|Contents|||
|---|---|---|
|Directors' report||Page|
|Income and expenditure|account||
|Balance sheet|||





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





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