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 |