**Trustees' Annual Report for the period From** Period start date **T** Period end date 14 Dec 2023 **o** 31 March 2025 Section A                        Reference and administration details 

**Charity name** Virasati Asthan Seva **Other names charity is known by Registered charity number (if any)** 1206188 **Charity's principal address** 7 Elmdene Avenue **Postcode** RM11 2QH 

## **Names of the charity trustees who manage the charity** 

||1<br>2<br>3<br>4<br>5<br>6<br>7<br>8<br>10<br>11<br>12<br>13<br>14<br>15<br>16<br>17<br>18<br>19<br>20|**Trustee name**|**Office (if any)**|**Dates acted if not for whole**<br>**year**|**Name of person (or body) entitled**<br>**to appoint trustee (if any)**|
|---|---|---|---|---|---|
|||Resham Singh<br>Matharu|Chair and Lead<br>Researcher|n/a|Original Trustee|
|||Mandeep Singh<br>Kalsi|Deputy chair and<br>researcher|n/a|Original Trustee|
|||Jivanpal Singh<br>Bans|Strategic Adviser|n/a|Original Trustee|
|||Jasdip Singh<br>Dhillon|Admin Assistant|n/a|Original Trustee|
|||||n/a||
|||||n/a||
|||||n/a||
|||||n/a||
|||||||
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|||**Names of the trustees for the charity, if any, (for example, any custodian trustees)**||||
|||**Name**||**Dates acted if not for whole year**||
|||||||



**TAR** 



**Names and addresses of advisers (Optional information)** 

**Type of adviser Name Address** 

## **Name of chief executive or names of senior staff members (Optional information)** 

## **Section B              Structure, governance and management** 

## **Description of the charity’s trusts** 

Constitution Type of governing document (eg. trust deed, constitution) Charitable Incorporated Organisation How the charity is constituted (eg. trust, association, company) 

Appointment Trustee selection methods 

- (eg. appointed by, elected by) 

## **Additional governance issues (Optional information)** 

You **may choose** to include additional information, where relevant, about: 

- policies and procedures adopted for the induction and training of trustees; 

- the charity’s organisational structure and any wider network with which the charity works; 

- relationship with any related parties; 

- trustees’ consideration of major risks and the system and procedures to manage them. 

## **Section C                    Objectives and activities** 

The charitable purposes of the company are, for the public benefit, the preservation and conservation of sites of historical and **Summary of the objects of the** architectural importance (including immovable cultural heritage which **charity set out in its** is integral to the site), primarily within South Asia with a special focus **governing document** on the Panjab region and the Sikh tradition. 

**TAR** 



1.Studying, recording, cataloguing and photographing heritage sites in order to make them available to a wider international audience. 2.Funding focused conservation and preservation projects through local partners. 3.Creating education programmes using a combination of web-based and non-web-based platforms and outlets. 

**Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)** 

## **Additional details of objectives and activities (Optional information)** 

You **may choose** to include further statements, where relevant, about: 

- policy on grantmaking; 

- policy programme 

- related investment; 

● contribution made by volunteers. 

**TAR** 



Section D                      Achievements and performance 

## **Summary of the main achievements of the charity during the year** 

## Membership 

Over the year we have had almost 100 members who signed up inperson or virtually to donate monthly. Each member receives a welcome pack with high-quality photographic prints. 

Projects 

We have funded the production of detailed conservation proposals for two projects: 

i) Haveli Kavi Santokh Singh (Kaithal) ii) Gurduara Baba Bikrama Singh (Amritsar) 

The implementation of the first project is well-underway and has reached the end of phase one. 

## Events 

Our team has spoken at a number of public events held at Gurdwaras as well as Sikh professional networks. 

## Media 

We have a regular output of media on our social media pages and have released a number of full-length podcast type interviews related to heritage conservation. 

