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|||0|||||
|---|---|---|---|---|---|---|
|RTHE|OD|RRU|TO|rS20|||
|||||||~22|
|Donations - aufestrlcteg||||||38,547|
|lllterest reeerveg||||||7|
|Total receipts||||||88884|
|PAYMENTS:|||||||
|Donaticns||||||31,226|
|Website costs||||||438|
|Bank charges||||||74|
|Total payments|||||||
|NET OF RECEIPTSI(PAYMENTS)|FORTHE PERIOD|||||6,816|
|CASEFUNDS LASTPERIOD ENB|||||||
|CASH FUNDS THISPERIOD END|||||6|686|
||The notes on page 5form part ofthese accounts.||||||





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|CASH FUNDS:|||
|---|---|---|
|Banlt entreat aeeeunt||6,816|
|NET ASSETS|8|6 816|
|Represented by:|||
|RESERVES|||
|Reserves||6,816|
||8|6816|





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