REGISTERED CHAIUTY NUMBEIL. 1168538
ort of th Trugt
yond
Flnan¢lAI StatemeDt8
for the Ye*r Ended 31 March 2023
or
Refu
ce Info Bug
Roy Pinnock & Co LLP
Chartered Certified Accountants
Wren House
68 London Road
St Alban8
Hertford3hire
ALI ING

efu
ee
nfo Bu$
ontents of the Flnanelal Stat
ment
or the Year Ended 31 March 2023
Pige
Report of the Trujte
I to 5
Independent Ex•mlner'i Report
S¢*t*ment of FlnxDdal A¢tlvltlei
Bal*n¢e Sheet
Notes to tbe FIDan¢lo1 Statements
9 to 15
Detslled Statement of Flnanclal A¢tlvlde$
16 to 17

Refu ee Info Bus
ort of the Trustee$
for the Year Ended 31 March 2023
The tn￿te¢S present their report with the financial slotem¢nts of the charity for the year lo 31st MaTch 2023.
The financial statements have b¢cn pr¢par¢d in a¢¢ordance with the accountin¥ policies set out ther¢in and
comply with the charity's governing document. applicable law8 and Accounting and Reporting by Chanties..
StAtement of Recommended Practice(SORTr), applicablc to Charities preparing their accounts in accordance
with the Financial Reporting Standard of the UK and Ir¢land(FRS102). The charity is con8titutcd as
Charitable Incorporat￿ Organaisation.
OWECTIVES AND ACTIVITIES
Objectives and alms
The mission of Refiigee Info Biis is as follows..
l) To promot¢ human riBhts (as set out in the Universal D¢claration of Human Rights and subsequeni Urtited
Nations convention5 and dcclar8tions) by all or any of th¢ following means..
' Raising awareness of human rights i88ue8
Promoting public support for human rights
' Promoting respect for human rights amon8 individua15 and corporations.
In furtheran¢e of that obj¢ci but not otherwise. the t￿￿te¢S shall have power to engage in political activity
provid¢d that th¢ trustees are satisfied that the proposed a¢tivili¢s will further the purposes of the charity to an
exlent justified by the resources committed and the activity is not the dominant means by which ¢he charity
ca￿leS out its objects.
2) To relieve the needs of people WIM) are displaced as a result of war, na￿ra1 disaster. trouble or ¢&tagtrophe.
by the provision of facilities and equipment for communication and access to inforniation.
We have carried out our mission through the following activities:
We Are dedicated to supporting refijgees on the move, or who have just arrived in northern France. with up-
dat¢ and accessible inforniation, free Wifi. phone char8ing and basic phones.
On the ground. we operdle out of a minibus visiting Several sltes around northern France. W¢ provid¢ battery
charging boxes and wifi for seryice ￿￿er8 to charge devices and ilse the inlernel (or commiini¢ation And tn
access information
SiEnltl¢ant actlvltlei
MlJ$lon
Our mission is for refu8ee8 to have aw¢$$ to the rights and privileges that many take for granted.
ActI￿lIeS
On the ground, we operate out of a mobil¢ bus. with foldable trestle tables and gazebos.
Online, we have a strong following of service users who request inforniation from us in Farsi and Arabic, 8tJJ
growing number of p¢opl¢ messaging in AMh￿Ic, Tigrinya. Oromo and Urdu, siretching from Gernw]y
to Iraq. Turkey. AfEhanistan ond L¢banon (Note.. social media platfoms do not provide statistics from inside
Iran Syria)- Through our online videos and services, we are able to reach thousands of displaced [￿ople.
Page I

