REGISTERED CHARITY NUMBER: 1181003
Unaudltod Finanelal
forthè Year E ded 3
Doc bor 2022
for
nstttute for Su
tainabla
Mandèr Durfiii
hartered Accountants
The Old Post Office
4143 MaTk8t Plac•
ChiPpenh￿n
Wittshire
SN15 3HR

Inst
fo Sustslnable Phllanthro
Co tents of the Flnanclal Statements
r the Year End
31 December 2022
Pagg
Report of the Trustee5
Independent Examinorfs R•port
Stat•ment of FlnanGlal Actlvltles
Balance Sheet
Cash Flow Statement
Notes to the Cash Flow Statement
Note8 to the Flnan¢lal Statemonts
10 to 14
D•talled Statsmont of Flnanclal Acttvltles
15 to 16

'tute for Sustalnable Phllanthro
Re
ort of the Trustees
forthè Year Endéd 31 D8c8m
2022
The trustees present their report wrth the finandal statements of the charity for the year ended
31 December 2022. The Iruslees have adopted the provisions ol Accountr"ng and Reporting by Charities..
Statement of Recommended Practice applicable to ¢hartbes preparing their accounts in accordance with the
Financial Repotting Standard apPI￿able in the UK antl Reputsl￿ of I￿land IFRS 102} leffective 1 January
20191.
OBJECTIVES AND ACT]VITIES
Objectivès and aims
The purpos88 of the Instituto For Sustainabkn Philartthropy (IFSP) arB'.
To advance educallon for the public benefit in the tschnlques and skilL8 ol philanthropy, enabling eharitro8
and other nonprofit bodies to increase their funding to further thair ¢harrtab19 purposes. We do this by..
Condueling research through th8 lèns of phiJanthr¢)pic psy¢hobgy into philanthropy and fundraising,. and
Providing ￿UCation, training 8nd 8UPPOrt to enable all stakehoklers lo utilvze tho emerging sclence that
we and othef8 generat8.
The In5tilule exists lo grow personally mèaninglul philanthropy around the worfd and il will do 80 by focusing
on developing the SC￿nc$ of how wopl¢ love other8 and lo￿ Ihem8efvtss. If the experience of phllanlhropy
can be made more meaningful, we now know that individuals will gNe more and give for longer.
Currenlty our research programs focus on the sclenc8 of identty. love and Well￿l￿g and we generate ftew
thèory which we then lest in field experiments with charities and other nonprofts around the world. We then
publish our findings in ae2demic joumals, books or in our own r8s&arch report series (which Is free lo
download) so that others may use the idw. We also dissaminale this work through sector ¢onf8rence8 and
events, globalty. In 2022 we presented Idigrtally and face-l￿f#C8) at ¢onferencè$ based in the UK USA,
Ireland, No￿aY, Austria and Swilzedand. We also offer a range of dHJito1 learning packages and Certificate
courses which showcasè these Kl¢88 and teach partic¥*anls how lo use them. The Inslllulè will also mentor
charrtieslnonprofits who wish to switch to a Commun￿at1)n8 apprwh. based orb philanthrop￿ psychology.
The erèatton of now wientif￿ we8rch and the dlssamination of ovr findings is the eoro of the public benofil
we provide. Our IrLtstee8 have been issued with copies of tha gUKlance issued by thè Charity Commission on
public benefit. Such guidance is also provNJed to new trust¢e8 as part of their induction prO￿S$. The Board
lakes ts responsibilities in thi5 regard vary seriousty 8nd all our adivities ale consislenl with that guidance.
Tho IFSP'S activitie8 are reviewe<l quarterty by the full Board and we now have a govemance sub-commillee
of the full board whose role lin part) 1$ to fNerssa tha ovolulion of our publ￿ benefit 8Ctivpti¢s and inform our
gtrategic thinking and pl8n8.
Pa98 1

