REGISTERED COIAPANY NUMBER: 12828390 (England and Wales)
REGISTERED CHARtrY NUMBER.. 1196255
REPORT OF THE TRUSTEES AND
UNAUDrrED FIIIANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2023
FOR
BRIGHTER DAYZ
1st Fts)or Watersldè H¢us¢
Walers*k Drfve
Wlgan
Lan(xthrg
WN3 5AZ

BRIGFrrER DAYZ
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2D23
Pag8
Reference and Admlnlstratlve Dstails
Report ot the TnJ8to0s
2 to 3
Independent Exarnlnevs Report
statement of Flnanclol ACtM￿eS
Balance Shèèt
Notsg lo tha FlnAndal Statèments
7 to 9
Dfrta118d SiatÈrnortt of Flnan¢lal A¢dvltks
10

BRIGHTER DAYZ
REFERENCE AND ADMINISTRATfvE DEtAILS
FOR THE YEAR ENDED 31 AUGUST 2023
Trustees
M Gerrard Ifeskw￿j 24.10231
N*s L G8rrard
S Malona
L smth18pws￿ 24.10.231
S Hathaw (8FVOntwJ 24.10231
Reglster•d offlc•
1 Waten4rKks ￿BIn88s P
Slwkn'8 way
Wwr'.rvJton Road lThJu3lrlal Estate
Wig8n
WN3 6GW
R8918t6red comPanynum￿T
I282&3￿) {Enoland gnd W*s}
Rogl$tered char1ty t)umbeT
1196255
Indvpènd8nt axaminor
NR8
1st FknrWatWSK18 HcAw8
Walerdd8 DIN8
gan
Lanc85hire
WN3 5h2
Pago 1