Refu
ee Info Bu
ort of the Truslee$
for tbe Year Ended 31 March 2023
Publ1¢ benefit
R¢fug¢¢ Info Bus is A public ttnefit ¢ntity. Th¢ board of trustees have complied wilh Swtion 17 of the
Charities Act 2011 lo have given due regard to th¢ Charity Commission's guidance on public benefit and
believes thai Refug¢e Info Bus fulfils the principles laid OUL
Contrlbu¢lon made by volunteers
Volunteers ¢orry out the majority of Refu8tt Info Bus, octivitics on the ground and online. They are provided
with training and are 5UPPOrted by the board of ttustees. No value of their service has been included in th¢
accounts as no reliable valuation could be obtained.
ACHIEVEMENT AND PERFORMANCE
Wlfl And Ch*r8ln8
During the year we ¢onlinued lo operate our mobile wifi bus five days a weck acr055 a range of sites. providing
inlernet access gnd phone ch&r¥ing facilities. Our technologry can comfortably deal with around 100
connections at any one time. This create5 a space where refugees can sit and relax for a few hour8 each day>
chattin¥ with friends, sharing music. playin8 ¥ames. or 8oinin8 access to our other servic￿. W¢ also provide
phone plu8s, cables and sim cards.
New Arrlval Guld
This year we have c1)ntinu￿ to produce o New Arrivul Guide (NAG) for Service users. These guides include
inforniation on the right to family reunion. the asylum system. financial support and inforniation on wh¢r¢
peopl¢ ¢an get help and supporf, including food and 8howers. Th¢se are transla￿d into nine language8 that the
service users in northern France use and arc regularly updgted to in¢lude ¢h4nges lo serYi¢es.
We haye received feedbBek from organisations operating in these areas and from displaced people rega￿1ng
thc u¢ility of these guides and how important th¢y ar¢ in orienting new, often vulnerable people to ac¢e98
essential services.
FINANCIAL REVIEW
Flnanclal Revlew
Our principal funding sources continu¢ to b¢ small and medium sized trusts al￿ foundatio￿8, 08 well as
individuul giving. Our income for th¢ year to 31 March 2023 was £52.036 (2022: £92,721).
ReBerYes pollcy
At the Ye￿ end we have totsl fijnds of £29.343 (2022: £33.287). Our unre8tri¢t¢d fr¢¢ reserves are £18.907
(2022: £22.85]).
Our reserves poli¢y is to hold three months of operational ¢ost$ which for the year ahead amounts to £ 3000.
W¢ have th¢r¢forc met our reserves policy.
We do not have an investment policy. All funds are received and kept in the bank account until they are spent.
Page 2

Ref
ee Info Bu$
Re
ort of the'frustees
for the Year Ended 31 March 2023
FINANCIAL REVIEW
Golng concern
Aft¢r making appropriote enquiries. Ihe tThstees have a reasonable ex￿ctatIon that the CIO has adequate
resources to continue in operational exi5tcnc¢ for the for¢s¢¢able fjjture. For this reason, they continue to adopt
the going concern basi5 in prwinB the finallcial statements.
FUTURE PLANS
Re5trncture Future Plannlng
Th¢ last few months of 2022 brought many challenges for Refugee Info Bus and we undertook a strategi¢
review io consider how to sustain high4]uality services for Ihe vuln¢rabl¢ individuals who were displaced in
and around Calais and how to addrcss sorn¢ of the problems we were facing. With many fantaslic organisaiions
workin¥ to¥ether with common goals. the spirit of co.operation and collaboration has long b¢en a wonderful
feature of working in Nonh¢rn Fr￿Ce. We recogni5ed thai we had become in¢reA$inBly dependent on support
from Fren¢h-based organisations and, after a suggesiion by our ground team, we undertook a trial period in
early 2023 under which som¢ of our usual services w¢r¢ delivered by our previous ground team under Ihe
management of L'Auberge Deb Miwn114. We thrilled ilwi iliis was exUYii)ely 8ukncessful alid il)al some of
the services which R¢fug¢¢ Info Bus otTered will be delivered undrr th¢ naTn¢ of Channel Inforn)ation Project
(CHIP), a proj¢ct which come& under the m8na@enienl of L'Auber8e Des Migrants. CHIP and L'Auber8e Des
Migr&nts are completely independent of Refugee info Bus. W¢ look forward to supportin¥ both CHIP and
L'Auber8e De8 Migrants as they continue their important work.
Future Pl4nJ
Refugee Info Bus continues to be committed to working wherever there are rethgees who nccd our services.
The board is exciied by the opportunity to continue serving this community in a new way and is undergoin8 a
review of how Refugee Info Bus can be b¢sl plhced to do thi8 and wh#t regniir¢e.i it requirex tt) deliver ihiA.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governln8 doeument
The charity is conirolled by its goyerning document a Constitution of a c.haritable In¢orporRl¢d Organis81ion
(CIO) dated 1st Auwl 2016.
Recrultment and appolntment of new trustees
New twstees are appointed for tenns of th￿¢ years at any fomial meeting of tru8tee8. There is a limit of three
con5eculive ternis to ensure div¢r5ity, rhall¢n8¢ and new thinking. New trustees are providcd with the late81
annuai report. organi88tional annual plans, recent accounts and current budget. Th¢ Chair provides a
substantive induction r¢¥arding 8overnan¢¢, ¢ompliance and operations of th¢ organisalion.
Page 3

