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





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||||Statement offrlnancl ~IActivities|||||
|---|---|---|---|---|---|---|---|
||||for the year ended 3110612022|||||
|||||||2022|2021|
|||||Unrestricted|Restricted|||
|||||funda|funds|||
|||||E|K|||
|Income||||||||
|Income fnxn generated<br>funds||||||||
|income from charitable<br>activities||||33||||
|Total Income and endovrrnents||||33||33|54|
|Exp»s»ee||||||||
|Coeh, ofgenerating<br>funds||||||||
|Expenditixe<br>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<br>forward||||3,310||3,310|3,350|
|Net funds carried forward||||3,249||3,249|3,310|





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|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|





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||||||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|



