## 

## 

## 

|e:||
|---|---|
|1|Chair'sstatement|
|2|Report of the Trustees|
|6|lndependentexaminer'sreport|
|7|Statenrent of financial activities|
|o(J|Balance sheet|



## 



## 

## 

## 

## 



## 

## 

## 

## 

## 



## 

## 

## 

## 



## 

## 

## 

## 

## 

## 

## 



## 

## 

## 

## 

## 


## 



## 

## 

## 

## 



|Statement offinancial activities (incorpo<br>ended31March2021|ratingan income and|expenditurea|ccount)forthe|year|
|---|---|---|---|---|
||Unrestricted<br>Funds<br>f|Restricted<br>Funds<br>t|2021<br>t|2020<br>€|
|lncome and endowmentsfrom:|||||
|-Charitable activities|76,396||76,396|61,715|
|-lnvestments||||6|
|Totalincome and endowments|76,396||76,396|61,721|
|Expenditure on:|||||
|Charitable activities|26,233||26,233|28,385|
|Other administration|4,789||4,789|1,755|
|Totalexpenditure|31,022||31,422|30,140|
|Netincome|45,374||45,374|31,581|
|Transfersbetweenfunds|||||
|Netmovementinfunds|45,374||45,374|31,581|
|Reconciliationoffunds:|||||
|Totalfundsat1April2020|31,581||31,581||
|Totalfundsat 31March2021|76,955||76,955|31,581|





## 

|Fixed assets<br>Tangible assets|f|2021|E|t|t.<br>2020|
|---|---|---|---|---|---|
|Current assets|||66,8s3||23,307|
|Gifts andGiftAidreceivable<br>Cash at bank and in hand|13,252<br>3,554|||8,057<br>717||
|Creditors:amountsfallingdue<br>withinoneyear|16,806<br>(6,704)|||8,774<br>(500)||
|Netcurrentassets||||||
||||10,102||6,031|
|Total assets lesscurrent liabilities|||76,955||31,591|
|CharityFunds||||||
|Unrestricted||||||
|Restricted|||76,955||31,591|
|||-||||
|Total charity funds||||||
||||76,955||31,591|