**TAR** 



**Section E                    Financial review** 

The charity ensures it has sufficient cash reserves to meet ongoing **Brief statement of the** expenditure requirements and payment of the two contractors performing **charity’s policy on reserves** functions in India. **Details of any funds materially** Not applicable. **in deficit** 

## **Further financial review details (Optional information)** 

You **may choose** to include The charity received cash of £66,373 in the form of its income and made additional information, where payments of £30,736 in the form of its expense during the financial year. relevant about: The charity held £33,450 at the bank at 31 March 2025. ● the charity’s principal sources of funds (including any The primary source of fundings was from donations by members and Gift fundraising); aid tax relief claimed on those donations from HMRC where Gift Aid ● how expenditure has declarations were made. Additionally, singular donations were received supported the key objectives of from supportive charities and businesses. The bulk of the income the charity; received in the current year was spent on contractors in India. ● investment policy and objectives including any ethical The Trustees believe that all the reserves are unrestricted both in the investment policy adopted. current year and prior year.  The charity aims to maintain cash reserves at a level where at least 1 year of expenditure can be maintained. This is to ensure that the charity has enough time to arrange funding should donation income reduce without bringing operations to a halt. 

## **Section F                     Other optional information** 

## **Section G                    Declaration** 

**The trustees declare that they have approved the trustees’ report above.** 

**Signed on behalf of the charity’s trustees** 

**Signature(s)** 



**TAR** 



Jasdip Singh Dhillon **Full name(s)** Resham Singh Matharu **Position (eg Secretary, Chair, etc)** Chair Administrator **Date** Monday 15th December 2025 

Sukhr 

**TAR** 



REGISTERED CHARITY NiiMBICR: 1206188
Re
oit of th¢ Trustees and
Utsaudkted Fin
ticial
for th¢ Period
ber 2023 to 31 March 2025
men
14D
for
Vtrasati Astha
va
lohal & Cotnpany
Chartered L£rtified Accountallts
& Regislcred Auditors
spectr￿1￿ Hovse
2B Suttons Lane
Hornchurc
Essex
RM120RJ

Virasati Asth&n S¢va
Content of iht Fin&Thcial Statement5
foi. {￿e Pciiod 14 December 2023 to 3 1 March 2025
Page
Report of the Trustees
1Thdep￿dellt Examit)eVs Report
Statement of Finan¢ial Activities
Balance Sh¢e¢
Note5 to the FÈnallcial Statemcrtts
Detailed Statement of Financial Activities

Virasali A5thaD Sev&
ort of ihe Trus
he Ptri
4 Dec¢mber 202
for
to 31 MaTGh 2025
The trust¢e5 pr¢sent their report with the fJnanci&l statcm¢nts of thE charity for the ￿rIOd 14 December 2023 10
31 March 2025. The trust¢es have adopted the provÈsion5 of Accounting and R¢poriing by Charities.- StatBment of
Recommended Practi¢¢ applicable to charities preparing their accounts in accordan¢e with the FÈiiallGial Reporting
Sfandard applicable in the UK and RepubliG of Ireland IFRS 1021 l¢ff¢ctÈve l January 2019).
OBJKCTIVES AND AcfiviTIES
Objectlve$ And Hims
The Gliaritable purposes of the company are, for the publiG benefit, the preservation and ¢onscrvalion of sit¢5 of
historical and 8rcliite¢turpl importatice (including immovable cultural heritag¢ whieh is intcgral to the sit¢), primarily
within South Asia with a special focus on the Panjab region and the Sikh Iradilion by..
l. SI￿aYiNg, r¢¢ordingi cat8108U)rtg and photographing said sites in order to inoke th¢Ln availabl¢ to a wider
international audience.
2. Fundittg focused ¢onseNation aiid preseNa¢ion projects through local partners.
3. Creating education progr&inmES Using g wmbination of web-based and non-web based platfoms and outlets.
FINANCIAL REVIEW
Flninci&l position
During Ihc yejr, the chayity's income from donations was £66,373.
The charity's expenditure on ¢orryin8 out prOj￿ts to fulfil its purposes was £30,736.
The charity held £33.450 at tILe bank at 31 March 2025.
Re5erve* policy
Th¢ Trustees constantly monitors its 12 months ¢om]nitments JgAillSt it5 Itvel of reserves.
STRUCTURE, GOVERNANCE Af4D MANAGEMENT
Covei'ttin% docume￿t
The charity i5 Cotttrollcd by its governing d(Kumen¢, a deed of trust dated 1711012023 and ¢onstLtutes a ch8ritabl¢
in¢orporated organisation,
Reei'uilment *iid appol¥Etment of new ti'ustee5
Apart from tlje first charity trustc¢s, ¢very tYus¢ee must be appointed by & resolution pass¢d at a properly Gonv¢n¢d
mc¢(ing of the charity trustees.
The Gharity trustees will make available to each new charity trust¢e, on or before his or her fjrst appointm¢nt.'
(a) a copy of thc current versiDn of thss constitutiotE' and
Ib) ll copy of the CIO'S latest Trust¢es' Anllu31 Report and Statement of account$.
Th¢ trusttts are instructed on the funding prof115 And com￿1[ments.
Rislc mAnagement
Tht trustees have assessed tht major risks to which th¢ Charity is exposed, in particular those relaled to the 0￿rationS
and fillan¢es of th¢ ch&i'ity and are satisfi¢d that systems and procedures ikn placc to mitigate our exposure to the
major risk5.
RII FEREIYCF, AND ADMINISTRATIVE DETAILS
ReEl5tered Cbkrlty number
1206188
Pa8e I

