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2022-12-31-accounts

Trustees. Annual Report for the period Pefvjd start date Peliod eThJ date From i 01 tCJZI To 31 Section A Reference and administration details Chwlty nwne 6EAofis LEGKY Othor names charlty18 kn￿n by Registered chwhy number (11 ￿) Charws prlnclpol th•8S ifvJQ £oAO IG ££ otG N•m• ol p•r•on {or body) •ntkJ•d lo• trusts• Ilan 10 11 12 13 14 15 16 17 18 19 Names ol trustees for the tharlty. rf any. (for exanple, any custodlan trustees) Dates acted rf not for whole TAR March *12

Names and addresses of advisers (Optional informalion) of adviser Name of chief execulive or names of senlor stalf memkn (Opttonal information) Section B Structure, overnance and mana ement Descrlptlon of the charW8 trusts Type ￿ 9)veming thxument Co￿g￿TE)T(0 How the chartty is cc¥Wiluted IPPoi KJfEO 64 Teu Addhlonal governance Issues (Optlonal Informatlon) You may choose to Ir￿lude additional informat￿. where r818vant, about: p￿￿, RSPLA, policies and prccedures adopted for the induction arKJ training of truees', the charfty's organ￿1c¥N8l structure and any wider ne￿Ork with whtch the charty works,. relationship with any related parties: trustees. consderatlon of major risks and the syem and prcteJures to man￿8 them. ANJO AWI ucoKJs i / ￿￿E￿A￿E E AaY2E￿ INO1viO(J￿L Fèr 8£££CEe4 knJiMALS, A￿Q thaqL cQiffw SrnVIfvJG KSE HAVE 6(J(Lr MEEX LL￿J(￿L ts￿{cH fo thSE chs K L￿E SP(￿ To * hJtJWE. CAT o CEfrsrS E SAfEL Section C Ob"ectives and activities 44L)HA￿E I￿R￿lia￿l prfbs AtrJiH ALS Pe£yIOI ￿ Aep(&P£IATE ou OF LOST/ftJUNJo/SToL&J knj i MAIS knJD R ityJG coRRaT eaJpJiACAT[<￿l eitCWu£cs Summary of the obpcts of the charity set out in its governing document TAR Marth 2012

CAtr4PPd C bjs LAu￿cHa) ANJO CctYIO)t4j4￿ To EJ I￿j fHe SO£LH AN50 QÉ(DJÉLY a Mwi fvJG A•J i IbJCLuOI ILOS knJifr4KlS VIA eAM&AS, UVE CWs, SA￿L4 TEARI￿& IFW USIfrJG eooeosE ryIéK)E 4FurtAANIE TWS. (j￿rri￿1& e>"1 TthfyEeo2fifvL vAfrl cLl¥rs t474thJ e£ooiPW. L)OYlfvlG/C£xLth￿ srnr6Ywns PtyiD tÈr ffiépr_￿¥1 Summary of the main activities undertaken for the public benefrt in rel*ion to these obpcts (indude wtthln thls section the ststutory declaration that trustees hav• had regard to the guidance Is8u8d by the Charlty Commisslon on publk knJIMftL%. OfvlGoifv5Q sdPfb¢f hfrJD llwti￿urA￿oNj CÉT HELP. tt3sisrknJ Ofr lèrTh&r (LL£aAL 4lJWY (Pknli ￿C, RLJ£ftL ifvJCLJJOifrL fiG+trrtNL, eAirifvJG, Lfv4PINJQ, Afvjo IÉGULAR eÉr TrtEFr A￿AR￿&s& T&LKs ifvJCLL)Olp￿ Zrc Abjo Ibu￿. chji￿£ fi(& Pqo aJJQsES ft2￿106 (DL rfoLUfvJ i EdlS. Folicy on grantmakSng: policy programme rek vcAunteers. TAR Marth 3M2