Refu
ee Info Bus
ort of the Trustees
ror the Year Ended 31 MArch 2023
STRucfuRE, GOVERNANCE AND MANAGEMENT
Organlsailonil 8trn¢tsre
Governance
The governan¢c of the charity is provided by theboard of tn￿teeS who meet ev¢ry two wecks. We are fortunate
to have k board of trustees with skills and experience from a range ofbackgrounds in the humanitarian and
private sectors.
Recrultment And qppolntment of new truJtee8
New Irustee$ are appointed for temis of thre¢ Y￿lS at any fomwl meeting of Irusiees. There is a limit of three
conse¢u¢ive ternis to ensure diversity. challenge and new thinking. New trustees are provided with th¢ latcsl
annual report, organishiional annual plans. recent accounts and current budgel. The Chair, ￿ well LS the team
on the ground provide a 8ubstantive induclion regarding governance, complianee and operntion8 of the
organisation.
Operatlons
The d&ily operations of Refugee Info Bus are guided by the Project Managerwho oversees a team of volunl¢¢rs
in Trrance. The team is mad¢ up of a core ¥roup of roles which includes a Field Coordinator, Comrnuni¢ation$
& Fundraising Coordinat()r, Lnfomlalion Coordinator and Technolo￿ Coordinator, as well as g¢n¢ral
volunteers.
RemunerA¢lon of StatT
Refuge¢ Info Bus has no paid employees.
Donors
We would like to express our gratitude to our generous donor9 during the year. including:
Evan Cornish, The Persula Foundation and The Farthing Trust, as well as several private donors.
We could not do our work without you and our achi¢v¢m¢nts ur¢ your 8chievements.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Company Tr￿Mber
CE007196 (England and Wal¢s)
Registered Ch*rlty number
1168538
Reglstered offl¢e
PO Box 28652
Edinburgh
EH4 9EX
Page 4

Refu
ee Info Bus
rl of the Trustee$
for the Year Ended 31 M4T¢h 2023
Trustee$
Ms L Dark (resigned 30.11.22)
M Skipsey Co- Chair
C Price
J William8
M Mahmoudi
L Butler Co- Chair (resigned 30.11.22)
K Smart (resigned 30.11.22)
Independent Examlner
Roy Pinnock & Co LLP
Chartered Certified Accountants
Wren House
68 London Road
St Albans
Hertfordshire
ALI ING
GOING CONCERN
After making appropriate enquirie8, the tru8tees have a reasonable expectation that the CIO hp¥ ud¢qu¥t¢
resources io continue in operational existence for the foreseeAble future. Forthis r¢4son. th¢y ¢ontinu¢ to adopt
the 80in8 concern bASiS in P￿parIn8 the financial statements.
Approv¢d by ¢yder of th¢ board of tru5tee8 on JJ.1-21 And signed on lis behatf by..
C Price- Trustee
Page 5

