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Income and Expenditure for the Period ending 2nd January 2025 2025 AHEAD International Charity Balance Sheet As at 2 January, 2025<br>Income 2025<br>Donations from trustees  £5,943.80 Fixed Assets<br>Equipments  £500.00<br>Expenditures<br>Travelling  £868.80 Current Assets<br>Office Expenses  £2,800.00 Cash at bank £225.00<br>Rent  £800.00 £725.00<br>Registration  £500.00<br>IT Cost  £550.00 Total assets less current liabilities  £725.00<br>Repairs  £200.00 Creditors : amount falling due after more than one ye £0.00<br>Total Expenditures  £5,718.80 -£5,718.80 Total net assets (Liabilities ): £725.00<br>Balance as at 2nd January 2025 £225.00 Capital and reserve: £725.00<br>**----- End of picture text -----**<br>