Virasali Asthan Seva
Re ort of tlje Tr
for the P d 14 De¢embcr 2023 to 31 March 2025
Principal 8ddi'e55
7 Elrndcne Avenue
Horn¢hur¢h
Ess¢x
RMI 12QH
Trustees
Dr R S Maiharu
J S Ban8al
J S Dhillon
S Kalsi
Independent Exaininer
Johal & Company
Charlercd Certified Accountantg
& Registered Auditors
Spectrum House
2B Suttons Lane
HorDLh￿l.¢h
Essex
RM12 6RJ
Approved by order of the board of tru5¢ees Dn............
JaBdlpSINJh Dhl
Trustee
Page 2

Inilriicndent e¥#rthliier ¥ repovi lib Ihe *ruslets ofiiiri$ali Ast11￿￿ Sev
IiL'gisiLY*d Audilui
02r

Virasati Asth ll Scva
Sta
emenl of Financial Activitie
for thc Pcriod 14 D
cember 2
l March 2025
Unr¢stricted
fund
Not¢s
INCOME APID ENDOWMEIYTS FROM
Donations and legacies
EXPENDITURE ON
Raising funds
1,692
ClIAI'ltAble activities
Project costs
Support ¢osts
30,736
495
Total
NET INCOME
33,450
TOTAL FUNDS CARRIED FORWARD
33.450
The notes forni part of thcse financial statements
Pag¢ 4

ati Asthan Seva
Balance Slieet
31 M rch202
UnrcstTlCted
fund
Noles
CURRENT ASSETS
Cash at bank
33,450
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT
LIABILITIEI S
33.450
NKT ASSETS
FUNDS
Unrestricted funds
TOTAL FUNDS
The financial statements were approved by th¢ Board of Tru5te¢s and authorised for issue on
14ftrylqx.17.1ty.tyg.yp.m￿*[.￿oAl..... aTLd w¢r¢ signed on sts behalf by..
Dhlll
Tiustee
Thc note5 fomi part of these fillanrial statemcrtty
Page 5

Virasati Asthan Seva
Note
o the Financial Statements
riod 14 December 2023 to 31 M r¢h 2025
ACCOUNTING POLICIES
Basis of prepAring th¢ fiiihnci81 st*temeDt$
Tlie financial statements of the ¢harity, which is a publi¢ bellefit ¢ntity under FRS 101 h&Ye be¢n prepaitd itt
accordanee with the Charities SORP (FRS 102} 'A¢countÉng and Rew)rling by Charities.. Stat¢ment of
Recommended Prn¢ti¢e applicable to charities pr¢paring their accounts ill a¢¢ord&nce with the Financial
Reporting Standard applicable in the UK and Republic of Jrcland {FRS 102) {effective l J8nuary 20191,,
Fitkancial R¢portln8 Slgndard 102 Yhe Finan¢ial R¢porthng Standard applicable in the UK and Republi¢ of
Ireland, and th¢ Charitics A¢t 2011. The finart¢ial statements have be¢n pr¢pared under the historical cost
convention.
Income
All incom¢ is recognisrd in the Statement of Financial Aotivitits on¢e th¢ charity has entitlement to the funds, it
is probable that the it)come will be reccived and the amount can be measured reliably.
Expenditure
Liabilities are recogttised as expcnditure as siK)n &$ th¢r¢ is a legal or collstructive obligation committing the
charily ¢0 that expenditure, 1¢ 1$ prob&blc that a Iransfer of economic benefit5 will be requir¢d in settlement and
the amouttt of the obligation can b¢ tneasurcd rcliably. Expenditure is accounted for on an arbruals basis has
btell olas5ifiBd under hcadings that aggregate all cost r¢lat¢d to the category. Wh¢rc costs cannot be dircGtIy
attributcd lo particular headuigs th￿ have been alloL&l¥d to activities on a basis coll5k5lent with th¢ use of
resources.
TRxatlo
The charity is exempt from tax on its charitable activities.
FuRd J)c¢ounting
Unrestricted funds eall be used in ac¢ordance with the ¢karitable objectivcs at the discretion of the trustees.
R¢slii¢ted fund5 call only be used for particular restrided puryosc5 Within the objects of the ¢haiity.
Rests'ictions arise when spe¢Èfied by lh¢ donor or whcn funds are raised for particular restricted purpl1￿5.
Furth¢r explanation of the nature and PULyose of ¢a¢h fund is included in the notes to the financial statem¢nts.
TRUSTEES, RCI I￿lUNERATIoN AND BEIYEVITS
Th¢re were no Iruslees, r¢mun¢ration or other benefits for the period ended 31 March 2025.
Trustees, exptiises
There were no Iwslees, expehses paid for the period ¢nd¢d 31 Mar¢h 2025.
Past 6
¢oJ)tinucd...

