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|||||Page|
|---|---|---|---|---|
|Reference and administrative||information|||
|Trustees'<br>annual<br>report|||||
|Report independent<br>examiners|||||
|Statement<br>of financial|activities (incorporating||an income and||
|expenditure<br>account)|||||
|Balance sheet|||||
|Notes to the financial|statements||||





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|Charity|name||Gloria e Marco Charity CIO|Gloria e Marco Charity CIO|||
|---|---|---|---|---|---|---|
|Charity|number||1187818||||
|Principal|address||c/o Peregrine<br>Bryant|Architects|||
||||The Courtyard||||
||||Fulham<br>Palace||||
||||Bishops Avenue||||
||||London<br>SW6 6EA||||
|Trustees|||Trustees who served|during|the period and up to the date of this||
||||report were as follows:||||
||||Thomas Peregrine<br>Stansfeld||Bryant|Chairman|
||||Laura Morgante||||
||||Lucinda Jane Auldjo Bannister||||
||||Andrea<br>Bucca||||
||||Andrea<br>Brufatto||||
||||Clive James Dawson||||
||||Catharine<br>Diana<br>Bull||||
||||Emma-Louise<br>Bassett||||
||||Alexandra<br>Astrid Josephine||Valmarana||
|independent||examiner|Mary<br>E Ryan,||||
||||Ark Accountancy<br>Limited,||||
||||31 Cheam Road,||||
||||Ewell Epsom Surrey|KT17|1QX||
|Bank|||Metro Bank||||
||||1 Southampton<br>Row||||
||||London<br>WC1B SHA||||





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|||||||||2022|
|---|---|---|---|---|---|---|---|---|
|||||||Unrestricted|Restricted|Total|
||||||Note||f|E|
|Income from:|||||||||
|Donations<br>and|legacies|||||84,053||84,053|
|Charitable<br>activities|||||||||
|Investments|||||||||
|Other|||||||||
|Total income||||||84,053||84,053|
|Expenditure<br>on:|||||||||
|Raising funds|||||||||
|Charitable<br>activities|||||||||
|Other|||||||||
|Total expenditure|||||||||
|Net income /|(expenditure)|||for the|||||
|veaf||||||84053||84053|
|Transfers<br>between||funds|||||||
|Net movement|in|funds||||84,053||84,053|
|Reconciliation|offunds:||||||||
|Total funds brought|||forward|||471||471|
|Total funds carried|||forward|||84,524||84,524|





||||Balance Sheet||||
|---|---|---|---|---|---|---|
||||as at 31 March 2022||||
|||||Note|f|5|
|Fixed assets:|||||||
|Tangible assets|||||||
|Current assets:|||||||
|Debtors|||||||
|Cash at bank|and in|hand|||84,524.06||
||||||84,524.06||
|Liabilities:|||||||
|Creditors: amounts||falling due within one year|||||
|Net current|assets|/ (liabilities)||||84.524.06|
|Total net assets / (liabilities)||||||84,524.06|
|The funds ofthe charity:|||||||
|Restricted<br>income funds|||||||
|Unrestricted|income|funds:||||84,524.06|
|Totalcharity|funds|||||84.524,06|





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