REGLSTEREDCOMPANY P4UMBER: CEOIZ275 IEnBland and Wale51
REGISTERED CHARITY NUMBER: 1174749
UNAUDITED FINANCIALSTATEMENTS FOR THE YEAR ENCIED 31 DECEM8ER 2023
FOR
OPEN AIR CAMPAIGNERS {GDI
Garbetts Ilowl Dmrted
EXCha￿e House
St Cross Lane
Newoort
We of Wight
P030 5BZ

OPEN AIR CAMPAIGNERS1681
CONTENTS OFTHE FINANCIALSTATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2023
Report ofth•Trust
I to 4
Ind•p•nd•nt Examln•r's R•wt
Stat¢ment of Flnandal Actl¥bO•s
8•lano Sheet
Notès to thè Flnanclal Ststements
9 to 14
Detslw Statem¢nt of M￿n¢141 A¢tlvltles
15 to 16

OPEN AIR CAMPAIGNERS IGB)
REPORTOF TrFE TRIASTEES
FOR THEYEAR ENDED31 DECEIABER 2023
The trustees who are also dtrectots of the tharlty for the purposes of the Companies Art 21￿, present their report
with the financial statements of the charity for the year ended 31 December 2023. The trustees have adopted the
provisions of Accounting and Reporting by Charities.. Statement of Re￿mmended PractFce applicable to charities
preparing their accounts in accordance with the Financial Reporting Stsndard applicable in the UK and Republic of
Ireland IFRS 1021 leffertive l January 20191.
08JEcfivES AND AcllvmES
Objectlve5 and 4lms
The oblett of the Soc*ty las laid down in its rule51 Is..
o a￿ance the Gospel of Jesu5 Chrtst by all means lyjt wthtsut preiudke to tho 8enerallty of the foregoln8 to do 50
particularly by open air ewdn8eltsm.'
Thls Is MO￿ usualty SUMM￿ up by th• motto "Presentkn8 chr￿ by all means e¥erywhere- and provlded thè impetus
for all the work planned by the ewangeltsts durlng 2023.. princlpally, the organisation of re8ular gospel presentatHins in
busy publi¢ areas. but abo in ￿￿01 vtsits and other oppominitres as they arose.