Ind
endent Examlner's Rc
ort to the Trustees or
Refll
oe Info Bus
Independent exlmlner'i report to the trustees of Refugee Info Bus ('¢he Company,)
report to the charity trustees on my exAmitYdtioll of th¢ aroounls of the Company for thc year ¢nd¢d
31 M4r¢h 2023.
Responilbllltles and bigli of report
As the charity'5 truslees. you are responsiblc f￿ the preparation of the 4¢count8 in accord￿ with the
r¢quir¢ments of thc Charities Act 2011 ('the Acl,).
I report in respect of my examination of the Tru5tee'5 accuunls carried uut under section 145 ofthe 2011 Acl
and in carying out my examination I have followed 811 the applicable Directions given by the Charity
Commi88ion under 8¢Ction 145{5)(b) of the 2011 Act.
Independent examlner'i •tAtemen¢
I have completed my ¢xominotion. I confirm that no mAtt¢ts have Come to my attention in eonne¢tion with the
examination giving me ca￿e to believe:
accounting records wcre not kept in re8kXCt of the Compony 8$ requircd by Section 386 of the 2006
the accounts do not accord with ihose record5; or
the accounts did not comply with the applicable requirements concerning the fom and ¢ont¢nl of
8c¢oiints yct out in the Charilie8 (Accounts and Repons) Re¥ulaiions 2008 other than any r¢quircm¢nl
Ihai ihc occounL8 give a 'tyue And fair, view which is noi & matt¢r ¢OnSidw￿ as part of an independ¢nt
examination.
I haye no concerns and have come acruss no oihcr mullcrs in ¢onneLlion with the examination lo which
attention should be drawn in this reporl in order to enable a proper understandin8 of the accounts lo be reache(L
N4tali¢ Coleman FCCA
Roy Pinnock & Co LLP
Ch4rler¢d Certified A¢¢ountants
Wren House
68 London Road
St Albans
Hcrtford5hiT¢
ALI ING
D4*.. 23rd J.anuary. 2024
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Refu
ee Info Bus
St#tetDent of Financlal Activities
for the Year Ended 31 March 2023
31.3.23
Total
fvnds
31.3.22
Total
funds
Unrestsicted Restricted
funds
nds
Not
tNCOME AND ENI)OWMENTS FROM
Donations ond legaci¢s
EXPENDITURE ON
Chgrlt•ble #ctlvlties
to provide wifi and teehnology to refugees
50.878
55.878
78.795
Other
102
102
804
Totil
NET INCOMEI{EXPENDITURE)
(3.944)
(3,944)
13,122
RECONCII,IATION OF FUNDS
Totsl funds brought forward
22.851
10,436
33,287
20,165
TOTAL FUNDS CARRIED FORWARD
The notes form part of th¢se fmanciAI 8tstements
Pag¢ 7

Refu
ee Info Bus
B*lance Sheet
31 March 2023
31.3.23
Total
funds
31.3.22
Total
funds
Unrcslrictd Restricted
fimds
Notes
FIXED ASSETS
Tangible gssets
533
533
711
CURRENT ASSETS
Debtors
Cash At bank
402
34.031
10.436
29.784
19.348
10.436
29,784
34.433
CREDITORS
Amounts falling du¢ within one year
(974)
(974)
(1.857)
NET CURRENf ASSETS
TOTAL ASSETS LESS CURRENT
LIABILITIES
18,907
10,436
29.343
33.287
NET ASSETS
FUNDS
Unrestricted fund$
Reslricted funds
18,907
22,851
TOTAL FUNDS
The financial statem¢nly were approved by the BoardofTru8tees and authoris¢d for i$$u¢ on ga-l .24 and
were signed on its behalf by:
C Pri¢¢ - Tn￿te¢
Pag¢ 8

