## 



## 

|2022||
|---|---|
|APRIL|2,478.00|
|MAY|2,740.00|
|JUNE|3,900.00|
|JULY|1,515.00|
|AUGUST|10,063.00|
|SEPTEMBER|910.00|
|OCTOBER|630.00|
|NOVEMBER|1,825.00|
|DECEMBER|2,781.61|
|2023||
|JANUARY|1,155.00|
|FEBRUARY|2,405.00|
|MARCH|1,645.00|
||1,195.50|





## 

|Tangible Assets||
|---|---|
|Current Assets:||
|Cash in hand and bank|1,432|
||1,432|
|Current<br>Liabihties:||
|Trade creditors Laccruals|-200|
|Net current assets {liabilities}||
|Creditors' due after one year:||
|Represented<br>by:||
|Accumulated<br>funds b/f||
|income surplus forthe year||





## 

## 

|STATEINENT OF|IN|CONIE AND EXP|ENDITOR<br>F|RTHE||
|---|---|---|---|---|---|
|||||2028||
|Income||||||
|Less: Administrative||expenses||||
|Support materials|and projects||14,148|||
|Rent ofvenues|||14,092|||
|Charitable<br>donations||{Hampers)|500|||
|I T and admin support|||725|||
|Printing<br>stationery|etc.||95|||
|Registration|||300|||
|Subscriptions|||130|||
|Insurance|||454|||
|Telephone<br>and internet|||80|||
|Accountancy|||200|||
|General Expenses|||150|||
|||||-30,853|-1,563|



## 



## 

