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|Charity information|
|---|
|i~~n|
|Organksatlon|
|ObJectives ancia~ties|
|A&fev~nfs aMP8'~ance|
|Hnandai<br>RevieM|
|independent<br>examiner*s report on the accounts|
|Statement ofFinandai Activities|
|Balance Sheet|
|Notes tothe accounts|





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•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
SOVT￿l￿PTO
£015 2NU

## 

|incoming resources||
|---|---|
|Nonwxchange<br>transacUons|31,358|
|ExchBAge 'transactions|4,588|
|Total incoming<br>resources||
|Surp/us/(deficit)<br>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|||





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|Non-exchange<br>transactions||
|---|---|
||2022|
|Donations<br>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<br>insurance|||80<br>607|
|Software|||1,269|
|Pnnting costs|||486|
|Depreciation<br>Website|||1,404<br>j23|
|Health and Safety||||
|Entertainment||||
|Admin fees||||
|Accountancy|fees|||
|Other costs||||
|Brought forward from previous||financial year||
|Surplus/(deficit|for the year)|||