Section D Achievements and performance Summwy ofthe maln HohJO£a)s ofr Irt￿lM￿Ls L£cLJVÉQ&O o Ra)fvJirED eoifvI&iK& YtsTfvL Socc£A)L LfvJr4cEI Of CH S SERiES 'L££r LJVE ' CLrté d4lLDIfvK. 1FIE SERI￿, fkftfuREO iThJ GA&JOE, s +1 WGE s￿￿£S￿ Afrjo A W)NJQ g1& HAS É&r•J C£JYWI bsSiop4QJ. during the y esRc* lpJv&fiGRTio￿ I￿0 k AJtPi AND JIMAL lfvJc£oisEO AbAO eE£2oiTffEfr&r C¢hJI￿S￿ fiRsr Pno INSffi2￿O￿- R££(JLfi￿fj ith( CAfrliTrE fi￿r tho cauesÈfj f&yJiOO) fo Eerr&& &(p OIP TAR

Section E Financial review Brief statement of the ¢harity'S pollcy on reserves fvLL 2&￿￿&5 p￿X￿H£o ifytro TF CHftAirY O￿T0 knj tljLH(ISi￿J4 K￿d)d> CAM82￿ knJJ Detalls of any funds Thoterialty In defictt Furthw Ilnancial review details (Optional informali¢)n) You may dwse to hclLM addrtiond intormalion, W￿re relevant aboLrt: the charity's Fffincipal sources of funds (fft¢luthrvJ any fundraiS￿￿j). how expendrture supported the key obJethes of charity: Tnvestrnent poSi¢y arKI ¢bjectives In¢l￿ng ary ethical investrnent policy adcpted. rEL£vISiofrl cAtr4PkiobEI APiÈPeLS , kn trtrks PknJpedes£ knSD A5hS0S . Section F Other optional information Section G Declaration Slgned on behalf of the charltys trusteos Signature(s) Full naTh(s) Position (eg Secretary, Chair. etc) 22l 013 TAR Marth 2012

� CHARIT COMMISSION!
�FOR ENGLAND AND WALES

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SectionA Receipts and payments
Unrestrcted
funds
Resticted
fnds
Endowent
fnds
Total funds Las year
to the neart
£
to te neart£ to te neart£ to te near £ to te nearest£
A1 Receits
Donatns
24,615-- 24,615
-
-
14,353
-
-
----- -
-
-
-
-
-
-
-
-
-
Sub total (Gros icome fr
A)
24,615 24,615 14,353
A A et and investent sales,
(see tble).
Sub total
Total receipt(

-1
- I
-1E§§§
24,615) ~~I~~
~~-11~~
-11
24,6151,
14,3531
A3 Payents
PayPal carges
31 31 36
Campaign cot
Vt & crematn f 's
Oer cf ec cl
Motor & tavel expnse
Potge & statoner
Compuer csl
4,688
278
3,116
2,188
82
6
4,688
2,78
3,116
2,188
842
685
5,258
2,185
1,207
1,31
686
127
Subon 4 4 4
Insuranc 198 198 196
Bnk Chrges
Sub totl
91
14,663
91
14,663
11,081
A4 A et and investent
purchases, (see tble)
Motor vehicles
Plant & machiner
Computer equiment
Subttl
-
6,600
46
590
7,6
§§
-
-
-
6,6�0§
46
-
�o
7,6
-
**_Total payment_j **
2•317J
~~I~~
·~~I~~
~~I~~ -~~11~~
22,317J,
11.os1I
A Transfer beteen funds
Net ofreeipts(payent)
AG Cash funds las year end
Cash funds tis year end
-
28
3,75
6,052
-

-
-

-
2298
1
----

3,75I
6,os2
3,272
-,
3,272

CCXX R1 accounts (SS)

20/09/2023

Section B Statement of assets and liabilities at the end of the period EndowTnpnl cgDfteS Dotalts --•••• Dotall$ 2*0 Dotabls BS UgPr DEA