Institute for Sustainable Phll4nthro
Re
rt of thè Trustees
for th• Year Ended 31 December 2022
ACHIEVEMENT AND PERFORPIANCE
Charitable acttvltles
Our actwr(￿ group into three broad headin9S
1. Scientific Research and Publle•Uons
In 2022 w• pijblkshed three landmark repryts
Relationship Fundrai8ing 3.0.. A R8Mew. As59$8menl & Experimental Resutt5
Loyaty Meets Philanthropi¢ Psychobgy.. A Nthy Approach To Supporter Retention
What Make5 Fundraisers Tick? A Study of Idanttty, Motivation and Wellboing
Wo 8180 srgnèd a contract for thè delivery of the Ihird edrtion of our Fundraising.. Principles and Pract
textbook with Wiley. The n•w edition planned to be delfvered In September 2023.
2. Educatlonal Programmlng
In 2022 wa had the foll￿￿1ng imp8¢t=
- 315 individuals enmllod in our enty l&vel fiJndrai8ing G1888- the Fundralsing Standard.
1261 individual¥ part￿Ipated in our online webinarn
143 individuals participated in our Certrficalo in Philanthropic Psychology or Certificate In FundralsSng
Copywriling178 - Phil Psych and 65 - Copywrrting).
- 22 individuals attend&J our Certiftcate in Legacy Fundralslng oi the Bequè¥t Fundraising Standard lour US
variant).
100Q paople attended our ¥peakitvJ engagements for thlrd partles such a$ the Assoclauon of Fundr8lsing
Professionals
- 11 students completed the Dlpbma in Fundraising Management we run for cha￿e& Inslstute Ireland ICI1}.
- 768 Sndividuals downlo&Je<l onè of our reports from our website orthe web81tg of a report'launch" partner.
3. Mentorlng and Consultan¢y Support
As outlinèd above. the In8titut? works wilh clienls lo help them embed new approaches lo donor
comrnunlc81ion based on our philanthroplc psychology prtnciples. In 2021. cli8nl$ included FOCUS, USA for
UNHCR, World Vision New Zealand. Worjd Vision UK. RSPCA NSW. RSPCS Queensland, Alzhelmeffs
Society and Mare Curie. Many of these partnerships aljow us to colknt experimental data which can then be
reported in the mechanisrns wo dascriba above. We will onty work with organtsation$ who are willing lo allow
us to dissaminatg r•sults to a wider aLKlience.
As an examplo we worked with Wortd W￿10n New Zealand lo develop a "dictionary" of donor identities for
Use in their communications. We also explc*red the use of encouragom•nt sènt8nces, where donors would
write a È¢ntenca to encourage othe[5 (e.g. other aonors or organizational team members). We wère then
abl& lo explore the impact of Wr￿"ng such sentence$ on gNrng and supporter wellb8ing. Our work with
Greepeace ISp8inl tells u$ that the more that peopl$ write. the grè*er the wellbeing they experience.
We also deep@n￿ our understanding of donor retèntion and kjyalty, V￿rkIng with clients $uch as RSPCA
NSW. Cows and the Alzheimarfs So¢tetyl to explore the drivers of future giwng intentions and aclu81 luture
behaviour leonlinuing support. upgrading support, increasing gift amounll. We were able to ljuild models
Wtth greater explanatory power than Convent￿nal modeLs now Mdely used in the sector that are based on
satisfaction. commitm8nl and twst
Page 2

