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|CONTENTS|||
|---|---|---|
|||Page|
|Trustees' report|||
|Receipts and payments|accounts||
|Statements ofassets and liabilities at the end ofthe period|||





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||||Period|
|---|---|---|---|
||||ended 31|
||||March|
||||2021|
||||f|
|Receipts||||
|Voluntary|donations||12,369|
|Total receipts|||12,369|
|Payments||||
|Grants|||4,500|
|Bank charges|||34|
|Total payments|||4,534|
|Net ofreceipts/payments|||7435|
|Cash funds|from previous|period||
|Cash fund|31March 2021||7,835|





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