OPEN AIR CAMPAIGNERS {GBI
REPORT OF ThETRUSTEES
FOR THEYÉAR ENDEO 31 DECEMBER 2023
AcHIEvEMEP￿ AND PERFORMANCE
Charltable actlvbt*s
It was a yeai of the Coronation of a new SOVer￿8n for the OAC5 work involves telling people of the Unlversal
sovereign who was mentioned in the Coronation Service throughout in word and song at We5tmin5ter Abbey for Kin8
Chartes111 on 6th Mav.
The year also stsrted with a new Natlonal thrector and new Genw31 Seurtary.
There are at present 6 Trustee5 on the Natlonal Councll Ixln8bn8 a raw of exWIen￿ and expertise to the
National Council Meetings that take pla¢e on'zoom.
Now the Councll has made OAC GB compliant wtth new g(Nemment leglslation and the change to a CIO, we are now in
P05Ition to focus more fully on developing a strnte8k plan. We have made some good progress towards thls alm in
2023.
All evangelists 3re now self-employed. Newty retired evangellsts contlnue some work on a voluftiary basls. Other
volunteers consist gf Ass15tant Evongelssts. School Workers and A5$0dates. At th15 Ume we have three tralnees. When
thelr training Is completed thls will be followed by a tommissionin8 servitt for each one. This gives an opportunlty to
promote the work of OACGB to many people attendin8.
In additlon. there a￿ Ilnks wfth 18 count￿•5 In europe and Afrits to en¢oura8e and traln those who have a heart for
evan8ellsm. Moreover, there are many more people partk1patI￿ by wpportlng and encouragln8 the above personnel
In thelr outreach work e.& city<entre team4 branch comffljtteesl 5UPPOrt 8roups and prayer warriors.
There are two core artivities, one of which Is open-air gospel Presentations using the sket¢hboard In towns and
city-¢entres up and down the UK. The other tore a¢tlvlty15 pre5entln8 the gospel to childieTr In prlmary and serondary
schools, often uslng the sketchboard, where annualty, many thousands of chiltlren are reached with the Good News.
other a¢tlvlties, clubs and children mlsslons, church based mlsslons, prbsons and shlp work In presentjng the gospel in
various formats e.g. magic, puppets. story telling. All these were mainly ¢urtalled through most of 2021.
However, more and more of the evan8eltst are producing 805pel presentstions wa the Iniernet, foi example, usin8
YouTube, Facebook. Instagram, Podcasts and Zoom. Plans are belrB made lo gfve tTalnin8 to evan8ellsts where and
when appropriate, In'producing" such presentatiorL%.
Trainlng'the saints, Is now an Integral part of OAC'S wor*. Courses are organlzed and tsil¢)red to local ¢hurche5 on
many aspects of evan8elism. Moreover, courses are run fc* colle8es and other evan8elistic or8anisations as well as
regional courses in Cardiff and London for streetwlse. training people to use the sketthboard for presentlng the
Gospel. Moreover, the training work is now taking place by means of uslnB z¢)om and encouragin8 more tralnees wtth
up to 60 per course.
Yhere are atso Ilnk% wlth other ￿ngeli511¢ enten)rtses. e4. London iJty Mission and K180 Con￿rning mission work.
These Include the Go MhssSon for London and Brlghton Frln8e Mission.
Conferences are held to insplre, en¢oura8e. share, pray. together and exchange Ideas and besi prartI￿. These Included
the Prayer Conference (Springl. European Conference Ibi-8nnual1 and the Evangdist Confefence (Autumnl with a
varlety of good speakers and good at￿fidante. Finally. there Is the International conferen￿ held every four years.
gain, these conferences took place where po55ible on zoom. with no la￿t0-face possible.
Pa8e 2

QPEN AIR CAMPAIGNEIIS {GBI
REPORTOF ThE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2023
I would like to thank very muth. everyone invotved with the OACGBft)r thelr¢ommknient to the work in all the various
creaiwe alternative ways that they dearly convty the Gospel Message. I would like to thank e5pecialty. the nèw
Natlonal Oirettor and the new General Secretary for all their hard worl partlcularly the thallenBe of rai5in8 the profile
of OAC. through marketing and the social media. l ¥•L)uld like to thank thè Training Director on his innovative work in
developin8 toolboxes for training purposes and hls recnjitment and trdin1￿ wcffk. Flnalty, I would like to thank the
Daily Prayer Note Secretary. DBS coordinat￿. NatKJnal Accounts Manager for all their work in helpin8 to make OAC
operate effectively and economicalty. All thls work took again through another unpreredented year, a8aln often
by innovatNe means.
Some issues to be consldered forthe year ahead 2024 to attract new money. new people and new partnefs.
a. Continue to ralse the prt)file USI￿ soclal media usln8 Facebool TW￿ter. Insts8ram. YouTube. Zoom, Podcasts.
b. Develop a stratw for 8rowth e.& partner1￿ Local ￿urCheS thmu8h Interrthlp. Ilnkln8 wlth Blble Colleges and
UCCF wlth Summer Internship.
May we all know the Lord's Wlll In the COMI￿ year arKI let US 8lve HIM thanks for the past 55 years of bulldln8 UP the
OAC Ministries, knowin8 the Lord Is at work here In the UK In many dlfferent ways. We know that people need to hear
the Good News tyfthe Gospel.
For from hlm and throu8h him and to hlm are all thSngs. To him be the glory forever. Amen.
IRomans 11:36 Esvil
Graham Worden. OACGB Chalrman
FINANCIAL REVIEW
ReseN•s pollty
As at 31 Oe¢ember 2023 reserves stood at £395.769 (2022:£4￿.447l Includln8 an endowment fund of £18,165
12022.'£16,6361
Most of the Sodèly's reserves are held in working balances within each branch. Endowments and central funds surplus
to Smmediate requlrements are mana8ed so a5 to achieve 3 8ood return whilst remaSnift8 secure. The Councll have a
policy of encoura8ln8 bran¢hes to malntaln adequate reser¥es for their operational needs. but not to maintain
excesslve reserves. A similar policy Is applied at Natlonal tevel.
sTRU￿URE. GOVERNANCE AND MANAGEMENT
Governlng document
The charity is controlled by 8o¥ernlng dowmenL 4 deed of trus¢ and consUtute5 ? lIff￿ted company. Ilmhed by
¥uarantee, as defined by the Companles Art 2(MlS.
The charity is Charltable Incorporated lknanlsation (CIO) Re8iStered tharlty Number.. 1174749.
Recrultm•nt and appokntmentol newtruste
New touncil trustees are recrutted by Fersonal invitati￿. or by being nominated ￿ an OAC IGBI branch, and are
usually brought into the Council initialty by belng cw)ted until the next AGPL
REFERENCE AND AOMINISTRATIVE DETAILS
Reglstered Company number
CE012275 IEngland and W31esl
Reilstered Chaflty number
1174749