Insutute for Su5ts1nable Phllanthro
ort of the Trustees
for the Yea Ended 31 December 2022
We continue lo coach clients through webinars and in-house training lo maximlze the value from Ih6ir
aming and furtheT pen8trate ideas from philanthropic psychology into Iheirwork.
FINANCIAL REVIEW
Reserves pollcy
IFSP intends to hold three month8 of all expenditu￿ plus a further three months staff costs lo allow the
organization lo adapt to any changes in the income or expendrture of the organrzation. The trustees
established £120,000 as tho target for 2022. bas￿ on the 2￿21 fin8nrAal rEport. Thi8 larg&t for cash
r8s8rves was met and exceeded, making it possible lo invest in additK)n81 member3 of our team. We
ruited a new administrat￿ and dats anatyst In (xlend8r year 2022.
STRUCTURE, GOVERNANCE AND IMNAGEMENT
Governlng document
The charity Is controllsd by its governing dc¢umenL a daad of trust and constf(utes an unincorporalod
charity.
Th& IFSP1s a Charilabh Incorporat￿ organ￿atiOn {CIO) adoptin9 4 constitution as Its govemlng document.
The Board of Iru81ee3 0dminisler$ the char5ty. The B08rd meet8 qLiartedy and there are sub-committe88
covering governancg, rni8SK)n (public benefrtl and finan¢pJaudit. The Board al$0 appoints a Director lo
manage the day-ttrday operations of the organtzalion and currenuy this role is 8pIrt betweèn Prof Adrian
Sargeanl and Prof Jen ShaThJ. To fxilltate eff￿t￿e operations, the Dir8ctorlsl have d•l8galed aulhorty,
wilhln the te￿nS ol del￿atiOn app￿ed by the trusteès. for mattor8 includlng finance, employment. toachlng
and research.
We currently have 7 tiuslee¥ and are pemitted to appoint a maximum of 12. Each Injstee will nomialty seTV9
8 tem of three years. We are currenlty staggering the timding of Ihesg appolnlments lo ensure contlnuty
and slabllty.
All current membef5 of the Board ar8 eneourag&l lo nominate n8w tru8lee8 and we wll ¢Jcca$ionally
advertise thes8 roles as ¢ircumst8nces r9qyire. Wo are eommitted lo achioving greater d￿rSItY in our
oovarning Bo8rd and ero working toward thtst goal.
Ngw Iruslees Ylll undergo 8n orientation lo brief them on their leg81 oblwjations under charity law, the Charity
Commission guidance on public benefrt, ¢onlenl of our ￿nStitut￿)n, the Board. ts sub-¢ommittge8 and 119
d&ci3ion-making processes arKI the business plan and reeenl past perfomiance of the chanty. Currently any
new Iruslees would be induct&J remot81y.
REFERENCE AND ADMINISTRATIVE DEfAILS
Register￿ Charlty numbèr
1181003
Prlnclpal address
The Philanthropy Centre
Unil 12 Tha Busine88 CentTe
Plymouth
Devon
PL4 OEG
TrLt$t••
Dr M Naylor Trustee
Dr J Hudson Trustee
Dr M Beem Trusteè
J Love Trustee
N Harris Trustee
C Longfield Trustee
Mr8 C Stergiou Trustee
Page 3

for Phll
rttsf
REFERENCE AND ADMINISTrATNE DETAIL9
Independent Emmlner
Mander Dulfill
Charterod Accounlants
Thè Old Posl
4143 Markel Place
Chippenham
Wiltshlre
SN16 3HR
Approved by order of ihe b￿r￿ oftnthes on.. . i*lo).11013.
. and on ts behall ty..
Drm Beem-Truslee
P¥4

Inde
endent Examiner's Re
ort to the Trustees of
Institute for Sustainable Philanthro
Independent examinefs report to the trustees of Instituts for Sustainable Phllanthropy
I report lo the charity trusteès on my examination of the accounts of Insli(ule for Sustainable Phllanlhropy
Itha Trust) for the yea¥ ended 31 D￿eM￿er 2022.
Responsibllities and basis of report
As the charity trustee8 of the Trust you are responsible for the PTeparation of the accounts in accordance
with the requirements of the Charities Act 2011 (Ihe Acl'l.
I report in respect ot my examination of the Trusfs accounts carrbJ out under section 145 of tha Act and in
carrying o)ul my examinAlion I have foll¢￿Ved all 8pplicabla Direc*on8 gNen by the Charlty Commission undtsr
section 1451Sllbl of thè Act.
Independènt oxamlnerfs statement
S¥n¢e your charity's gross income exceeded £250,000 your 8x8mir*r must be 8 memb8r of 2 listod body. I
can confirm that l am qualified to undertake thè examination because l am a regist&red member of thè
Institute of Chartwed Accountants in England and Waleg which is one of the listad bodies.
I hove comploled my ex8mlnation. l ts)nfimi that no material matters have come lo my attenlk)n In
connectlon with the 6xaminatKin glvlng me cause lo belleve that in any material respect..
accounting records were not kept in res￿ of the Trust as required by 8ectlon 130 of tho Act.. or
the accounts do not accord with thase records.. or
thè accounts do not ¢¢)mpty wilh the appliizbk8 reqU1￿MentS conceming the fomi and content of
8ccounls set out In the Charrties (Accounts and Rgportsl Regu18tions 2008 other than any
requirem8nt that the account8 glvo a true and fair which is not a mattor Cons￿er8d as part ol an
Independent axamination.
I have no concerns and have come across no other matters in eonnaction with the examlnatlon lo which
8llentlon should b& drawn in this report In order to gnable 8 proper understanding of the accoun18 to be
reached.
Andrew D8Vi8 FCA
Mender Duffill
Charlered Accountants
The Old Post Office
4143 Market Place
Chippenham
Willshire
SN15 3HR
Dat¢..
Page 5

