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2022-03-31-accounts

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