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2022-05-31-accounts

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@aces~Repor
SWaeswN Afhendal AaIMIlea
b~a Sheca
IWaaa laOe AeaouNa 7to1G
(~ad SMsnert af Rnasdal Adivilies

Statement offrlnancl ~IActivities
for the year ended 3110612022
2022 2021
Unrestricted Restricted
funda funds
E K
Income
Income fnxn generated
funds
income from charitable
activities
33
Total Income and endovrrnents 33 33 54
Exp»s»ee
Coeh, ofgenerating
funds
Expenditixe
on
GhaNable activities 94 94
Total Expenem 94 94
Net INbas on Inveetrnenta
Net Income (61) (61) (40)
Galnall(loeaee) on revaluation offixed assests
Net movement ln funds:
Net Income for the year (61) (61) (40)
Total funds brought
forward
3,310 3,310 3,350
Net funds carried forward 3,249 3,249 3,310

SALANCE SHEETA T 21/ON2022
2022f 2021
CURRENT ASSETS
Cash et bank end In hend 3,248 3,309
3,248 3,309
NET CURRENT ASSETS 3,248 3,309
TOTAL ASSETSLESSCURRENT UASILITIES 3,248 3,309
CAPITAL AND RESERVES
3,248 3,309
3,248 3,309

Expenses
for the year ended 31/05/2022
2021
Exponaca
Coats ofgenerating funda
Charitable ActhriNea
Seals ofthe Charity
Resaxces Expended Charitable Activities 1 94
94
94