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|Statement offinancial activities (incorp<br>ended31March2022|oratingan income and|expenditure a|ccount)forthe|year|
|---|---|---|---|---|
||Unrestricted|Restricted|||
||Funds<br>f|Funds<br>f|2022<br>t|2021<br>€|
|lncome and endowments from:|||||
|-Charitable activities|54,887||54,887|76,396|
|-lnvestments|||||
|Total incomeandendowments|54,887||54,887|76,396|
|Expenditureon:|||||
|Charitable activities|35,291||35,291|26,233|
|Other administration|5,333||5,333|4,789|
|Total expenditure|40,624||40,624|31,022|
|Netincome|14,263||14,263|45,374|
|Transfersbetweenfunds|||||
|Netmovementinfunds|14,263||14,263|45,374|
|Reconciliationoffunds:|||||
|Totalfundsat1April2021|76,955||76,955|31,581|
|Totalfundsat31 March 2022|91,218||91,218|76,955|





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|Fixedassets<br>Tangible assets|€|2022<br>€|t|2021<br>f,|
|---|---|---|---|---|
|Current assets||74,504||66,853|
|Gifts and GiftAidreceivable<br>Cashatbank and in hand|5,996<br>17,966||13,252<br>3,554||
|Creditors: amountsfailingdue<br>withinoneyear|23,862<br>(7,149)||16,906<br>(6,704)||
|Netcurrent assets|||||
|||16,714||10,102|
|Total assets lesscurrent liabilities||91,219||76,955|
|Charity Funds|||||
|Unrestricted|||||
|Restricted||91,219||76,955|
|Total charityfunds|||||
|||91,219||76,955|



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||2022|2021|
|---|---|---|
||€|E|
|Administration|||
|Depreciation|4,344|3,584|
||4,344|3,854|
|Bank charges|170|368|
|Independent examination and accountancy|819|837|
||989|1,205|
|Total expenditure on otheradministration|5,333|4,789|