FOR THE YEAR ENDED31 DECEMBTh2023
W8y5ide
Churth Lane
Lower Moor
Pershore
Worcesterthire
WR102PJ
Truste
GWordeTh
H tri8hton
N Durden
D Njoro8e
M l Getley
G H Becklntham {apwnted U.ts2J)
Astephens
Gafbetts {IOW) Urntted
Exthan8e House
St Cross ia
Newport
Isle of Wlght
P030 SBZ
G Warden-

INDEPENDENT EXAMINERS REPORT TO ThE fRusfEES OF
OPEN AIR CAMPAIGNER516BI
Independènt •xaminer¥ report tothe trusteÈs of OPEN AIR CAMPAIGNERS {GB} {*he Company,)
I report to the charity trustees on my examiA*ion of the accounts of the Compafty for the year ended
31 December 2023.
Re$ponslbllltle5 and basls of report
As the charity's trustees of the Company land also its directors for the purposes Df company lawl you are responsible
forthe p¥eparatlon of the accounts in attordante wth the requirements of the. Companies Act 2CKJ6 l*hè 2006 Act'l.
Havlngsatithed myself thatthe accx)unts of the Company are not requlred to be audited under Part 16 of the 2006 Act
and are eli8ible for Kndependent examinatlon, I report ift respect of my èxamlnatlon ot your charltvs accounts as
Carried out under SectKTrn 145 of the Charltie5 Art 20111'the 2011 Act'l. In carrying out my exaMI￿tion I havè followÈd
the Dirèrtions given by the CharityComnNssion under Section 145151 Ib} of the 2011 Act.
ItNlep0r*derrt examlner's statèment
I have completed my examinatlon. l ¢onllrm that no rnatters have come to my attentlon in comection wtth the
examination giving rne cause to believe..
accounting record5 were not kept in respect of the Company 3$ required by Sectlon 386 of the 2006 Att. or
the accounts do not actord wlth those record5'. or
the accounts do not tomply wlth the accounting requirements of SectSon 396 of the 2006 Act other than anv
requlrement that the accounts give 3 true and fair view which 15 not a mattel considered * p?rt of an
independent examiftatit)n.' or
the accounts have not been prepared in attordance wlth the methoils and prlnciple5 of the Ststement of
Rétommended Practice for accounting and reportln8 by charities (applicat￿e to chaTities preparing thelr
a¢counts In accordance wth the Nnandal Reportin8St?ndard applicable in the UK3nd Republlc of Ireland (Ffts
10211.
I have no concerns and have come across ftD Other matters in Eonnection wSth the examlnAtlon to whlch attehtion
should be drawn in this report in order to enable a propEr understandlng of the accounts to be reached.
Mark P2Xtcn
Gart)etts IIOW) Llmtte
ExchanEe House
5t Cros5 Lane
Newptsrt
151e of Wight
P030 5BZ
Date..
.15...o.o£o.Ikr
Page S

