
2024
2023
Truslees, expenses
459
10.
STAFF COSTS
20?4
2023
Wag7es and salaries
Social se¢uril)' costs
Other pension costs
96,362
6,425
3.071
298.454
23,079
19.765
105.858
341,298
Page 11
continued...

ST PETER'S HOUSE CHAPLAINCY
NOTES TO THE FINANCIAL STATEMENTS- Continued
FOR THE YEAR EiYDED 31 JULY 2024
io.
STAFF COSTS- eontinued
The average monthly number ofemployees during the year was as follows:
20?4
2023
Chaplaincy
Trading activities
12
No employees received emoluments in excess of £60.000.
COMPARATIVES FOR THE STATEMENT OF FINA]YCIAL ACTIVITIES
Unrestricted
rund
Restricted
funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donations and legacies
193.084
193,084
Charitable activities
Chaplaincy activities
5,000
5,000
Other irading¥ activities
Invesiment income
312,467
763
312.467
763
Total
511,314
511,314
EXPF.NDITURE ON
RaisinL fund5
167,344
167,344
Charitable aetivitie5
Chaplaincy aclivilie5
396.784
396,784
Other
12.335
12,335
Total
576.463
576.463
NET INCOMEI(EXPENDITURE)
(65.149)
(65,149)
RF,COIYCILIATION OF FUNDS
Total funds brouohl fon¥ard
110.907
1.791
12.698
TOTAL FUNDS C.ARRIF.D FORWARD
45.758
1.791
47.549
Page 12
coniinued...

ST PETER'S HOUSE CHAPLAINCY
NOTES TO THE FINANCIAL STATEMENTS- Continued
FOR THE YEAR ENDED 31 JULY 2024
12.
TANGIBLE FIXED ASSETS
Fixtures
and
fittings
COST
Ai l Augiust ?0?3
Disp05a15
10,943)
Ai 31 July 20?4
DEPRECIATION
Ai l Auliusl 10?"
Elim inaied on disposal
10.943
10.943)
At 31 July 2024
IYET BOOK VALUE
Al 31 July ?024
Ai 31 July 2023
13.
STOCKS
2024
2023
Sii)cks
1,000
14.
DEBT()RS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Trade debtors
PrcpaJ'm¢nts and accrued income
3.780
3.379
7,159
15.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
?023
Trade creditors
Taxation and social security
Oiher creditors
4,873
10,?9?
3.9?4
1,319
1,319
19,089
Page 13
continued...

ST PETER'S HOUSE CHAPLAINCY
NOTES TO THE FINAIYCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 JULY 2024
16.
MOVEMENT IN FUNDS
Net
movement
in funds
Al
31.7.24
At 1.8.23
Unrestricted funds
General fund
45.758
(27,949)
17,809
Restricted funds
Student Hardship Fund - overseas
Student Hardship Fund - local
l¢tlieringloii Meinorial Fund
135
135
14,019
319
12.682
319
1,791
14.473
TOTAL FUNDS
47.549
15.?67)
Nel movemeni in funds. included in the above are as follows:
Incoming
resources
Resources
expended
Movement
in funds
Unrestricted funds
G¢'n¢r<il lund
132,545
{160.494)
(27,949)
Restricted funds
SiudLI)1 14ards1)ip Fund - local
12.68?
1?,68?
TOTAL FUND.S
145.2?7
160.494)
15 ?67)
ComparAtives for moi'emenl in funds
Net
movement
in funds
At
31.7.23
Ai 1.8?2
U nreslricted fund5
General fund
110.907
(65.149)
45.758
Kestricted funds
SiudLnl Hardsh ip Fund - overseas
SiudLnl Hardship Fund - local
Heiherin&Jtc)n Memorial Fund
135
1.337
319
135
1,337
319
1.791
1.791
TC)TAL FIJNf).S
1 1? 698
65.149)
47.549
Page 14
continued...

ST PETER'S HOUSE CHAPLAINCY
N()TES TO THE FINANCIAL STATEMENTS - eontinued
FOR THE YEAR ENDED 31 JULY 2024
16.
MOVEMENT IN FUNDS- continued
Comparative net movemenl in funds. included in the above are as follows:
Incoming
resources
R¢sources
expended
Movement
in funds
Unrestricted funds
GenL'ral t-und
511.314
(576,463)
(65,149)
TOTAL FUNDS
511.314
576,463)
65.149)
A current year l ? months and prior year l? months combined p051tion is as follows:
Net
movement
in funds
At
31.7.24
At 1.8.22
U nrestricted funds
General fund
110,907
(93,098)
17,809
Restricted funds
SiudL'ni I lard5hip Fund - overseas
Siiidenl F4ard5hip Fund - local
Heiherin&¥ion Memorial Fund
135
1,337
319
135
14.019
319
12.682
1.791
12,682
14,473
TOTAL FUNDS
11?.698
80.416)
A current year 12 monihs and prior year 12 monihs combined nel movement in funds. included in the above are
as follows..
Incoming
resources
Resources
expended
Movement
in funds
Unrestricted funds
General fund
643,859
(736.957)
{93,098)
Restricted funds
Siudi'ni Hardship Fund - local
12.682
12,682
TOTAL FUNDS
656.541
736.957)
80,416)
Page 15
continued...

ST PETER'S HOUSE CHAPLAINCY
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 JULY 2024
17.
RELATED PARTY DISCLOSURES
There were no related party iransactions for ihe year ended i l July 2024.
Page 16

ST PETER'S HOUSE CHAPLAINCY
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 JULY 2024
2024
2023
INCOME AND ENDOWMENTS
Donations and legacies
Core gran15
Donations
Legiacies
82,806
186
12,682
190.548
2.536
95,674
193,084
Other trading activities
R¢nial Inc()Ine
40.598
6,726
132,101
137.309
4.?08
26,870
1.750
10,2?9
Wholeness
'rhL WelllFIAF
Other incoin¢'
Insurance claim
47.324
31?.467
Investment income
Bank Inieresi Received
879
763
Charitable activities
Cjranls
5,000
()ther income
Gic in on sale ol- langFible fixed assets
1.350
Tol#l incoming resources
145,227
511.314
EXPF.NDITURE
Other trading activities
Social security
Cale pensions
Cafe costs
8.834
4.438
68.807
1,478
1.478
167,344
Charitable activities
Trustees, expenses
Wages
Social security
Pension5
PosiaL7e and stationery
Advertising
Cli￿?￿7a1n￿ Prngramme Fund
459
193.470
96.362
6.4?5
3,071
2,553
14,370
4.138
1.015
15,035
246.022
This page does not forni part of the slalutory financial statemenis
Page 17

ST PETER'S HOUSE CHAPLAINCY
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED31 JULY 2024
2024
2023
Charitable activities
Other
The Well costs
,673
10,648
Support costs
Management
Deprecialioii of tangible and heritage assels
1,154
Finance
Bank charges
443
Other
19.719
Soci411 security
Pensions
Insurance
l.ighi and hedi
Repairs and renewals
RL'luse and cleaning
Prolessional lees
orriLe hardwarelsoftware
Sundries
Accounianis remuneraiion
957
6,806
11.774
4.318
860
16.351
883
15?
1.164
19,086
57,3?0
7,??8
27.114
2.795
479
1,687
4?,308
150.852
Total resources expended
160.494
576,463
Net expenditure
15?67)
65,149)
This page does not fonn part of ihe slalulory financial statements
Page 18