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|||Index||
|---|---|---|---|
||||Page|
|Legal and Administrative||Details||
|Trustees Annual<br>Report|||2-3|
|Accountants'|Report|||
|Receipts and|Payments|Account||
|Statement of|Assets and|Liabilities||





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||Unrestricted|Unrestricted|
|---|---|---|
||Funds|Funds|
||Year end|Year end|
||31-Mar-23|31-Mar-22|
|||f|
|Receipts|||
|Donations||70,222|
|Exchange gain|5,603||
|Totalreceipts|5,603|70,222|
|Payments|||
|Accountancy|2,100|600|
|Bank charges|22|1|
|Internet services|1,221||
|Exchange loss||1,029|
|Total Payments|3,343|1,630|
|Excess/(Deficit) ofreceipts over payments|2,260|68,592|
|Cash and bank balances at 1April 2022|74,218|5,626|
|Cash and bank balances at 31March 2023|76,478|74,218|





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||2023|2022|
|---|---|---|
||E|E|
|Assets|||
|Monetary Assets|||
|Cash at bank|76,478|74,218|
|Liabilities|||
|Accountancy fees|(600)|(2,100)|
|Total assets|75,878|72,118|



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