Virasati Astha
otes to tlie Financial St temenls- conlinued
for the Period 14 D¢
mbcr 2023 to 31 Mar¢h 2
25
MOVEMENf IN FUNDS
Net
movement
in funds
At
31.3.25
Unrestricted funds
General fund
33,450
33,450
TOTAL FUNDS
Net movemet]t sn fullds. included in tILe above are a5 follows:
Incoming
r¢souw¢s
R¢50urces
expended
Mov¢meE)t
in funds
UnrÈ$tYicted funds
General fund
66.373
(32,923)
33,450
TOT AL FUNDS
RELATEI D PARTY DISCLOSURES
There were no related party transactions for the period ended 31 Mar¢h 2025.
Pag6 7

Viiasali Asthan Seva
Detailed St ¢etnent of Financial A¢livi¢Ées
for the Period 14 D
cember 2023 t
l March 2025
INCOME AND ENDOWMENTS
Donatlon$ legacies
Donations
Total In¢omiThg resDurces
66,373
EXPENDITURE
Raisillg donAti0tts Ind l¢y¢ies
Subscriptioiis
Proinotional
Printing aiid postage
401
650
1,692
Cb8ritAble A¢tEvltle8
Project Costs
30,736
Support eosts
other
Software c05ts
495
Totsl resources expended
Net ineome
This page does not fornE part of the statutory financial statements
Pagc 8

REGISTERED CHARITY NiiMBICR: 1206188
Re
oit of th¢ Trustees and
Utsaudkted Fin
ticial
for th¢ Period
ber 2023 to 31 March 2025
men
14D
for
Vtrasati Astha
va
lohal & Cotnpany
Chartered L£rtified Accountallts
& Regislcred Auditors
spectr￿1￿ Hovse
2B Suttons Lane
Hornchurc
Essex
RM120RJ

Virasati Asth&n S¢va
Content of iht Fin&Thcial Statement5
foi. {￿e Pciiod 14 December 2023 to 3 1 March 2025
Page
Report of the Trustees
1Thdep￿dellt Examit)eVs Report
Statement of Finan¢ial Activities
Balance Sh¢e¢
Note5 to the FÈnallcial Statemcrtts
Detailed Statement of Financial Activities