In5trtute for Sustainable Philanthro
ststement of Financial Activities
rtheY8
r Ended 3
Deco
ber 2022
31.12.22
Totsl
funds
31.12.21
Total
funds
Unreslrthd Restricted
fund
fund
Notes
INCOME AND ENDOWMENTS FROPIJ
Donations and legacies
102,746
102,746
193.662
Charftablo activ[￿6$
Sclentific research
Education and Iralnlng
61,199
269,820
61,199
269.820
83.362
256.118
Total
433.785
433.765
533,142
EXPENDITURE ON
Charitablo actlvitl85
Scientific research
Educallon and Ifainlng
33.817
179.561
33,617
213,238
22,385
200,223
33.677
Other
99.364
Total
312.542
33.677
346.219
320,491
NET INCOMEI{EXPENDITURE)
121,223
{33,677)
87,548
212,651
RECONCILIATION OF FUNDS
Total funds brought foTrward
308,317
67,353
375,670
163,019
TOTAL FUNDS CARRIED FORWARD
375 670
Thg note¥ form part of these finanGial statements
Page 6

v5t￿nIb* Phlla
Batsnce Sh tt
31.12 22
Unl￿tr￿ted Restrtded Tclal
nd
fund
31.1221
Tota5
fvnds
FIXED AssErs
Tanglble 888ets
1.301
2.428
CURRENf ASSET8
Deb￿r5
ash 8t bank
69.241
89.241
17.952
33.878
442,248
33.676
475,924
8KS.798
CREDITORS
Amounts falling due wlhu) one year
10
114,fN
(14.(J)9}
,5501
NET CURRENT ASSFrs
428.239
373.242
TOTAL ASSEf8 Le88 CURRENT
LIA81LITIES
429.540
3J,876
463,216
37S,670
NEf A88ET8
429 640
483 216
375 670
FUNDS
unrnstrf￿8d fvnds
R•$tr¢tgd fund#
429.540
306,317
87.353
roTAL FUNtys
463,216
375 670
Th8 rmar￿ssI 3t•temenls warg Jpproyed by the Boafd ol T￿￿1•*# ￿lj ¥11lhonyd lor tssue on
wor• iw•d on its beh•Y by..
fth Beem- TnNiee
The noto• fomi ofthw• finanGsal #tatemeni8
Poge 7

Instttute for Sustainable Phllanthro
Cash Flow Statement
forthe Year Ended 31 December 2022
31.12.22
31.12.21
Notes
Cash flows from op¢ratlng actlvltles
C88h generatèd from operations
Net eash provlded by operatlng activ￿￿8
43.837
Cash flows from Investing actlvltles
Purchase of tangible fixed assets
Net cash provided byllused inl irN¥¥ting &tfvli￿S
Change In cash and wh equlvalents
In the reportlng perlod
Cash and cash equlvalents atthe
bgglnnlng of the r•porting p•rlod
43,837
2S2,904
362.846
109 942
Cash and cash equivalants at the end
of the reportlng period
362 848
Thè not88 brm part of these financial siatemerts
Page 8

Instltute for Sustalnable Phllanthro
Notes to the Cash Flow Sta
for th• Year Endod 31 Decem
ment
er 2022
RECONCILIATION OF NEf INCOME TO NET CASH FLOW FROM OPERATING ACTIVITIES
31.12.22
31.12.21
Net Income for the reportlng pgrlod (as ptrr the Statement of
FinanGial Activttiesl
Adjustments for.
Depreciab'on charge5
Ilncreaselldecrease in debloTS
Increaselldacr￿el in craditor#
87.546
212.651
1,127
{51.2891
1,127
42,728
Net cash provlded by operntlons
ANALYSIS OF CHANGES IN NEf FUNDS
At 1.1.22
Cash flow
A131.12.22
Net cash
Cesh at bank
4￿ 683
Total
The notes fomi part ofthe5e financtal statements
Page 9

