THE SOCIETY FOR THE RELIEF OF DISTRESSED JEWS Profft and Loss actount for the year ended 30th September 2022 2022 2021 Tumover Interest RerElvable Investment Income Gains on Investments Donations Other Income Total IncomSng Recources 579.43 3.038.75 41,787.38 120.00 0.00 45.525.56 1.01 2.680.23 -31,260.95 -28.039.71 Less Expenses Charitable Donations Bank Charges Gener81 Expenses rued expenses 47,574.39 0.00 83.00 2,383.37 50,050.56 2,500.00 Retained proflt fol the year 43.025.56 -78,090.27 Non8 of the companls actlvilies was acqUid or disconllnued during the above two financial years The note on the final page form part of thesg financial statements.
THE SOCIETY FOR THE RELIEF OF DISTRESSED JEWS Balance Sheet as at 30th Sepletnber 2022 Notes 2022 2021 Current Assots Investments Community Account Premium Account 83,857 17.169 10,617 42,070 24.049 Current LiabilitS 55,700 53,201 Total Assfrts 55,943 12,918 Fund8 Share Capital Account Unrestricted Profil for the Year 94,544 -81.626 43.025 94,544 -3.536 -78.0 Total Fund$ 55,943 12,918