Virasali A5thaD Sev&
ort of ihe Trus
he Ptri
4 Dec¢mber 202
for
to 31 MaTGh 2025
The trust¢e5 pr¢sent their report with the fJnanci&l statcm¢nts of thE charity for the ￿rIOd 14 December 2023 10
31 March 2025. The trust¢es have adopted the provÈsion5 of Accounting and R¢poriing by Charities.- StatBment of
Recommended Practi¢¢ applicable to charities preparing their accounts in accordan¢e with the FÈiiallGial Reporting
Sfandard applicable in the UK and RepubliG of Ireland IFRS 1021 l¢ff¢ctÈve l January 2019).
OBJKCTIVES AND AcfiviTIES
Objectlve$ And Hims
The Gliaritable purposes of the company are, for the publiG benefit, the preservation and ¢onscrvalion of sit¢5 of
historical and 8rcliite¢turpl importatice (including immovable cultural heritag¢ whieh is intcgral to the sit¢), primarily
within South Asia with a special focus on the Panjab region and the Sikh Iradilion by..
l. SI￿aYiNg, r¢¢ordingi cat8108U)rtg and photographing said sites in order to inoke th¢Ln availabl¢ to a wider
international audience.
2. Fundittg focused ¢onseNation aiid preseNa¢ion projects through local partners.
3. Creating education progr&inmES Using g wmbination of web-based and non-web based platfoms and outlets.
FINANCIAL REVIEW
Flninci&l position
During Ihc yejr, the chayity's income from donations was £66,373.
The charity's expenditure on ¢orryin8 out prOj￿ts to fulfil its purposes was £30,736.
The charity held £33.450 at tILe bank at 31 March 2025.
Re5erve* policy
Th¢ Trustees constantly monitors its 12 months ¢om]nitments JgAillSt it5 Itvel of reserves.
STRUCTURE, GOVERNANCE Af4D MANAGEMENT
Covei'ttin% docume￿t
The charity i5 Cotttrollcd by its governing d(Kumen¢, a deed of trust dated 1711012023 and ¢onstLtutes a ch8ritabl¢
in¢orporated organisation,
Reei'uilment *iid appol¥Etment of new ti'ustee5
Apart from tlje first charity trustc¢s, ¢very tYus¢ee must be appointed by & resolution pass¢d at a properly Gonv¢n¢d
mc¢(ing of the charity trustees.
The Gharity trustees will make available to each new charity trust¢e, on or before his or her fjrst appointm¢nt.'
(a) a copy of thc current versiDn of thss constitutiotE' and
Ib) ll copy of the CIO'S latest Trust¢es' Anllu31 Report and Statement of account$.
Th¢ trusttts are instructed on the funding prof115 And com￿1[ments.
Rislc mAnagement
Tht trustees have assessed tht major risks to which th¢ Charity is exposed, in particular those relaled to the 0￿rationS
and fillan¢es of th¢ ch&i'ity and are satisfi¢d that systems and procedures ikn placc to mitigate our exposure to the
major risk5.
RII FEREIYCF, AND ADMINISTRATIVE DETAILS
ReEl5tered Cbkrlty number
1206188
Pa8e I

Virasali Asthan Seva
Re ort of tlje Tr
for the P d 14 De¢embcr 2023 to 31 March 2025
Principal 8ddi'e55
7 Elrndcne Avenue
Horn¢hur¢h
Ess¢x
RMI 12QH
Trustees
Dr R S Maiharu
J S Ban8al
J S Dhillon
S Kalsi
Independent Exaininer
Johal & Company
Charlercd Certified Accountantg
& Registered Auditors
Spectrum House
2B Suttons Lane
HorDLh￿l.¢h
Essex
RM12 6RJ
Approved by order of the board of tru5¢ees Dn............
JaBdlpSINJh Dhl
Trustee
Page 2

Inilriicndent e¥#rthliier ¥ repovi lib Ihe *ruslets ofiiiri$ali Ast11￿￿ Sev
IiL'gisiLY*d Audilui
02r

Virasati Asth ll Scva
Sta
emenl of Financial Activitie
for thc Pcriod 14 D
cember 2
l March 2025
Unr¢stricted
fund
Not¢s
INCOME APID ENDOWMEIYTS FROM
Donations and legacies
EXPENDITURE ON
Raising funds
1,692
ClIAI'ltAble activities
Project costs
Support ¢osts
30,736
495
Total
NET INCOME
33,450
TOTAL FUNDS CARRIED FORWARD
33.450
The notes forni part of thcse financial statements
Pag¢ 4

ati Asthan Seva
Balance Slieet
31 M rch202
UnrcstTlCted
fund
Noles
CURRENT ASSETS
Cash at bank
33,450
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT
LIABILITIEI S
33.450
NKT ASSETS
FUNDS
Unrestricted funds
TOTAL FUNDS
The financial statements were approved by th¢ Board of Tru5te¢s and authorised for issue on
14ftrylqx.17.1ty.tyg.yp.m￿*[.￿oAl..... aTLd w¢r¢ signed on sts behalf by..
Dhlll
Tiustee
Thc note5 fomi part of these fillanrial statemcrtty
Page 5