BRIGHfER DAYZ
REPORT OF THETRUSTEES
FOR THE YEAR ENDED 31 AUGUST 2023
Thg truste8s who are 8lso fthwtors of Ihe (knly pwposès ol Ihe CompAnles Acl 2006. ye8ent theJr r8POrt
the finar￿18] statements ol the tharily for tho year onded 21 AwJust 2023. Th& tru518BS have adoplwj the proviskns or
AcCoun￿￿j and R8¥Kbrting by Gharities.. Slatement of Recomm8￿￿ed Prdcli(% applleabla 10 (*artt188 pr8pari￿ the
aceounts in 8CfA)rdance *ith th& FInanr￿al R8Erf>￿n0 Slayjard appMc*4e ￿ the UK and Republk c4 Ireland IFRS 1021
(effscth 1 January 20191.
Oblè¢tlve$ and actlvltles
Obl6Ctive8 and a¥ms
The objeGls of Brighter DayL CIO las sel out In c¥Jr fr#Jndatlon mojel C¥)nSti￿1￿). Is the rd16f of thadren f￿￿1¢
or rrEnlal dI5abllltleG andl¢x life Ilmillng Illnès￿ Imng in the borwgh of Wigan and Lelgh, In but n¢t
9xduslvgly, by th8 prowlsion frff&splLe. care 8nd 8Llw£￿t io Pa￿lS and ￿rerS of w¢h ¢hlkli8n.
Our CIO h8s out ils purp08es for the Wb1￿ benefrt in many ways. Ihi5 ha5 in ium hèlpÈd fa￿1&e$ of
chlldren and young gdulls w4th ad(Skn'onal needs by prtwiding th8m ne8d6d ￿SpIt& aim 1$ lo relieve
lamily brnakdowns through what our CIO Ihem, incI￿j1￿ e￿N￿O￿al support. r&sF4te, parent emtK)14Eim¢nl
courses, and also I￿ us pft)TrAdSng the thra18nd youNJ athjlts several (thff&rènl ac￿￿118$ and different lyFos ol play
Ih8¥apy. I￿nIr8d grovnd the1ro%￿ Indmdual n8eds.
We tfhe Trusla8sI tak8n lh8 commlssk)n8 bendti guida1￿ into &xwil vthen maklng any deiisth ft Is
relevanl lo,
A¢hlevement and perfomisnc•
Charltsljle activitiÉs
Th8 maln ach18V8ments ol BrwJhtgr t)ayz Charlty thL8 perfod as SBI out in Jjr ￿ectIV9S and aC￿￿tieS has bE
BcCoM￿lShed. We wèrè aFAe lo rèach ￿1 lo more than on9 h￿KIrnI fam1￿ from lh6 I￿1 ￿mMunitY and $urrvundlng
areas and prov*le them Vllth muth nwled respile lar& fo.. tlieir th1dre￿ and youw athjlls disabilib&s. This has
h&d a w>slUvo knpad in Ihg 9fffgcl Ihal li has helped f￿nIf￿ Io 8¥dd t*eakdo￿5 Ihqlr larnily ne(w￿. It has
h8lp8d to pr8v8nt soaal isolati￿, and af40 hglped to a d￿lIne li tJ￿ rnontsl of these fwn4ig8.
We have been 8uwgsslul In ¢reaYryJ a peer sw(*t ￿rD￿) 7Arythin the ￿n￿rity that 8UPPttrt
￿et￿en r85idents. arvj opens UP opportunlligs to them.
We have ts8￿ abb to brfng pamts togeth8T ty fLThlTrg sesslor* ￿*thkn Iho ￿tre. and ara currenuy
grovAng oui aller 8chryJ wclal ￿￿p$. Bnd more gr<MJPS I￿k)r￿1 to hier&si8.
We also eontknuously gToving trMAlday dub with fuknjrè plaKis lo extend the current btildhg to fiJtth6r
Incroa80 our cumnt capadly, aTrd help and more f8mllles kn wl In thg futur8.
D￿ng thls wrf(xl, we have also reached OJL io Ihird party Sectors and mull13genrywor￿￿g to ￿eate b9tter pa(kngo$
for ￿r famllbs.
Fundraislng a￿l￿tIeS
Wllh us l%Jing 8 MévAy &slabKghed Charity, tyro lo estatAish Ourse￿6. ￿ havenl 8wli8d for 8$ ￿UCh fundlng 88
would 0115k￿ 10 In thls ￿ar. h(y•kvar th8 few ￿antS we wt bjds In were gJ¢cessfvl with. And ths enabled us
to makè improvements lo the Cent[9, our pylmary fom b01r￿ trnproY￿9TrtS ID Ihg S8rtsory r(x)w, and th8
purehasa of speciali6( equlpmert Igh￿.
Flnanclal rèvlèw
Flnan¢lal posltlon
De5plte us belng a Tr8￿Y e8tab11shbd Charlty. and 5t*Uw (yJt when (he psThJonNc In fiAI s¥Anu. wo have $111
managed to hay8 a SU￿￿[￿1 yè¥ fknaKklly and It eXC88dod our previoLts exp8clatlons. As our Inecthe l&Ye
Incr6a88d, our yasrfy costs Blso incre8seo due lo tho inue&rye Ip. ad1￿lY levels and the ￿Owth or th8 Ch8rfly. Our
hI￿e$l Inttoe8e w88 that of stsff WBg85. dug ID eypaThJlw rw tearn to ac￿M[￿￿18le the c¥)ntinwus wo￿n9 of Iha
Charity.
Prfnclpal lundlt)g Bourc•s
The ￿ndpa1 Sour<￿ of fundlng In Ihe year WAS Incom8 frun Sav￿$ Fwovth, Ihis soutt* of Inoom& malnly came
from locaj authoriti6s (yJmmls5fonÉd wkagEs Lrf ￿re. and so was a 31abl8 Sc)tj￿* of kn￿rne that vhll be Jngoing
during the growih of Iha Chaity. During Ih13 y8aT wère also lortunab to rwhft fun(Jlng I￿ our lotal
aulhority, from a fèw suttéssful grant bl¢A and trr¢Ngh 98neral fundraislng thal vas org?nis8d by ourselves. Thls
intomé combined has rnaknly funded eyndilllie wh7e881￿ sdartes, aTrJ ad￿￿￿151￿￿e e¥pans89 In relallon to any
ol&ts wè have undertaken IhrouglKwl yaar.

