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|||||Page No.|
|---|---|---|---|---|
|Reference and administrative||details ofthe charity,|its Directors and Trustees||
|Annual<br>Report|||||
|Independent<br>Examiner's|Report|||5-6|
|Statement of Financial|Activities||||
|Balance Sheet|||||
|Notes to the accounts||||9-11|





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|||||Unrestricted|Unrestricted|
|---|---|---|---|---|---|
|||||Funds|Funds|
|||||2022|2021|
||||Note|6|6|
|Income||||||
|Income from||||||
|charitable<br>activities||||50,681|69,298|
|Total income||||50,681|69,298|
|Expenditure||||||
|Expenditure<br>on||||||
|charitable<br>activities||||(40,365)|(74,141)|
|Total expenditure||||(40,365)|(74,141)|
|Net (expenditure)|/income||and net|||
|movement<br>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
¢rEdtt￿5
16.678
18.678
NBt ass*
26,994
16.678
Thef￿dS of the charity.
Unleslii￿ed funds
16.678
Total funds
18,676
The ¢ompanywas e￿a￿dI0 exEriitsn autht uthS477 ofthe cUMp￿9S Act2006
latlng to small ￿lY1}sn￿.
Thg rnemtws have llot ryjued tho (rytD oi*aKI an audlkn a￿[dance wlh S476 01th9
ompanies Act 2006.
The direraoE5 a¢knowledgo thetr respon51kn forcmptyirtg wffh the requiremerts ollhe
¢ompan*s ALt wlth raspert￿ ree41rds and the prepa￿tiC￿ ofthe accoutrtS.
These acwunts have been Prepa￿d in accolda￿e thB provtslon5 appfKableto smal
comp4ntes s￿ectIO IhesThH regune and in wRh FRS102 SORP.
The ffnancial s&ile￿ on pgges 7t0 11 vRre apw*wd bylhe T￿￿tee$ forts5ue on
27 October2023
SLBemian
Dlrectorgnd
J R Berman
DirBCtorand TFUStee
pagE55_6
httys".IIoulook.IIv8.con￿mawA0￿k￿J)AwATEryy￿WM￿Trkn
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|2|Income from|charitable|charitable|charitable|||||
|---|---|---|---|---|---|---|---|---|
||activities||||||||
||||||||2022f|2021f|
||Income from events<br>Other donations<br>and fundraising|||||activities|35,446<br>15,235|43,045<br>26,253|
||||||||50,681|69,298|
|3|Expenditure|on|Charitable||activities||||
||||||||2022f|2021f|
||Bank charges<br>Event costs<br>Donations<br>paid<br>Printing,<br>stationery,|||and website||fees|15<br>1,850<br>38,500|45<br>2,227<br>71,466<br>403|
||||||||40,365|74,141|



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