Revived Generation STATEMENT OF FINANCIAL ACTivrriES Oncorporating the 1Come and Expenditure Aceount) FOR THE YEAR TO 31 DECEMBER 2024 Ullrestri¢ted Funds Restrided TOTAL TOTAL Ge¢r1 Designated Funds 2024 2023 Note INCOMING RESOURCES Incon)ing resources from generated funds: Voluntary income ActiTrities for generdting funds Tnvestm¢nt inci)me Total Aneoming resollrees 32,279 32.279 32,279 32279 32,279 32,279 RESOURCES EXPENDED Charitable activities- Evangelism costs Ministerial l Elonoartwn for visrting n)1 Costs of other church activities Grantspayahle andyutricted Donatiolls passed on Governance costs 9,81JO 5.500 15,300 9,800 5,500 15,300 9.800 5,500 15.300 Totsl resources expended Net ineotDingl(fjutgoing) resources before tran$fern 16.979 16,979 16,979 Gross transfers between funds Net movement ill fullds Totsl funds blfwd 09 DEMEBER 2022 Prior year adjustment Total clfvd 31 DECEMBER 2023 16,979 £ 16,979 16,979
Revived Getser#tion BALANCE SHEET FOR THE YEAR ENDED 31 DECEMBER 2024 Unrestrieted Funds General Designated Restricted TOTAL TOTAL Funds 2024 2023 Note FIXED ASSETS Tangible assets CURRENT ASSETS Debtors Bak and cash balances 16,979 16,979 16,979 16,979 16.979 16,979 CURRENT LIABILITIES Creditors payable within one year NET CURREE+rr ASSETS 16,979 16.979 16,979 TOTAL NET ASSETS 16,979 £ 0 £ 16,979 16,979 THE FUNDS OF THE CHAIUTY Unrestricted income funds.. General 16.979 16,979 16.979 Designated Total 16,979 16,979 16,979 Restricted income fimds: 16,979 £ 0 £ 16,979 16,979 The financial stat¢m¢nts were approved by the Tntsfr¢s on ................... ... ................ and signed orA their behalf by. Trustee