BRIGHTER DAYZ
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 AVGUST 2023
Flnanolal revlew
RoseNes pollay
Briohter Da￿ Is a Gharily ￿leh alms ¢0 bè a sustAknable OWJ￿Is8lkn. ￿wO Are here for many ￿ar8 10 tthlg, 8nablirvJ
8 to conliNuo lo provlds help and support lo thlkjren. ycwTrJ persons nd Ihelr tamuy uThis. We cwenuy hohl six
months runnlng wsts Sn our tB5ér￿. ov8r the next iwelve mc4)ths we are hLytrvJ to incr8asÉ tN$ reseNe lo Iwelve
tnonlhs wnnlnu co8ts, so that we hav8 8 thwdal o)ntlngency pL4n In tApth.
structure, govornane• and managèmont
Goverrtlng do¢umvnt
Th? tharity ts ￿￿trOlled by Its govemlng douJrn8nL a d8•d c¢ tnTsL and ¢on8tituteg a fimjted ￿rnpany, Ilnthed by
guarantse. aB deffnèd by Ihe Cornpani6s AGt 21M)6.
Th8 Chadly CIO is contrd16d by its goveTh¥ng d(Mxwn&nl trhÉ ￿nd￿t￿)N mtrfl•l Const￿Ut￿l. Its aTU0lg8 of a880Ci8Uon,
and ¢￿$11tUtes a Ilmlied Company, Ilmlt&J by gu¥anlee. a8 dèfvad by th8 Companles Ael 2LYX.
RÈcYuiimont and appolntment ol now InJ$1885
The Iruslees K4ho have sefved durfng fhe year are set (xrt ￿ Pa￿ l ol thts (kMwmÈnt. Tho trust8è9 8Tr ap￿X￿ted by
mgmber5 of the Charlty. Th& ttustefys re￿* each at G&*ral MeetlNJ and may offer themsolv98 lor
re-de￿￿ In 8ccordan(x with the article8 018s50c￿l
organ1s￿l0tta1 slructtire
Ch&dly Is a0￿M￿d by the Board of Tnjstees, 4th1th Incl￿e5 Ihe lTu9￿ and meets rwJul8rly to oversèe tha ￿rk
and d8velopmenl of the orga1￿SatW. Tr managgThent ieam 1$ T￿4￿5&bI& r(w ￿￿eeIng the strategir dgvelopment
ol th8 o￿n￿allOn, i[K￿diffg long lerm susta1￿bl1ty, reuuitrnent, Ittentl￿ and sjp￿SK)n of 8iaff, prolecl
dèvdoprnenls Soe￿ng funding. tMJck38t managem8nl and Iha dgy to day fL¥thkng ol tho DrgwL1sal￿n. Thg
Management team Is dotal8d b811M.
LyTthw Stone . MBnaging txrectorlcentre
Ernma Eastham - Opgralons Dlreclorioiri￿ Man
Der(1 Prf￿8y - DepuLy C*nlie Manag8r
13.11 23
Approv￿ by orfarof the tr￿￿rd oftsustees (￿.................... .... .
. and on behalfby..
Page 3

It4DEPEND￿ EXAMINElfS REPORTTO 17IE TRUSTEE8 OF
BRIGHTER DAYZ
Indep￿￿onf examlnerfs report lo the tru￿e06 of Brlghf8r Dayz Imhp Compan￿)
I report lo Ihe tharity Iw4tslgg5 on my examInal￿ of th8 a&￿￿tS ol the Companyfor the year ènd￿ 31 Au￿sL 2023.
Respon$lbllltles and bzsls of report
As the chartt￿5 truslees of Iha Comp8ny land also Its ￿1￿Clo￿ lorlhe ofcomp8ny bwl you arè rèsponsbl8 for
the pr8paT8llon of the a¢GtyJnts In a(xordance vAlh the requlrThnts ol the CotnWi98 Act 20(￿ (U)e 2006 Acl'l.
Ha￿ng sAllsfied my¥£ll thal the 8ux)unts of th8 comp￿ are not reqthd to be Lmd8r Part 16 of the Acl
and arg elIulb￿ for Ind&P8nd￿l 8xarninallon. I r8fKbrf in respeci of my px3mlnatkn ol your th8ritys acCL￿nts as canl>J
out under Section 145 of the CharfU&s Ac(2011 Cthe 2011 Acri. out my ex8mlnatiDn I havo followed the
DIreCt￿nS by thg Charity Crrtnmlsdon under secti￿ 145151 <bl ofthe 2011 Ad.
Indep¢ndtnt ￿mineRS slatwnent
Slnce your chthws gross incom8 ex￿1&d £250,0￿ y¢￿r musl b& a m&mber of a Islsd bcmty. I can cc•)firm
that l am qualif￿ lo undertake the oxarwnation b￿U98 1 am a M￿)ber d the Insliluto of Chartored Acuuntanls In
England and Wales, vthlch Is ol the bodies.
I havo compl8tgd my exan￿Tra￿'0n. I ci)nfirrn U￿t no maltars have cL¥fbe to my attenW￿ wfth th8
8xqmlnaUon GI￿ng me cause ta bthve..
aGeA)unlng T￿or￿a VJ*re nol koptln res￿ of the Cornpany as requlred bySECtkn 386 01 Iho 2006 Acl: IX
Ihé ￿e￿￿￿tS do n(It ac¢ord wilh those ￿O￿ls..
the accounts do not conwy wilh lh6 aC￿￿nti￿ r￿u￿ern￿ts of S8ction 396 01 Ihg X106 Acl ttthèr fhan any
r8quiremenl Ihal If* accounts a true and lalr waw wlgth kn rK)t a tnattor conSIdè￿d as pari of 811
Independent examlnalion., oi
tha accounts have ni* bean pr8pared In a¢Ix)rd￿{* th8 methods and pthcJrd8s ol tho Stslemenl ol
Rec0[nrnand￿ Pr8Ctlc8 w)uTrting aThl retmwting by fts1ti9s 19rw￿)IO to ¢haritigs proparfng 11)elr
Sa￿unts In a¢(xjrdance￿ih tho finaDckl Repo￿n9 Star￿ard gpp4cat4e k) the UK Republit of IrelaTh4 (FR8
1021}.
I have no concerns and hav& ￿me woss rm) 011￿ maltars In ￿￿th)n wAlh the 6xamlnalon to attention ghcrtjld
be diawn In th65 report In ordèr to enablo 8 prw8r und•rstandkvJ of lh• 3ccwTrtg to be maoh*l.
Mr Ndl Whlldwham BA (Hons) FCAATT
NR8
1st Floor Waiwsld8 Hous8
Watersld6 Drl
W￿an
Lancashlr8
WN3 5AZ
Dat&:...
Pag9 4

