OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-05-31-accounts

Income and Expenditure Income and Expenditure
Income 0.00
Expenditure
Planning fee 262.00
Bank Charges 26.00
Total Expenditure 288.00
Excess ofExpenditure 288.00
over income
Balance Sheet 31"May 2022
Current Assets
Cash 23,986.00
Liabilities
Net current 23,986.00
Assets
Total Assets 23,986.00
Reserves 24,274.00
B/FWD 31"MAY 2021
Net Expenditure 288.00
Total Reserves 23 986.00