Refll
ee Info Bus
Notes to the Fin*nci&l Statements
for the Year Ended 31 March 2023
ACCOUNTING POLICIES
Bnsls of preparlng the finAnel*l 8tatemen¢s
The financi¥41 statements of the Charitable CIO. which is & public benefit entity under FRS 102. have
been prepared in accordance with the Charities SORP (FRS 102) 'Accouniing and Reporting by
Ch8riti¢s'. Statement of Recommended Practice applicable to chariti¢s pr¢paring their accounts in
accordance wilh ihe Financial Reportin¥ Stsndard applL¢Able in th¢ UK and Republic of Ireland (FRS
102) (effectiv¢ l JAnuary 20191,. Financial Reporting Standard 102 The Financial Reporting Standard
applicabl¢ in the UK and Republic of Ireland,. The financial staternents hav¢ been prepar¢d under the
hhstorical cost convention.
Colng coneern
Afi¢r makin8 appropriate enquiries, the iTUStees have a reasonable expectation (hal the CIO has adequate
resources to continue in operational existence for ih¢ for¢s¢eable fvtyre. For this reason, they continu¢
to adopt the going concern basis in prepArin8 the financial statements.
Income
All income is recognised in the Statemeni of Fitw)¢ial A¢livitie8 once the charity has entitlem¢ni ¢0 th¢
funds, it is probable that ihc income will be received and the amount can be mea&ured reliably.
Expendlture
Liabiliti¢s are recognised as expenditure As soon as there is & legal orcon5tructive obli8ation ¢ommitting
the charity to that expenditure, il is probable that a transf¢r of ¢¢onomic benefits will be required in
settlement and the amount of the obligation can be measured reliably. Exp¢ndilure is accounted for on
an accnwls basis and has been classified under headings thAt aggregate all c051 related to the category.
Where ¢osts cannot be directly attributed to particular headirt8S they have been allocated to ￿tIvItieS
on a basis ¢onsistent with the usc of rcsources.
T#nglble flxed *JJets
Depr¢ciY4tion is provi(kd 4t the followinB annual rates in order to write off each a58el over its eslirnatcd
U8efvl life.
Motor vehicles
250/0 on reducing balance
T*x*tion
The charity is exempl from ¢orpor8tion tax on its charitable 8Ctivities,
Fund Accountlng
Unreslricted ￿ndS can be used in accordance with the charitable d)jective8 al th¢ di8cr¢tion of the
trustees.
Restricted fund5 can only be usd for ￿rtICUlar re$trict¢d purposes within the objects of the chaTity.
Restrictions arise when sp￿lfied by the donor or when fijnds are raised foT particular restricted
purposes.
Further explanation of the natur¢ and purpose of each fund is included in the notes lo the financial
statements.
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Refu
ee Info Bus
Notei to the Finanelal Statements- cotttinued
for the Year Ended 31 MArch 2023
NET INCOMEI(EXPEIYDITURE)
Net incom&l(expendiÉure) is stated after chargingl(crediting):
31.3.23
31.3.22
Indqjendent Examination
Depreciation . owned assets
983
178
909
237
TRUSTEES, REMUNERATION AND BENEFITS
There werc no trustees, remunerntion or other benefits for the year ended 31 Mar¢h 2023 nor for th¢
year ended 31 Mur¢h 2022.
Tru5teeJ' expen￿8
Th¢re were no tNstees' expenses paid for the year ended 31 March 2023 nor for the y¢ar ended
31 Merch 2022.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
un￿￿trICted Restricted
funds
funds
Total
fimds
INCOME AND ENDOITrTrIENTS FROM
Donations and le8aci¢3
EXPENDITURE ON
Ch4rlt•ble act1￿15*8
to provide wifi and technology lo
refu¥¢cs
78.795
78.795
Other
804
Total
NET INCOME
13,122
13,122
RECONCILIATION OF FUNDS
Totsl fun(L4 brought forward
9,729
10,436
20,165
TOTAL FUNDS CARRIED
FORWARD
22,851
Page 10
continued...

Ref
ee Info Blls
Note$ th the Flnanclal Statements - continued
for tbe Year Ended 31 M*reh 2023
TANGIBLE FIXED ASSETS
Motor
v¢hi¢les
COST
Al l April 2022 and 31 March 2023
DEPRECIATION
At l April 2022
Charge for year
3,284
178
At 31 MArch 2023
NET BOOK VALUE
At 31 March 2023
533
At 31 March 2022
711
DEBTORS: AMOUNTS FALLING DUE ￿THIN ONE YEAR
31.3.23
31.3.22
Other debtor8
402
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3.23
31.3.22
Social stturity and other taxes
Oth¢r ereditors
Accrued expenses
722
226
909
974
974
Pag¢ 11
continued..

Ref
ee Info Bus
Notes to the Fingncial Stalement8- eontlnued
for the Ye#r Ended 31 Marcb 2023
MOVEMENf IN FUNDS
Net
movement
in funds
At
31.3.23
At 1.4.22
Unrestricted funds
Genernl fi￿d
22,851
(3,944)
18,907
Re8trlc¢ed fundg
Gr¢¢¢¢ Proj￿¢
UK Leg81 inforniation and Facebook
Messaging Service
9.640
9.640
796
796
10,436
10.436
TOTAL FUNDS
33.287
Net movemenl in fund8. included in the above are as follows:
In¢oming
resources
R¢souw¢3
expended
Mov¢m¢nt
in funds
Unreitrlcted fuodi
G¢n¢ral fund
47.036
(50,980)
(3.944)
Re8trl¢ted
Mobile Charging Service
5.000
(5.(th)
TOTAL FiiNDS
Page 12
continue(L..

