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||Statement ofFinancia|l Activities for the Year Ended|31 INarch 2022|
|---|---|---|---|
|||2022|2021|
|||General|General|
|||Funds|Funds|
|Income:||||
|Rent and rates received||59,883|24,000|
|Donations<br>received||19,505|10,000|
|||79,388|34,000|
|Direct Charitable|Expenditura:|||
|Rent payable||24,000|24,000|
|Rates||13,847||
|Repairs &maintenance|||350|
|Professional fees|||1,726|
|Accountancy||750||
|Bank charges||191|99|
|Chadtable<br>activities|||253|
|Charitable<br>donations||26,944|6,560|
|Subscription||158|144|
|||65,890|33,132|
|Net income for the|year|13,498|868|
|Net movement<br>in funds||13,498|868|
|Fund balances at 1/4/2021||6,570|5,702|
|Fund balances at 31/3/2022||20,068|6,570|










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