BRIGHTER DAY2
STATEMENT OF FINANCIAL AGnwTIES
FOR THE YEAR ENDED 31 AUGUST 2023
Perjod
26.10.21
Year End8d
31.B.23
Ltnrestrfcted
fuhd
31.8.22
Totsl
fundB
Notos
INCOME AND ENDOWhlE14TS FROM
Donallons ond legathes
1,584
249.9B7
EXPENDITURE ON
RaislThJ funds
82.380
82,298
¢harftBble o¢tivbtlÉs
E￿￿tiOn
178.623
82,866
Total
261.203
165.154
NEf INCOME
40.3B1
RECONCILIATION OF FUNDS
Tolal fundg brought forward
84,833
TOTAL FUNDS CARRIED FORWARD
125214
84,833
The nolos f(Ym part of Ihese financh81 statemènls
P¥5

￿R￿FrrER DAY2
BALANCE SHEET
31 ALIGUST 2023
31.823
Unrestrict8d
fund
31.8.22
Totsl
funds
GuRRE￿ ASSETS
Dgblors
Cgsh at bank
39,329
87.8x1
52.675
33.258
127,179
85.
CREDITORS
Amounts folliNg due ¥￿thIn Me
11.9651
(1.1001
NET CURRENT ASSETS
125.214
,833
TOTAL ASSET8 LESS CURRENT UABILrriES
125,214
84,833
Ngr ASS￿5
125.2fj4
84.833
FUNDS
Unrestrl¢t8d funds
125.214
84,833
TOTAL FUNDS
125.214
84,833
The rthqviable company Is 8ntEtled to exemplon fri￿ wtht Sgd]on 477 of the Cw)anl6s Act 2008 fv the year
onded 31 A￿ust 2023.
The members have not requlrad the (ornpany ts) oblaui an audl Gl Tts {kna￿al stat8mants fr)r thg ypar ￿n￿
31 August 2023 In aGcxy71an¢e *ilh S8thon 476 ofthe CoMpan￿$ACt 2008.
The trusl&es afknwledge Ihetr r&qpandbilllies lor
lal
ensurtng th81 the d1arftal￿o ¢x)rryJaHy keeps a(xx)Lh)Ing re(ayd8 that eA)mptry Imth Se(thn8 386 387 01 thè
¢ompanles Act 2006 and
prepariNJ finarKial slalom8nts whlr* ￿ve a Iwe ard fair view oftrLO $ts18 0(aff8￿ of ￿ d)8JKthle ctsmpsny as
8t the 6nd of each finaTrcial year and ol its sUrp￿S defacll kn each flnanckgl year In ac(x¥dar￿￿ wilh th6
quSrsrnents of Secllans 394 w)d 395 and othatVKg the r￿L￿rnmen￿ tsf Ihe Companies Act
2008 rotauno io finandal 8l8tgrn￿l$. to Ihe GharftatrA8 ￿)m￿qny.
Th888 flnAncLol stalgrnoniB have b88n pwpared in ?¢(*dan￿ Ihè 8FWicaJAa to d￿rtabl8 (£¥￿an1&S
ssjtied lo Ihe smal ¢omp8nles regime.
men18 ￿re approved by the B(wd ￿ T￿￿¢￿5 and auth￿￿1 fv issuè
and WBTO $￿ed tohafby..
Ibl
¢181
Thè notes form part oflhes8 flngnLqal statenKnts
P￿6

