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|Statement offinancial activities(incorpo<br>ended31March2023|ratinganincome and|expenditure|ac|count)forthe|year|
|---|---|---|---|---|---|
||Unrestricted<br>Funds<br>f|Restricted<br>Funds<br>t||2023<br>t|2022<br>E|
|lncome and endowmentsfrom:||||||
|-Charitable activities|47,332||-|47,332_|54,887_|
|-lnvestments||||||
|Totalincome andendowments|47,332|||47,332|54,887|
|Expenditure on:||||||
|Charitable activities|35,428|||35,428|35,291|
|Other administration|6,056|||6,0s6|5,333|
|Totalexpenditure|41,484|||41,484|40,624|
|Netincome|5,848|||5,848|14,263|
|Transfersbetweenfunds||||||
|Netmovementinfunds|5,848|||5,848|14,263|
|Reconciliationoffunds:||||||
|Totalfundsat 1April2022|91,218|||91,218|76,955|
|Totalfundsat31March2023|97,066|||97,066|91,218|





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||2023<br>€|t|€|2022|€|
|---|---|---|---|---|---|
|Fixed assets||||||
|Tangible assets||80,616|||74,504|
|Current assets||||||
|Gifts andGiftAid receivable|5,440||5,896|||
|Cash at bank and inhand|19,471||17,966|||
||24,911||23,862|||
|Greditors:amountsfallingdue||||||
|withinone year|(8,461)||(7,148)|||
|Netcurrentassets||16,450|||16,714|
|TotalassetsIesscurrent liabilities||97,066|||91,218|
|CharityFunds||||||
|Unrestricted||97,066|||91,218|
|Restricted||||||
|Totalcharity funds||97,066|||91,218|



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||2023<br>t|2022<br>t|
|---|---|---|
|Administration|||
|Depreciation|4,893|4,344|
||4,893|4,344|
|Bank charges|107|170|
|lndependent examination and accountancy|1,056|819|
||1,163|989|
|Totalexpenditureon otheradministration|6,056|5,333|