OPEN AIR CAMPAIGNERS (GB)
STATEMENT OF RPW4aAL ACTIVMES
FOR THE YEAR ENDED 31 DECEMeER Xf13
2023
Total
fvnds
2022
Total
fvnds
unrestri￿ Endowment
fund
fund
INCOME AND ENDOWMENfs FROM
Donatlons and legacies
71530
71530
159,123
Investment income
3.165
3.16S
I,OLX)
Total
75,695
75.695
160,123
EXPENDITURE ON
Charltaljle arthltl•s
Advancin8 the Gospel of leyjs Chrlst
87.325
87,325
68.318
Other
577
S77
770
Total
87302
87,902
69,088
Net gainslllossesl on investments
L529
1,529
12,1891
NET INCOMEIIEXPENDITUREI
1112071
1.529
110.6781
88.846
RECONCIUATION OF FUNDS
Total funds brought forward
389￿11
16.636
406,447
317,601
TOTAL FUNDS CARRIED FORWARD
377.604
18.16S
395,769
406.447
The note5 form part ofthese finanaal ststements
Pa8e 6

OPEN AIR CAMPAIGNER5 IGB)
BALANCE SHEET
31 DECEMBER 2023
2023
Total
funds
2022
Total
funds
Unrestricted Endowfflent
fund
Notes
FIXED ASSErs
Tangible asset5
Investments
L732
L732
18.165
2.309
16,636
.165
1.732
18.165
19.897
18.945
CURRENT ASSErs
Debtors
Cash at bank
205,998
172.386
203,148
186,039
172386
378.384
378.384
389,187
CREDITORS
Amounts falling due withln one year
115121
115121
IL6851
NET CURRENT A55ETS
375A72
375.872
387,502
TOTAL ASSETS LESS CURRENT UABIUTIES
377.604
18,165
395,769
406,447
NEf ASSETS
377,604
18,165
395.769
406.447
FUNDS
Unrestrlcted funds
Endowment fun(ts
io
377.604
18,16S
389.811
16,636
TOTAL FUNOS
395,769
406,447
The ¢harltable company Is entttled to exemptlon from audot under Section 477 of the Companle5 Art 21YJ6 for the year
ended 31 December 2023.
The members have not requlred the company to obtsln an audit of Its finan¢ial 5tstements for the year ended
310e¢ember 2023 Sn accordance wlth Section 476 of the CompaniesAct 2CIJ6.
The trustees acknowledge their re5ponslblllties for
lal
ensurin8 that the charriable company keeps accountlnB rec￿d$ that compty ¥Ath Setth)n5 386 and 387 of the
Companles Act 2tt6 and
preparing financial statements whKh 8r¥e a t￿￿ and falr brfew of the stste of affalrs of the charltable companv
as at the end of each financial year and of its surplus or (leficit for each financial year in accordance with the
requirements of Section$ 394 and 395 and whith otherwise cornp￿ with the requirements of the Companies
Act 2tl)6 relating to financlal staiements. 50 fdr as appllcable to the charitable company.
Ibl
The notes form partofthesefinanoal ststements
Page 7
tontinued...

