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2022-07-09-accounts

Hazie Days Annual Report and Accounts 10/7/2021 until 09/7/2022

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

During this financial year the charity began running face to face activities. Due to infection control rules with in our local hospital we have closed our Care Pack Scheme indefinitely and will focus on activities and events. These enable us to fulfil our chairitable objectives of reducing isolation and building confidence and self esteem. We have been self sustained this financial year by the surplus due to our closure in 2020-2021

Financial
Income
Donations 115.01
event donations 4.92
Funding Bid 3000
loan 0
Mechandise sales 0
Refund 0
Petty Cash 0
TOTAL INCOME 3119.93
outgoing
Care Packs 0
equipment 41.4
fundraising 910
general stationary 0
insurance 168
Management cost 28.98
petrol 0
postage 0
Publicity 0
refreshments 0
rent 2289.09
staff training 0
Events 1021.56
travel 0
Venue Hire 0
Wages 0
TOTAL 4459.03

PROFIT