Daham Pahana UK
Charity Registration Number 1183993
SEcfioN A- Recei
ts and Pa
For the Year from 01
ments Accounts
04
2021 to 31
03
2022
RECEIPTS
Voluntary Income- Donations
1,475
1,475
PAYMENTS
Charitable Projects
1,565
Net of Deficit at the year end
90
SECTION B- Statement of Assets and Liabilities
Assets
Bank Balance
34
Liabilities
Fund
Balance B/F
def icit for the year
124
-90
34
Signed by two trustees on behalf of all the trustees.
Signed
Print Name
PE(IEf7
Date of Approval
ii.Li.JL,13