| Page No. | ||||
|---|---|---|---|---|
| Reference and administrative | details ofthe charity, | its Directors and Trustees | ||
| Annual Report |
||||
| Independent Examiner's |
Report | 5-6 | ||
| Statement of Financial | Activities | |||
| Balance Sheet | ||||
| Notes to the accounts | 9-11 |
| Unrestricted | Unrestricted | ||||
|---|---|---|---|---|---|
| Funds | Funds | ||||
| 2022 | 2021 | ||||
| Note | 6 | 6 | |||
| Income | |||||
| Income from | |||||
| charitable activities |
50,681 | 69,298 | |||
| Total income | 50,681 | 69,298 | |||
| Expenditure | |||||
| Expenditure on |
|||||
| charitable activities |
(40,365) | (74,141) | |||
| Total expenditure | (40,365) | (74,141) | |||
| Net (expenditure) | /income | and net | |||
| movement in funds |
10,316 | (4,843) | |||
| Total funds brought | forward | 16,678 | 21,521 | ||
| Total funds carried | forward | 5 | 26,994 | 16,678 |
i_- THE SHINE FOR SHAt41 CtrkAR1TA FQUNOATION BALANGE SHEET FOR THEYEAR ENOED 31 DECEMBER 21Y22 2022 2021 CurTent assets Cash at Bank 26,994 18,67 Current Habllttlg Amounts dutr wlthin one year ¢rEdtt5 16.678 18.678 NBt ass 26,994 16.678 ThefdS of the charity. Unlesliied funds 16.678 Total funds 18,676 The ¢ompanywas eadI0 exEriitsn autht uthS477 ofthe cUMp9S Act2006 latlng to small lY1}sn. Thg rnemtws have llot ryjued tho (rytD oiaKI an audlkn a[dance wlh S476 01th9 ompanies Act 2006. The direraoE5 a¢knowledgo thetr respon51kn forcmptyirtg wffh the requiremerts ollhe ¢ompans ALt wlth raspert ree41rds and the prepatiC ofthe accoutrtS. These acwunts have been Prepad in accoldae thB provtslon5 appfKableto smal comp4ntes sectIO IhesThH regune and in wRh FRS102 SORP. The ffnancial s&ile on pgges 7t0 11 vRre apw*wd bylhe Ttee$ forts5ue on 27 October2023 SLBemian Dlrectorgnd J R Berman DirBCtorand TFUStee pagE55_6 httys".IIoulook.IIv8.conmawA0kJ)AwATEryyWMTrkn rx687589h2LDqZIAQC6mWBy%2... 111
| 2 | Income from | charitable | charitable | charitable | ||||
|---|---|---|---|---|---|---|---|---|
| activities | ||||||||
| 2022f | 2021f | |||||||
| Income from events Other donations and fundraising |
activities | 35,446 15,235 |
43,045 26,253 |
|||||
| 50,681 | 69,298 | |||||||
| 3 | Expenditure | on | Charitable | activities | ||||
| 2022f | 2021f | |||||||
| Bank charges Event costs Donations paid Printing, stationery, |
and website | fees | 15 1,850 38,500 |
45 2,227 71,466 403 |
||||
| 40,365 | 74,141 |