BRIGHTER DAY
NOTES TO THE FINANCIAL STATEMEKrs
FOR THE YEAR ENDED 31 AUGUST 2023
ACCOUNTING PoL￿lEs
BaÈls of preparfng the flnandal statements
Th& finonLyal sl8tém8nts of tha charttable (xjmpany. 7Athh L4 a ￿lIty under FRS 102, have been
pryr8d in a¢¢ordancÉ> wth Ihe Chariles SORP {FRS 102}'Accrwnty aNI RepotlNJ by Charttles.. S14tem8nt
ol Rwmmèndèd Practl¢e app]irabl8 to thar￿65 wepathg the￿ accamt8 In ￿cOr{lane£ vAth tha Financial
R¢portlroJ Standard ￿p￿le&ble in tho UK and RewbltG of IfdaThJ IFRS 102) leffectfve 1 ￿Uary 20191,, FlnanuAI
Ropoth StandaTd 102 Tr Flronryal Reporbng Standard applical￿e in the UK and Rewblic of Ireland, and thè
Companle8 AGt 21￿. Th8 financlal statemenls ha￿ Lmdèr t1￿c(￿aL cnsl corNenkn.
Ail IncL)m6 Is re￿ll￿ed In Ihe Stalerft8nt of Flnancthl Aelmlles the ththly has enUtl8m8nt to tho funds, 11
Is probabl6 Ihal the ￿11 b8 8nd the 8mount c8n LE mea$w￿ rdlabty.
ExperEdituro
Llabllltl8S terx)gnlsed as exp8ndlhT8 as S(￿ Bs there Is a legal OT constwdyB IWigahDn ￿mmIttIng Ihe
ch8rfty to that 8xp8nditure. wobatAa Ihat a transfer ol b8n&nts be rewwed in seidement and
tha 8mounl of the obligatiw L¥n be m$asuT2d relHbly. EyThthtur8 Is 8CAX)ullt8d lor on an basls and
has begn cl859hled under he8ding¥ Ihat aggwatè all i￿1 k) th& r21euw. Where o)sts GaDnol b8
dkn¢lly attri￿1￿j to partI￿￿r h8adthgs W hAVè been alhThtad to ￿l[las ￿ a b3g& consL%tènt w41h the u¥9
ol wsour￿$.
Taxatlon
The oharity Is exempi l.Tm oJrwraUDn laxon Its charftablaaC*￿t￿.
Fund a¢¢ounting
Uni8slrtoted furnls cAn be used kn aox1d￿ with the 4knrltdAe 91 Ihe dsueuon ofthe trustee&
Restricted funds can onw b8 usèd lor partitxtstestrlcled wrpxJs8S WtINn Iho d)le(*s of the chwty. Restrictiot)3
artse when spgcitted by th8 donor Or￿en funds are rals&J for parNuJlar reslrfct8d wrposes.
Furfher è*nailon of IhB nature aThJ purF•Xg 019aEh (￿d irK*J￿1 kn the ncles to Ihg flnamaal Statem￿ls.
Pon$lon costs and othèr postwrdlyement benefits
Th8 charllabla company cwate¥ a d8find ts)Dtsthulton pgnwon sth&mg. Contn￿tlon¥ payable lo th
charfIa￿e companys p6ndon schemo 8re chw to Ihe Statement of Flnan(yal Ar￿1￿￿8 in the to whlch
they rdats.
RAISING FUNDS
Raising donattollg and189ad•8
Period
26.10.21
to
31.8.22
YearEnded
31.B.23
Support costs
2.663
Inw8tm8nt Management eosts
Pertod
2&1D.21
to
31.8.22
Year Ended
31.823
R8nt Ixjllecuo
21,6(K>
18.OIKI
A￿re98t6 amwnts
82.298
Page 7
c(mlinu8d...