OpEP4 AIR ¢ApaP￿ IGBI
iALANCES•ftEf.
31 DecEMBEA
These fmaneial stsiefftents ha¥e been prepared In accDrdano with the pro¥lslorts appkble th tharttatse ￿MpanI
5vbJect to Ihpsmall comparfes rtylm&
The fin
I staiements were appro￿￿ boanl ol Tntstee% ￿ •thristyl for ljsw o
G Wofden-
The notes form part ofth* r￿n￿l

OPEN AIR CAMPAIGNERS IGBI
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2023
AccouTrmNG POUCIES
Ba51s of pr•parlnithe fmn¢bl ststements
The financial Statements of the charttable compary. thith 15 a pul￿￿ benefit entlty under FRS 102. have been
prepared in accordance wlth the Charities SORP IFRS 1021'Attounting and Reporting by Charities.. Statement of
Re¢ommended Practice applicable to charities preparin8 theif accounts in attordance with the FSnancSal
Reporting Standard applicable in the UK and RepU￿1C of Ireland IFRS 1021 (effective l January 20191,, Financial
ReportFn8 Standard 102 The Nnancial Reportin8 Standard applicable in the UK and Republk of Ireland. and ihe
Companies Act 20[￿. The financial ststements have been prepared under the historlcal cost cortventlon. wtth
the exception of investments whkh are Sncluded at market valuÈ.
In¢ome
All Income is retO8nlsed in the Statement of Ananelal A¢tlMtie5 once the charlty has entltlement to the hjnds, It
is probable that the Income will be re¢ei*d and the amount can be me35ured reliablv.
Expendftur•
Uabllities are re¢o8nised as expendlture as soon as there is a or c0rstrL￿* obll8atlon commlttlng the
charlty to that expenditure, It Is wobable that a tran51Èr of economlc beneflts wlll be required In settlement
and the amount ol the obli8ation can be measured reliably. Expenditure is accounted for on an accrtsals basls
and has been classified under headlnB5 that a88re8ate all cost related to the ¢ate80ry. Where costs Cannot be
dlreetty atiilbuted to partlcular headlw they have been allocated to actlvltles on a basls conslstent ¥￿t￿ the
use of resources.
Tan8lble ftxed ass•ts
Depreclauon Is provlded at the foJl¢)wln8 annu￿ fdtes In order to wrlte off ea¢h as￿ over its estlmated useful
Plant at)d machinery
25% on redudng balance
Taxatlon
The charlty 15 exempt from corporatkni tax on its charitsble actlvlde&
Fund attountt
Unrestricted funds can be used in accordance wth the tharltable objecti￿$ atthe d￿[retIon of the trustÈe5.
Restricted fijnds can onty be used for partkutar restrlcted wrposes wlthln the objects of the charlty.
Restrictions arfse when speofied by the donor or when fijnds are rnlsed for partKular ￿StrICted purpose5.
Further explanatlon of the nature and purpose of each fund Is Induded In the notes to the finan¢ial ststements.
cononued...

OPEN AIR CAMPAIGNEPS {GBI
NOTESTO THE FINANCIALSTATEMEPIt5- conllm*d
FOR THE YEAR ENOED 31 DECEMBER 2023
INVESTME1￿ INCOME
2023
2022
Oep051t account interest
3,165
1,000
NET INCOMVIEXPENDITURE)
Net incomellexpenditurel Is ststed after thargi￿{c￿lI1ns}.
2023
2022
Depreciation. owned assets
577
770
TRUSTEES, REMUNERATION AND BENEFITS
There wefe no trustees, rernuneraUon or other be￿rits for the yeor ended 31 December 2023 nor for the year
ended 31 December 2022.
Trustees, •xp8ns•s
There were no trustees, expense5 pakl for the year ended 31 December 2023 nor for the year ended
31 December 2022.
CCthIPARATIVES FOR THE STATEMENTOF FINANaALXTMTIE5
Unrestrfcted
fund
Enflowment
fund
Total
funds
INCOME AND ENI)OWMEP475 FROM
Donations and legacies
159.123
159,123
Investment Income
LIJOO
Total
160,123
160,123
EXPENDITURE ON
Charltablo actl¥ltle5
Advancbng the Gospel of Jesus Chrlst
68.318
68.318
Other
770
770
Totsl
69,088
Net 8alnslllossesl on investments
12,1891
12,1891
NET INCOMVIEXPENDtruREI
91.035
12,1891
88.846
Page 10
continued...