Instttute for Sustalnable Phllanthro
Notes to the Financial Ststements
for the Year Ended 31 Decem￿ 2022
ACCOUKnNG POLICIE8
Basls of preparing the financlal statements
Tha linantyal statements ol th8 charity. which is a public benofft enttty under FRS 102, have been
prepared in accordance with the Chg1itie8 SORP IFRS 1021 'Accounling and Reportlng by Charilie5'.
Statement of Recommended Practice applicable lo charities preparing their accounts in accordance
with the Financial Reporting S18ndard applicable in the UK and Republic of Irèland IFRS 1021
leffeclive 1 January 20191,. Fina￿131 Reporting Standard 102 Tha Financial Reporting Standard
applicab￿ in thè (IK and Republic of Ireland. and the Ch8rities Act 2011. The financial statement
h8vo been prq>8red undèrthe historrcal ¢osl con¥enl#)n.
Income
All income 18 recognis&Y in tha Ststement of Financkql Activities once the ch8rfty has enifilemenl to the
funds, it 15 probable that the income wll be rpceNed and the amount can be measured fèliably.
Expendlture
Liabilrties are recognlsed as expenditure as soon as there a legal or constructive oblwJalion
committing the charity lo th81 exp8nditur8, it is p￿babIe that a transfer of economic benefits will be
uirtd in 8ettlem¢nl and the amount of the obllgaih?n can be measured rellably. Expenditure is
accounted for on an accrLtals basis and has been classrfied under headings that aggregat& all cost
rg18led lo thè category. Where costs cannot be directly attributed lo particular headings they hav¢
been allccaled to activit￿5 on a ba"s ¢on8iStent with tha use of r8SQLtrces.
Tanglble flx8d assets
Depreciation is provided al tha followtng annual rates in ¢)rder to write off e8ch assèt over 4t5
88timaled uselul ITfe.
C¢mputer equlpment
25% on cost
Taxatlon
The charity 1$ 9xempt from tax on Tt8 charitable ￿tiVit[¢s.
Fund a¢countJng
Unrestricted funds can used In accordance with the ch*it8ble objectives gt the di8cretion of tha
tNslees.
Reslrictgd funds can onty bo usad for Part￿Ular restrided puipo8e3 w4thln the object8 of the charty.
Restrictions art8e when specified by the donor or when funds are raised for particular restrictad
purposes.
Further explanat1￿ of the nature and purpose of each ftJnd r6 included tn the notes to th8 financial
statements.
Pansion costs and other postqetlrèment ￿neffts
The charity operates a dèfined wntrtbutSon pension scheme. Contribution8 payable to the charivs
pension scheme are charged to the sta(eff￿t of Fln8ncial Ath"vthes in tho period to which they
relale.
Page 10
continued...

Institut& for Sustslnable Philanthro
Notes to the Financial Statements- continued
for the Year Ended 31 December 2
DONATIONS AND LEGACIES
31.12.22
31.12.21
Donations
102,746
INCOME FROM CHARITABLE ACllVITIES
31.12.22
31.12.21
Selant￿le researeh
Education and Ireining
Scientific research
Edu¢alion and training
61,199
83.362
256 118
331.019
339.480
CHARITABLE ACTIVlnES COSTS
Diract
Co$1$
S¢lentMc reséarch
Education and Iralning
33,617
213238
248 855
SUPPORT COSTS
Goveman
costs
Financ•
Other
Totsls
Other iesourcos expeThJe(I
TRUSTEES. REMUNERATION AND BENEFITS
Thore were no tnjstees. remuneration or other benefits for th8 year endad 37 December 2022 r￿r for
the year ended 31 December 2021.
Tru$te88' expensos
There were no tru8100s' exponses pold for tho year ended 31 December 2022 norfrjr the year ènded
31 December 2021.
STAFF COSTS
31.12.22
31.12.21
Wages and salaries
Soclal security costs
Other penAK)n co8ts
222.117
18.954
210,169
18,388
231.479
Tha averag¢ monthty number of empbyoes during the year wa8 as folkw￿.
Number of employees
31.12.22
31.12.21
P4e11
continued...

Institute for Sustalnable Phllanthro
Notes to the Financial Statements - continued
for the Year Ended 31 Decèmber 2022
STAFF COSTS - ¢ontlnued
During the year kn employees re¢eNed lolal employee benefrts lexclucling employer pension costs)
of between £60,000 and £70,00012021'. gmployeos £60,000 10 £70,000).
TANGIBLE FIXED ASSETS
Computer
equipment
COST
Al 1 January 2022 end
31 O&cember 2022
4.507
DEPRECIATION
Al 1 January 2022
Charge for year
2,079
At 31 D￿ember 2022
NET BOOK VALUE
Al 31 December 2022
Al 31 December 2021
DEBTORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
31.12.22
31.12.21
Trade debtors
Qther debtors
67,861
16,548
69.241
10. CREDITORS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
31.12.22
31.12.21
Trade credi(ors
Other credit￿5
1,189
419
MOVEMENT IN FUNDS
Nel
movemenl
in fijnds
Al
31.12.22
At1.1.22
Unrestricted funds
General fund
308.317
121,223
429,540
Restricted ftsnds
Restrtcted Fund
67.353
133.67n
33,676
TOTAL FUNDS
375,670
Paga 12
continued...

