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|Statementoffinancial activities(incorp<br>ended31 March 2024|oratingan income and|expenditure a|ccount) for the|year|
|---|---|---|---|---|
||Unrestricted|Restricted|||
||Funds<br>€|Funds<br>f|2024<br>€|2023<br>t|
|lncome and endowmentsfrom:|||||
|-Charitable activities|64,652||64,652|47,322|
|-lnvestments|||||
|Total incomeandendowments|67,652||67,652|47,322|
|Expenditureon:|||||
|Charitable activities|65,652||65,652|35,428|
|Other administration|6,145||6,145|6,056|
|Total expenditure|71,797||71,797|41,484|
|Netincome|(7,145)||(7,145)|5,848|
|Transfersbetweenfunds|||||
|Netmovementinfunds|(7,145)||(7,145)|5,848|
|Reconciliationoffunds:|||||
|Totalfundsat 1April2023|97,066||97,066|91,218|
|Totalfundsat 31 March 2024|89,921||89,921|97,066|





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||2024|||2023||
|---|---|---|---|---|---|
||€|€|€||f|
|Fixedassets||||||
|Tangible assets||80,880|||80,616|
|Gurrent assets||||||
|Gifts and GiftAidreceivable|17,556||5,444|||
|Cashatbankandin hand|6,089||19,471|||
||23,645||24,911|||
|Creditors: amountsfallingdue||||||
|withinoneyear|(14,604)||(8,461)|||
|Netcurrentassets||9,041|||16,450|
|Total assets lesscurrent liabilities||89,921|||97,066|
|Charity Funds||||||
|Unrestricted||89,921|||97,066|
|Restricted||||||
|Total charityfunds||89,921|||97,066|






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||2024|2023|
|---|---|---|
||E|€|
|Administration|||
|Depreciation|5,165|4,893|
||5,165|4,893|
|Bank charges|98|107|
|lndependentexaminationand accountancy|882|1,056|
||980|1,163|
|Total expenditure on otheradministration|6,145|6,056|