OPEN AIR CAMPAIGNERS (GB)
NOTES TO THE FINANCIAL STATEMElllS- conthwed
FOR THE YEAR ENDED 31 DECEMBER 2023
COMPARATIVES FOR THEsfAfEMENfoF FINANCIALXTivmES. contlnuÈd
Unrestricted
fund
Endowment
fund
Total
funds
ECONCIUATION OF RINDS
Totsl funds brought forward
298.776
18.825
317,601
TOTAL FUNDS CARRIED FORWARD
389.811
16,636
406,447
TANG18LE FIXED ASSEIS
Plant and
machlnery
COST
At l January 2023 and 31 December 2023
9,729
DEPRECIATION
At l January 2023
Charge for year
7A20
577
At 31 December 2023
7,997
BOOK VALUE
At 310ecember 2023
1,732
At 31 December 2022
2,309
FIXED ASSET INVESTMENTS
2023
2022
orher
18,165
16,636
There were no investment assets outslde the UL
Investments Inelther Ilsted nor unllgiedl were as follo*s
2023
2022
COIF Investment fund
18,165
16.636
Page 11
tontinued...

OPEN AIR G4MPAIGNERS IG8>
NOTES TO THE FINANCIAL STATEMENTS- ￿rtInU￿1
FOR THE YEAR ENDED 31 DECEMBER 21)23
DEBTORS: AMOUNTS FALLJP4G DUE WITHIN ONE YEAR
2023
2022
Gift ald reclalmable
Other debtors
Prepayments
4.148
I99,￿
199,050
205,998
203.148
CREDITORS: AMOUPnS FALLING Dl￿w￿N1x ONE YEAR
2023
2022
Acuued expenses
1512
1.685
io.
MOVEMENT IN FUNDS
Net
movement
in funds
At
31.12.23
At 1.1.23
unr•str1rt￿ funds
General fund
389.811
1112071
377,604
Endowment funds
Endowment fund
16,636
1.529
18,165
TOTAL FUNDS
406.447
110.6781
395,769
Net movement In fvnds. included In the abo%* are as follows..
IncomlrvJ
re50ur¢es
Resources
expended
Galns and
losses
Movement
in funds
Unre5trfct•d funds
General fund
75.695
187.9021
112,2071
Endowment funds
Endowment fund
1,529
1.529
TOTAL FUNDS
75.695
I87,￿12)
1,529
110,6781
Page 12
continued...

OPEN AIR CAMPAIGNERS (GB)
NOTES TO THE FINANaALSTATEMENTS- co•rt%nued
FOR THE YEAR ENDED 31 DECEMBER 2023
io.
MOVEMENT IN FUNDS. contkn
Comparatlves for mo¥ement In Iwjds
Net
rnovement
In funds
At
31.12.22
At 1.1.22
Unre5trlcted funds
Gener?1 fund
298.T16
91,035
389,811
Endowment fvnd$
Endowment fund
18.825
12,1891
16,636
TOTAL FU14DS
317,601
406.447
Comparative net movement in funds, Induded In the ats0￿ are a5 follows:
Incomfin8
Resouros
expended
Gains and
Movement
IA fund5
Unrestrfrted fund$
General fund
160,123
169.0881
91,035
Endowm•nl fvnds
Endowment fund
12.1891
12,1891
TOTAL FUNDS
160,123
169,Wl
12,1891
88,846
A current year 12 months and prior year 12 monttrs ¢omblned posftion ts as follows:
Net
movement
In fvnds
At
31.12.23
At 1.1.22
Unre5trlctqd funds
General fund
298.776
78,828
377.604
Endowment fvnds
Endowment fund
25
16601
18.165
TOTAL FUNDS
317,601
78.168
395.769
¢ontinued...