Refu
ee Info Bus
Noteg to the Flnanefi￿ Statements- continued
for the Y￿r Ended 31 M*r¢h 2023
MOVEMENf IN FUNDS- Contlnued
Comparntlvefj for movement In funds
Net
movement
in fill￿8
Al
31.3.22
At 1.4.21
Unrestrlcted fund6
G¢n¢rni fi￿d
9,729
13.122
22.851
Rostrleted fundi
Greece Project
UK Legal tnfomiation and F8c¢book
M¢3sagin8 Swvic¢
9,640
790
796
10,436
10.436
TOTAL FUNDS
Comparative nel mov¢m¢nl in fi￿ds, Includ￿ in the above as follows..
Incoming
resources
Re3ourc¢s
expended
Mov¢m¢nt
in funds
Unreitrlcted fvndi
General fimd
92.721
(79.599)
13,122
TOTAL FUNDS
79 599)
P4ge 13
continue(L..

Refll
ee Info Bus
Notes to the Financial St¥Jtements- continued
for the Year Ended 31 Marth 2023
MOVEMENf IN FUNDS - CDntlnued
A curttnt year 12 monihs and prior year 12 Tnonlh5 combined positlon is as follows:
Net
movement
in funds
At 1.4.21
31.3.23
Unrestrlcted funds
General fund
9,729
9.178
18,907
Restrlcted fundg
Gr¢¢¢e Project
UK Legal Inforniation and F8cebook
Messaging Service
9,640
9,640
796
796
TOTAL FUNDS
A ¢urr¢nt year 12 months and prior year 12 months combined net movement in funds. included in the
above are as follows..
Incoming
resources
Resources
expended
Movement
in funds
Unrvtrlcted fund$
General fund
139.757
{130,579)
9,178
Restrl¢¢ed funds
Mobile Ctwging Service
5,000
(5,000)
TOTAL FUNDS
144757
(135 579)
Northern FrAnce Project Co8t$:
To facilitate ongoing costs of our project in Northern France, which Includ￿ volunteer8tipends* printing
costs, petrol, wifi, and van maintenance.
Greece Project Costs".
To fa¢ilitst¢ Costs of our project in Oreece, whicb includes volunteer expensesj printing costs* p¢troL
equipm¢nt and volunteer accommodation.
UK Leg*] Information and FAcebook Mes$&glng Serv1¢¢:
Translation costs, volunteer stipends, equipment. travel and facebook ads.
Pag¢ 14
continued...

Refu
ee Info Bus
Notu to the Fln•n¢lal Statements- continued
for the Year Ended 31 March 2023
RELATED PARTY DISCLOSURES
There were no related pgrty trawgaction8 for the year ended 31 March 2023.
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Refu
ee Info Bus
Detalled St¥tement of Finarjcial Aetivitiey
ror the Year Ellded 31 March 2023
31.3.23
31.3.22
INCOME AIYD ENDOWMENTS
Don8t10￿ 4nd le8ade8
Donations
Grnnts
22.336
29,7(KJ
26,569
52.036
92,721
Total Incomlng r￿oUrceS
52,036
92,721
EXPENDITURE
Ch*rltible attlvlde
Accommodation
Voluntecr Expenses
Motor Expenses
Travel ¢xpen5es
Wifi and International Phone Callins
Setvi¢¢
Electric SyslemB
Equipment
office ¢onsumobl¢.8
Translation & legal info video
Reimbursement of Cultural Mediators and
Translators
Courier
Infom￿110rt Justice Project
Solar Powered Mobile Battery PAck$
6,612
22,343
3.399
122
8,607
38,001
4,332
1,105
5.073
517
2,435
.695
1.571
6,355
2.106
7,173
241
104
43.405
70,308
Other
Bank charges & int¢r¢5t
102
567
Support ¢oJts
Management
Wage5
Insurance
Li¥hl and heat
Advertising
Motor expenses
Office Costs
Carried forward
(722)
2,441
586
457
339
43
5,253
6,193
8,917
11,222
This page does noi forn] part of the statutory financlal ststements
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Refu
ee Info Buy
Det#iled Statement of Fln*ncl81 Actlvl
for the Year Ended 3
March 2023
31.3.23
31.3.22
M•nagement
Brought fonvanl
Subscriptions
Recruitmenl ¢￿t
Int¢rnei
bAotor vehicles
11222
90
6.193
272
168
237
178
11,4
7.815
GoverD•nce eoits
Auditors, r¢mun¢ration
983
909
Total r¢8ouTC¢B ex￿nded
Net {expendlturn)Ilneome
This page does not forni part of the statutory financial stat¢m¢nts
Page 17