## Year-end Report 

Seed Sowers UK & Europe Trust For the period ended 31 March 2025 

Prepared by Stephen Harper 

Prepared on 2 April 2025 




## **Table of contents** 

Financial Activities...........................................................................................................................................3 Balance Sheet .................................................................................................................................................4 

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## **Financial Activities** 

April 2024 - March 2025 

|**Financial Activities**<br>April 2024 - March 2025||
|---|---|
||**Total**|
|INCOME||
|Donations|12,415.65|
|**Total Income**|**12,415.65**|
|TOTAL|**12,415.65**|
|EXPENDITURES||
|Bibles for Free Distribution|363.65|
|Communication Costs|210.95|
|Distribution Event Costs|896.48|
|Insurance|306.50|
|IT Costs|154.31|
|Postage & Shipping|268.23|
|Printing& Related Costs|11,552.92|
|**Total Expenditures**|**13,753.04**|
|NET OPERATING INCOME|**-1,337.39**|
|NET INCOME/(EXPENDITURE)|**£ -1,337.39**|



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## **Balance Sheet** 

As of March 31, 2025 

|**Balance Sheet**<br>As of March 31, 2025||
|---|---|
||**Total**|
|FIXED ASSET||
|**Total Fixed Asset**||
|CASH AT BANK AND IN HAND||
|Cooperative Community Direct|10.00|
|Lloyds Current Account|1,553.59|
|Lord's Work Trust|658.75|
|Paypal GBP|119.51|
|**Total Cash at bank and in hand**|**2,341.85**|
|NET CURRENT ASSETS|**2,341.85**|
|NET CURRENT ASSETS(LIABILITIES)|**2,341.85**|
|TOTAL ASSETS LESS CURRENT LIABILITIES|**2,341.85**|
|TOTAL NET ASSETS (LIABILITIES)|**£2,341.85**|
|CHARITY FUNDS||
|Opening Balance Equity|3,679.24|
|Retained Earnings||
|Surplus/(Deficit)|-1,337.39|
|**Total Charity funds**|**£2,341.85**|



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