nstituts for Sustainable Philanthro
Note5 to thè Financlal Statements- continued
for the Year End
31 December 2022
11. MOVEMENT IN FUNDS- continu•d
Nel moveThnt in funds, inGluded in the alx)ve are as follows:
Incoming
resources
Rèsour￿ Mov8mont
expended
in fund8
Unrestrlcted furtds
General fur*d
433,765
1312,542)
121,223
R•strlcted fund$
Restricted Fund
133.677)
133.6771
TOTAL FUNDS
433 785
Comparatlvos for mov•ment In lun(ts
Net
movement
In fund8
Al
31.12.21
At1.1.21
Unrogtrlcted frjnds
General fund
163,019
145.298
308,317
R06trlCt￿ funds
R•slTiCted Fund
67.353
67,353
TOTAL FUNDS
163019
212 651
375 670
Comparallve nat movèment In funds. includsd in th8 above 8r& a8 foltws..
Incoming
rasouices
Resourt
ex￿nded
Movement
in fund
Unrestrlct•d funds
Genèral fund
465,789
1320,491)
145,298
Restrfcted lunds
Reslrlcled Fund
67,353
67,353
TOTAL FUNDS
320,491
212 651
Pag8 13
contlnued...

I stitute for Sustainable Phllanthro
Notes to the Financial Statemènts-
tinuad
for the Year E ded
mber 2022
11. MOVEMEpif IN FUNDS - contlnued
A current y6ar 12 months aFxf priorytrar12 month5 ¢)xnbined k￿l[lon is as folSows.'
movement
in funds
At 1.1.21
31.12.22
Unrnstrlct8d funds
Gengr81 fund
183.019
266,521
429,540
R8strlcted funds
Restricted Fund
33,878
33.676
TOTAL FUNDS
300 197
463 216
A current year 12 month8 and prior y8or 12 month8 c>ynbln8d net movement in funds, In¢luded Sn the
above ar6 a5 lollows..
Incthnirvj
Re8ourc8S
resourc8s èxpended
Movgmenl
In fttnd
Unrestrletgd funds
General fund
899,554
(833,0331
2ee,521
Ra8trtct•d fund$
Regtricted Fund
67.353
{33,6771
33.678
TOTAL FUNDS
300 197
12. RELATED PARTY DISCLOSURES
There werg no rel&tsd paty trnnsacllon8 forth• year ended 31 December 2022.
Page 14

Institute for Sustainable Philanthro
Detalled Statsment of Financial A¢tlvities
for
he Year Ended 31 Decembgr 2022
31.12.22
31.12.21
INCOME AND ENDOWMENTS
Donatlons and Iwacl•s
Donatlon$
102.746
193.662
Ch8ritable activitieg
Education and training
Sclenlrfic research
269,820
256,118
83.362
331019
339 480
Total Incomlng rnsourco•
433,765
533.142
EXPENDITURE
Charltablg a¢tlvhl•s
Wage5
Socral security
Pensions
Advort18ing
T￿ve111ng
Computer exponses
Con5ulling fees
Service fee
Trainlng pn)iects
150,019
10,665
3,390
10,120
12,568
7,811
27,079
18,665
6,538
134,807
10,425
2,659
2,825
3,205
8.532
18,658
34,043
248.855
221,481
Support costs
Flnanca
Bank charges
205
Olhor
Wag•s
Social security
Pensions
InsurHnca
Light and heat
Postage and stationery
Sundries
Rent
Computer equipmant
72,099
8,289
185
500
241
1.214
6,787
5,743
75.382
7,963
263
787
142
912
3,693
6,110
96,185
9S,339
Govemance costs
Aceountancy fees
Professional fees
2,655
180
2.4e6
2.83S
This page dces not form part of statutory financial statamgnts
Page 15

Institute for Sustslnable Philanthro
Detailed Statement of Flnancial Activiti
for the Year Endèd 31 D
cember 2022
31.12.22
31.12.21
Total resources expended
320.491
Nèt Income
212851
page does not to￿ part ofthe st81ufory financial slatem8nts
Page 16