BRIGHTER DAYZ
NOTES TOTHE FINANCIAL STATEMENTS- cotttlnued
FOR THEYEAR ENDED 31 AUGUST 2023
TRUSTEE￿ REMUNERATICW AtrID BENEFITS
Th8f8 were no I￿￿te&s. rem￿Hat￿on or otsr I￿&￿ta the year 81x1￿ 31 ￿jguSt 2023 th8 perf(xJ
endod 31 Auuust 20Y2.
TNstees' expons•5
Thgrg tswlges, •xpenges ￿ld for Ihe year ￿ded 31 Augusi 2023 IKW for the perfoj ended
31 A￿￿1 2022.
COMPARAfivES FOR THE STATEMENT OF FINANCIAL ACTMTE8
Unyestrlcitsd
fund
INCOME AND ENDOWPAENTS FROthI
Donallons and leg8e*s
249.987
EXPENDITURE ON
Raising fvnd¥
82.298
Charflable actl¥4tl85
Educatlon
82,856
Total
165,154
NET IMCOME
84.833
TOTAL FUNDS CAKRIED FORWARD
84,&33
DEBTORS: AAIOUNTS FALUNG DUE wmiiN ONE YEAR
31A.23
31.8.22
Trndo d&btfjrs
oth8rdèbto
36J29
3,0
49,875
3.000
39.329
52,875
CREDITOR8.. AMOUNTS FALLING DUE wrrHIN ONE Y&IR
31.&23
31.822
Soc181 seojrtty and olherlaxas
Olhéru8dkors
515
585
1.965
1,100
MOVEMENT IN FUNDS
Net
movement
In funds
At 1.922
31.8.23
Un￿StrIcted funds
84.833
40.381
125,214
TOTAL FUNDS
40.381
12S214
.Pa988
conl1nu￿...

NOTEP TO THE FINANCIAL STATEMENTS. conllnued
FOR THE YEAR ENDED 31 AUGusf 2023
MOVEMENT IN FUNDS- ¢onllnugd
Nat Mov￿6nt h funds. i1￿￿ded in IhB at*Mare as fi)Il¢
Incomlng
reBour
Re8ourcg5 Movement
8xpgnded
In funds
Unreslrkted fund8
Gen￿al fuNJ
)1.584
{281,203)
40,381
TOTAL FUNDS
301,584
1261,203
4D,381
Compgrndves for movement In funds
et
movoment
In hENI$
31.822
UnrÈstrlct8d funds
GenÈrBI fund
84,833
TOTAL FUNDS
84.833
c￿rat￿ nd mov0m￿l i) fwds, lTra￿led in thp above a8 f¢A￿￿..
Incomlng
resour¢es
Resources
expondad
Movement
in fund%
Unre$trlcted fund8
Ggnerdl fund
249.￿7
1165.1541
84.833
TOTAL FUNDS
249.987
1165.1541
84,833
RELATED PAKry DISCLOSURES
Th9fe were no relaby party l¢Y Ihe yw 31 August ￿3.
P8ge 9

BRIGkfTER DAf£
DETAILED STATEMENT OF FINANCIAL A￿[iV￿Es
FOR THE YEAR ENDED 31 AUGUST 2023
Pgrlod
2&10.2
Year Ended
31.823
31,8.22
INCOME ANO ENDOWMENTS
Donatlons and l•ga¢les
Donalions
301,584
249,987
Yotsl tncomlng resourGe8
201.584
249.987
EXPENDITURE
Othar cha￿tabl0 actlvilie5
Purehases
eiJ.780
61,635
Investment managgrnent
Rant colleclion
21,800
18,000
Charllabla 4ctiYltlg8
Wagès
Ptlnslons
Insuranc8
Telephone
Po8tsge and 8ts1ionery
IS1.436
2.587
7.294
1,767
231
64,349
656
3.T12
524
154
163,315
69,455
Support Costs
Management
Rates and water
1,273
5.735
Flnance
ank LaorueA
411
Information tèchnology
Sundrfes
IT Soft￿re and Co￿￿Uma￿eS
1045
4,684
2,8Q3
3.405
7,929
6,098
Olh&r
Motor Vehicle EXP￿0$
staff Trainhg
3.949
30D
1.265
4,249
1270
Governan￿ costs
Ac¢ounlancy fea&
1.eA8
2,683
Tol81 res¢JJrc4s expend
261,203
185,154
Nèt Income
40.38",
84,833
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