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|Charity<br>Information|||
|---|---|---|
|Trustees Report|||
|Independent<br>Examiner's||Report|
|Receipts &Payments|Account||
|Statement ofAssets|and|Liabilities|
|Notes to the Financial|Statements||





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||||2023|2022|
|---|---|---|---|---|
||||8|8|
|~Reca<br>ts|||||
|Gifts and donations|||44,082|34,285|
|Total receipts|||44,082|34,285|
|~Pa<br>ants|||||
|Rent|||14,094|6,200|
|Travel|||2,052|2,407|
|Catering<br>and refreshment||costs|10,488|7,051|
|Cleaning|||310|269|
|Music and equipment|costs||2,268|2,794|
|Repairs, maintenance|and|insurance|526|720|
|Printing<br>and Stationery|||931|563|
|Professional fees|||1,486|970|
|GIRs and services|||7,380|3,777|
|Total payments|||39,536|24,752|
|Net receipts/(payments)||||9,533|
|Cash funds at 1 April|2022||14,809|5,276|
|Cash funds at 31 March||2023|19,355|14,809|











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