CHARrrY REGISTRATION NUMBER: 219835
The Handmaids of the Blessed Sacrament and of Charity
Unaudlted Flnanclal Statements
31 December 2024
RGESS HODGSON LIMITED
Camburgh House
27 New Dover Road
Canterbury
Kent
CTI 3DN

The Handmaids of the Blessed Sacrament and of Charity
Financial Statements
Year ended 31 December 2024
Page
Trustees, annual ￿port
Ind8pendent examinevs report to the trustees
Statem8nt of financial activities
Statement of financial position
Notes to the financial ststements
The following pages do not fom) part of the flnanclal ststements
Detailed staternent of financial activities
15
Notes to the detailed statement of financial acttvitses

Page 1
The Handmaids of the Blessed Sacrament and of Charity
Trustees. Annual Report
Year ended 31 December 2024
The trustees present their rerort and the unaudfted fjnan¢ial statements of the charity for the year
ended 31 December 2024.
Referencè and administrative details
Registered charlty namè
The Handmaids of the 81essed Sacrament and of Charity
Charity registration number
219835
Principal office
Hunters
9 New Sguare
London
WC2A 3QN
The trustees
Sister Doty Mathew
Sister Mary Chennattu Joseph
Sistgr Felicidad Rutz Munoz
Accountants
Burgess Hodgson Limited
Camburgh House
27 New Dover Road
Canterbury
Kent
CT1 3DN
Structure. governance and management
The goveming document is a Declaration of Trust dated 27th November 1959. On 4th April 1995 the
Charity Commissioners granted a Certificate of Incorporation of the Trustees of the Charity under the
name The Trustees of the Charity of the Handmaids of the Blessed Sa¢ramenl and of Charity.
Objec￿vaS and a¢tlvFtIos
The Charity's objectrrfes as defined in the governing documeni are.. to pay or apply the trust fvnd or
the income thereof for such charttabl8 purposes connected with the Roman Catholic religion as the
trustees shall from time to ty'mè or at any b.ma the consent ofthe Reverend Mother think fiL
Public Benefit
We ￿fer to the Charity Commission's general guidance on public benefft when reviewing our aims and
objectNes and in planning our future activities.
Achievements and perfomiance
The Mother House ttf the Order is in Spain and the Sisters, Convent (Adoratricesl at 38139 Kensington
Square one of many houses throughout the world. The sisters have established a hostel consisting
of ninèteen rooms with a total of twenty beds, to help create a secure. safe and mutually supportive
environment for indwidual development. a home away from hotne.

Paye 2
The Handmaids of the Blessed Sacrament and of Charity
Trustees. Annual Report f¢ondtnuedJ
Year ended 31 December 2024
Financlal r¢vigw
The activities during the year resulted in an incraas& in lunds of £69,89512023: 8 decre&88 in funds of
£39.9931. The funds at the ygar ond were £856,24712023'. £786,352).
Reserves
The Trusys reseNes at the yearend lotalled £170.160 12023.. £89.8691 which is arrived at after
removing the value of the ftjnctional property and its fitting5. There are no ￿tricted or designated
funds. The Trustees continued to maintain reseNes during the period appropriate to meet the fvture
charitable objectiv8s of the charity, with the aim of maintaining the fund to enable the charity to
continue lo provide hostel $8rvic$s.
The charty maintsins sufficient free re58N8s {èxduding the functional property) to provlde continuty
of the charity's objects for at least 6 months without receivino any additional income.
The charity is dependent on Its functional property in Kensington and any unforgseen damage lo thls
property. such as a fjre. represents the largest risk to the charity's ability to continue operab'ons. Thg
Trustees ensure that the propety is adequately insured in the event of any such catsstrophe and the
levels of insurance are ￿vIewed on a regular ba81S.
The Trustee's believe the charity has sufficient reserves to sustsin the charity for al least 6 months.
Plan$ forfuture periods
Adoratrices
The Trustees plan to continue providing hostel services at the Adoratrfces Convent for trte foréseeable
future.
The Rahab Project
The Twslees have maintained their sUPPOrt by the payment of donations lo The Rah8b Project which
is an independent regislerad charity. The regular donations have in part been used to support the
project manager's salary during fh8 year. who works lo fuSfil the chafity's objective5 of bringing relief to
women in need by reason of social or econotnic disadvantage,. in partlcular ttrtose al risk of, involvgd in
or affected by sexual exploitation.
Consent of the donations to The Rahab Project W8s given by the approval of Ihe Trtsslees of
Handmaids of the Blessed Sacrament and of Charrty in aceordance with the. Charity's objects.
The ¢ore acttvtbès..
Cornmunity ongagement.. Outreach - weekly wglfare vissts to the women where they work, prisons,
immigration detention centres
Micaela's Home - temporary safe accommodation for women in crisis or transition, wher8 they can
experience 'everyday life, whilst receNing practieal and emotion81 support towards ind8pendent living.
The Char,ity has delwered a more integrated. flexible approach for women to be able to transition
between the different types of support they naed ￿lats've to their individual circumstsnces and choices.
The Truglees provide both financial and human resources to contlnue the rnission of Adoratrices. They
are happy with the progrgssion of Rahab Project and have agrèed to maintsln their support into future.

