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2021-07-09-accounts

Hazie Days Annual Report and Accounts 10/7/2020 until 09/7/2021

Our Objectives remain true to our constitution of 2014, which are:

During this financial year the charity was unable to provide face to face services and relied on delivery of care packs to homes to continue our work due to the Covid 19 global pandemic. Due to the closure of the charity in 2019-2020 we were able to use some financial surplus to fund Care Packs.

As the charity has no paid staff or overheads there was no detrimental impact of this closure on the financial stability of the charity.

Our aims for the 2021-2022 financial year includes being able to safely reopen face to face services in line with Government guidelines .

Account Summary 20202021

Income
Donations 120.05
event donations 0
Funding Bid 400
loan 0
mechandise sales 0
Refund 0
Petty Cash 0
TOTAL INCOME 520.05
outgoing
Care Packs 892.8
equipment 142
fundraising 0
general stationary 69.64
insurance 0
Management cost 0
petrol 0
postage 48.11
Publicity 0
refreshments 0
rent 694.56
staff training 25
Events 168
travel 0
Venue Hire 0
Wages 0
TOTAL 2040.11

PROFIT