Virasati Asthan Seva
Note
o the Financial Statements
riod 14 December 2023 to 31 M r¢h 2025
ACCOUNTING POLICIES
Basis of prepAring th¢ fiiihnci81 st*temeDt$
Tlie financial statements of the ¢harity, which is a publi¢ bellefit ¢ntity under FRS 101 h&Ye be¢n prepaitd itt
accordanee with the Charities SORP (FRS 102} 'A¢countÉng and Rew)rling by Charities.. Stat¢ment of
Recommended Prn¢ti¢e applicable to charities pr¢paring their accounts ill a¢¢ord&nce with the Financial
Reporting Standard applicable in the UK and Republic of Jrcland {FRS 102) {effective l J8nuary 20191,,
Fitkancial R¢portln8 Slgndard 102 Yhe Finan¢ial R¢porthng Standard applicable in the UK and Republi¢ of
Ireland, and th¢ Charitics A¢t 2011. The finart¢ial statements have be¢n pr¢pared under the historical cost
convention.
Income
All incom¢ is recognisrd in the Statement of Financial Aotivitits on¢e th¢ charity has entitlement to the funds, it
is probable that the it)come will be reccived and the amount can be measured reliably.
Expenditure
Liabilities are recogttised as expcnditure as siK)n &$ th¢r¢ is a legal or collstructive obligation committing the
charily ¢0 that expenditure, 1¢ 1$ prob&blc that a Iransfer of economic benefit5 will be requir¢d in settlement and
the amouttt of the obligation can b¢ tneasurcd rcliably. Expenditure is accounted for on an arbruals basis has
btell olas5ifiBd under hcadings that aggregate all cost r¢lat¢d to the category. Wh¢rc costs cannot be dircGtIy
attributcd lo particular headuigs th￿ have been alloL&l¥d to activities on a basis coll5k5lent with th¢ use of
resources.
TRxatlo
The charity is exempt from tax on its charitable activities.
FuRd J)c¢ounting
Unrestricted funds eall be used in ac¢ordance with the ¢karitable objectivcs at the discretion of the trustees.
R¢slii¢ted fund5 call only be used for particular restrided puryosc5 Within the objects of the ¢haiity.
Rests'ictions arise when spe¢Èfied by lh¢ donor or whcn funds are raised for particular restricted purpl1￿5.
Furth¢r explanation of the nature and PULyose of ¢a¢h fund is included in the notes to the financial statem¢nts.
TRUSTEES, RCI I￿lUNERATIoN AND BEIYEVITS
Th¢re were no Iruslees, r¢mun¢ration or other benefits for the period ended 31 March 2025.
Trustees, exptiises
There were no Iwslees, expehses paid for the period ¢nd¢d 31 Mar¢h 2025.
Past 6
¢oJ)tinucd...

Virasati Astha
otes to tlie Financial St temenls- conlinued
for the Period 14 D¢
mbcr 2023 to 31 Mar¢h 2
25
MOVEMENf IN FUNDS
Net
movement
in funds
At
31.3.25
Unrestricted funds
General fund
33,450
33,450
TOTAL FUNDS
Net movemet]t sn fullds. included in tILe above are a5 follows:
Incoming
r¢souw¢s
R¢50urces
expended
Mov¢meE)t
in funds
UnrÈ$tYicted funds
General fund
66.373
(32,923)
33,450
TOT AL FUNDS
RELATEI D PARTY DISCLOSURES
There were no related party transactions for the period ended 31 Mar¢h 2025.
Pag6 7

Viiasali Asthan Seva
Detailed St ¢etnent of Financial A¢livi¢Ées
for the Period 14 D
cember 2023 t
l March 2025
INCOME AND ENDOWMENTS
Donatlon$ legacies
Donations
Total In¢omiThg resDurces
66,373
EXPENDITURE
Raisillg donAti0tts Ind l¢y¢ies
Subscriptioiis
Proinotional
Printing aiid postage
401
650
1,692
Cb8ritAble A¢tEvltle8
Project Costs
30,736
Support eosts
other
Software c05ts
495
Totsl resources expended
Net ineome
This page does not fornE part of the statutory financial statements
Pagc 8