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2022-01-31-accounts

25th November 2022

Charity Commision

Dear Sirs,

Trustees Report — Year ending 31 December 2021

In the last year ending 31 December 2021 the charity has been busy providing the sensory toys to children with additional needs and disabilities. This has been extremeley successful and have been contacted and recommended by outside agencies to say how it is helping children and families in the local community.

Our social media platform has been used as an online forum where advice and support is offered.

We hope to continue to provide this service to the local community as we can see what a positive impact it has.

Your faithfully,

Tracey Hogan

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Shining Bright Children's Charity
Income and Expendlture Account for the Period 1 January 2021 to 31st December 2021
2020 2021
Income
10,654.01 Donations & Grants 34.45
Refund 479.94
10,654.01 Total Receipts 514.39
Less Expenditure
346.69 Donations 254.65
116.75 Cleaning and maintenence 134.99
29.47 Printing & Stationary 0
45.57 Motor Expenses 180.05
2111.52 Depreciation 2344.65
2650 2914.34
8004.01 Excess of income over expenditure -2399.95
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Shining Bright Children’s Charity
Balance Sheet as at the 31st December 2019
Current Assets
2019
Cash in hand
Total Assets
140
Less - Current Liabilities 140
Net Assets
0
Accumulated Fund 140
Balance Brought Forward
Add - Ecess of Income over Expenditure
0
Balance 140
140
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