|CONTENTS||PAGE|
|---|---|---|
|Legal and Admimstrauve|Details||
|Trustees'<br>Report|||
|Independent<br>Exammcrs'|Report||
|Statement ofFinancial Activities|||
|Balance Sheet|||
|Notes to the Accounts|||






































## 

## 

## 

## 

## 

## 

## 



|2|DEBTORS||2022|2021|
|---|---|---|---|---|
||||I||
||Other debtors||711|3,623|
|3|VOLUNTARY|INCOME|2022|2021|
||||4||
||Donations<br>from individuals||27,044|23.334|
||Gin Aid||12,489|4,887|
||Tool income||39,333|28,421|
|4|GOVERNANCE|COSTS|2022|2021|
||||f|4|
||Govemancc||720||
|3|Employees||2022|2021|
||||Number|Number|



## 

|TANGIBLE FIXEDASSE|TS||||
|---|---|---|---|---|
||Equipment,||||
||fixture 8|Computer|Motor||
||fitting|equipment|vehicles|Total|
||K|8|6|K|
|Cost|||||
|Additions|1,192|1,653|6,000|Ss845|
|At 31 March 2022|1,192|1,653|6,000|8,845|
|Depreciatloa|||||
|Charge for the year|397|551|1,200|2,148|
|At 31 March 2022|397|551|1,200|2,140|
|Net book value|||||
|At 31 March 2022|795|1,102|4,600|6,697|