OPEN AIR CAMPAIGf4ERS IGBI
t40TESTO TrIE FINANCIALSTATEMENTS. wntlnued
FOR THE YEAR ENDED 31 DECEMBER 21Q3
io.
MOVEMENT IN FUNDS- contlnued
A current year 12 months and prior year 12 montrs comblned net Move￿ In fvnds, Induded in the above
are as follows..
Incoming
rÈsources
Re50ur
expended
Gains and
losses
Movement
In funds
Unr•strl¢t•d funds
General fund
235.818
li56.￿)
78,828
Endowment lunds
Endowment fund
16601
16601
TOTAL FUNDS
235A18
1156.99))
16601
78.168
ii.
RELATED PARfi D15CLOSURES
There were no related party tran5artions for the year ended 31 December 2023.
Page 14

OPEN AIR CAMPAIGNERS (G81
DETAILED STATEMENT OF FINANCIAL ACTNMES
FOR THE YEAR ENDED 31 DECEMBER 2023
2023
2022
INCOMEAND ENDOWMENrs
Donatlonsand legad•s
Glfts
Gift aid
uildin8 fund- Romanla
Conference fee income
Mlsc income
49,349
12.741
4,116
6.ID)
224
140,374
3.742
7,852
211
72.530
159,123
Inv•stm•nt In¢om•
Deposit account interest
3.165
T¢)tsl IncomlnB resource5
75,695
160.123
EXPENOITURE
Ch4ritsbl• actlvlt1•5
Insurance
Postage and ststlonery
Sundries
ConsultanLy fees
Genefal Secretary fees
Conference & transport GB
Mission overseas
Travel & sub51Sten¢e
Grants to other OAC5
Subscription5
Trainin8 8rants
Other grants
958
658
35
43,353
L418
930
390
35,388
3,OLKJ
8,185
2,839
514
4,914
228
875
4,125
4.971
11,393
2.527
3,815
9,243
81761
62.806
oih•r
Plant and ma¢hlnery
577
770
Support costs
Flnance
Bank charges
147
232
Govemanc• cos1$
Accountanty costs
Carrled forward
1,710
1,710
1,662
This page does notfom part ofthe statutw finanaal thtements
Page IS

OPEN AIR CAMPAIGNERS IGBI
D￿AlLED STATEMENT OF FINANaALAcrivmES
FOR THE YEAR ENDED 31 DECEMBER 2023
2023
2022
Governance costs
Broughi forward
Charity admin costs
National account manager fees
1,710
175
3,532
1.662
375
3,243
S,417
5.280
Total resources expended
87,￿2
69.088
Net lexp•ndlturelllncome beforeiakn5 and
losses
112,2071
91.035
R•alls•d recosn15ed lalns and lo55es
Rèalised Bainslllossesl on fixed asset
Investments
1,529
12.1891
Nèt lexpenditurelllncom•
110.6781
88.846
Thi5 page does not tom part ofthe statutory financial ststements
Page 16

OPEN AtR CAMPAIGNERS
SUMMARY OF ACCOUNTS TO 31 DECEMBEiiX)13
statement of F.
Adiyitieg
2(122
Donations, gfts and covenants
62J
147J18
75h95
160,123
Ex
Consultancy
Depreciation and amounts writt￿ off ￿ets
Conference and public transFrt)rt (UK)
Overseas outreath and travel
Support of OAC overseas
Office costs
Other expen
3353
7A98
11393
3I15
8k*99
4,￿4
Jo
15y8
,9)2
Unrealised Caln on investnwil
(11891
lus
0￿78
88I46
Fixed
19897
18,945
Bank/cash
Debtors
186,a39
203,148
378J84
389,1S7
Accruals and loan5
12
1ffl5
375m
3875)2
395,769
4CbA47
Fund
Re5trickd fund. capital a)d(Nmert
3771AM
18,1&5
389111
16M6
395.769
406A47
For further information the full arnUal￿unts and examiners reF￿rtcan be obtsined from.. Open Air Cpmpaigners,
Wayside, Churth L￿e, Pershoe, worces￿e. WRIO 2P1