## 

||2022|2021|
|---|---|---|
|Opening balance|16,719||
|Income<br>Grants<br>Incoming fees<br>Donations|11,500<br>685<br>14|22,200<br>433<br>850|
||12,199|23,483|
|Expenditure<br>Facilitator, venue and pony hire<br>ITand equipment<br>Governance|14,385<br>2,041<br>649|5,120<br>963<br>681|
|Marketing|483<br>17558|6,764|
|Surplus/deficit<br>for year|(5,359j|16719|
|Balance|11,360|16,719|
|BAlANCES|||
|Opening balance 1/1/2022<br>Closing balance 31/12/2022<br>Cash at bank|16,719<br>(5,359)<br>11,360||



