| Charity information |
|---|
| i~~n |
| Organksatlon |
| ObJectives ancia~ties |
| A&fev~nfs aMP8'~ance |
| Hnandai RevieM |
| independent examiner*s report on the accounts |
| Statement ofFinandai Activities |
| Balance Sheet |
| Notes tothe accounts |
•tht •¢uwnts hm been prep•red In •ccwdince the Ch•rttl•s SOAP IFA5102). I no concern and toft)e acrcAs no other matters In connertlon vlth th• eXamInatk to wthlth attentlon should be dr•wn In thts repon In to en•ble • yopw undetstanth of the accounts to b• reach. f LAT Iq 6Ar£ 66 No£ *éAQ SOVTlPTO £015 2NU
| incoming resources | |
|---|---|
| Nonwxchange transacUons |
31,358 |
| ExchBAge 'transactions | 4,588 |
| Total incoming resources |
|
| Surp/us/(deficit) for the year |
4,932 |
| Brought forward from previous year | 38,645 |
| Carried forward M~ August 2622 |
| creditors: amounts | falhng | 6 |
|---|---|---|
| due vrithin Dne year | ||
| Net current assets | ||
| CreditDrs: arnDunts | faHing | 7 |
| due aWr one year | ||
| Total Charity Funds |
| Non-exchange transactions |
|
|---|---|
| 2022 | |
| Donations from ciients |
8,757 |
| Grants | I5912 |
| Other donations | 246 |
| Sponsorship | 6,609 |
| Gift aid Income | 734 |
| Practitioners | |||
|---|---|---|---|
| Special events | costs | ||
| Venue hire | |||
| Uniforms | |||
| Other direct costs | |||
| AdÃllnl~ve | expenses | ||
| 2922 | |||
| Bank charges insurance |
80 607 |
||
| Software | 1,269 | ||
| Pnnting costs | 486 | ||
| Depreciation Website |
1,404 j23 |
||
| Health and Safety | |||
| Entertainment | |||
| Admin fees | |||
| Accountancy | fees | ||
| Other costs | |||
| Brought forward from previous | financial year | ||
| Surplus/(deficit | for the year) |