| Contents | ||
|---|---|---|
| Directors' report | Page | |
| Income and expenditure | account | |
| Balance sheet |
| 2022 | |||
|---|---|---|---|
| Total | |||
| Income | funds | ||
| Donations and Sponsorship Grants Deferred Income/Other/Unallocated |
14,000 | ||
| Total income | |||
| 14,000 | |||
| Less Direct Cost | |||
| Staffand volunteer Stock |
expenses | ||
| Sub | Total | ||
| 14,DDD | |||
| Expenditure | |||
| Room Hire | |||
| Rent and Rates Utilities |
200 | ||
| Miscellaneous | |||
| Insurance | |||
| Repairs and tenewais | 203 | ||
| Workshop/Container | |||
| CRB/ Governance | 13,428 | ||
| Total expenditure | |||
| Net income /(expenditure) activities |
on operating | 13,331 169 |