Page 3
The Handmaids of the Blessed Sacrament and of Charity
Trustees, Annual Report (conlinuEd)
Year ended 31 December 2024
Trustsos. responsibilities statement
The trustees are responsible for preparing the trustees. report and the financial stst8mants tn
accordance with applicable law and Unrted Kingdom Accounting Stsndards {United ￿ngdorn
Generally Accepted Accounting Praclicel-
The law applicable to charities in England and Wales requires the charty twstees to prepare financial
stalefnents for 8ach year whith give a true and fair view of the state of affairs of the charity and of the
incoming resources and application of resourees, of the charity for that perlod.
In preparing these financial statements, the trustees are required to-
select suitsble a￿ountIng policies and then 8pply Iham consistenty.,
otyserve the methods and principles in the appli(¥ble Charities SORP..
rnake judgments and accounting estimates that are reasonable and prudent,.
state whether applicable UK Accounting Standards have been followed, subject to any material
departures discIosed and explained in the financi81 ststèments".
prepare the financial statements on the going cJ)ncem basis unless Il is inappropriate to presume
that the charity will continue in business.
The trustees are responsible for keeping adequate accounting records that are sufficient to show and
explain the charity's transactions and disclose with reasonable accuracy at any time th$ financial
position of the charity and enable them to ensure that the financial Ststements coTrply with the
Char5ties Act 2011. the appliGable Charities (Accounts and Raportsl Regulats'ons, and the provisions of
the Trust Deed. They are also responsible for safeguarding the assets of the charity and hence for
tsknng reasonable steps for the preventK)n and delectlon of fraud and other irregularities.
signed on behaw of th8 board of
trustees by..
Sister
TnJstee
ly Mathew
Sister Mary Chennattu Joseph
Trustee

Pag• 4
The Handmaids of the Blessed Sacrament and of Charity
Independent Examiner's Report to the Trustees of The Handmaids of the
Blessed Sacrament and of Charity
Year ended 31 December 2024
report lo the tTUStees on my examination of the financial ststements of The Handmaids of the
Blessed Sacrament and of Charity I'the ¢harty'l tor the year ended 31 December 2024.
Respon$ibilltl8s and basis of report
The charity's trustees are responsible for the preparatlon of the financial st2tements. The charitys
trustees consider that an audit is not required for this year under section 144121 ol the Charities Act
2011 Ilhe 2011 Act) and that an ind8pendent examination 15 neeiled.
It is my responsibilty lo-
examine the aC￿Unts under section 145 of th8 2011 Act",
to follow the Procedures laid down in the general Directions gThren by the Charity Commission
under secb.on 14515)Ibl of the 2011 Act., and
to state whether parbcular matters have come to my attention.
Basts of Independent examlnerfs report
My examination was carried out in accordance with the General Direotions given by the Charity
Commissioner.
An examit)ation includes a review of the accounting records kept by the charSty and a comparfson of
the accounts p￿sented with those records. 11 also includes consideration of any unusual items or
disclosur&8 in thè acthunts. and the sèeking of explanations frDm you as trustees conceming any
such Matters. The procedures undertaken do not provide all the evidence that W¢￿Id be required in an
audit and, consequently no opinion is given as to whether Ihe accounts present a 'true and fair vie
and thè report is limited to those rnatters set out in the slalement below.
Independent examinerfs statement
In connaction with my ox¥mination, no matter has come lu my attention:
11) which gives me reasonable cause to believe that in ony material respect the requirem¢nts.'
to keep accountsng records in accordance with section 130 of the 2011 Act.. and
to prepare accounts which accord with the acwunting records and ￿mplY with the a¢￿UntIng
requirements of the 2011 Act, and the Regulations have not been met, or
121 to which. in my opinion, 8ttenlion should b8 Qr8wn in order to enable a proper understanding of the
accounts to be reachgd.
Colin Rwd FCA
Independent Examiner
Camburgh House
27 New Dover Road
Canterbury
Kent
CT1 3DN

Pays
The Handmalds of the Blessed Sacrament and of Charlty
Statsment of Financial Activtties
Year ended 31 December 2024
2024
Unroslrict8d
nds Total fund$ Total funds
2023
Incom• and 8ndowm•nts
Donations and legacies
Investment income
Other income
219.947
795
15.794
219,947
795
15,794
217.928
565
12,101
230.592
Total income
236,536
236.536
Expenditure
Expenditure on charit8ble acti¥rties
Total expendlture
166,641
166,641
166,841
166,641
270,585
270,585
Net In￿•1{eXp&ndltur•) and net mov•m•nt In fun
69,895
69.895
139,993)
Re¢onGiliatlon of funds
Totsl fvnds brought foiward
Total funds ￿rrI•d fornard
786.352
788,352
826,345
856,247
856,247
786,352
The Statement of flnancfal aCtiV￿e$ Indudes all gains and losses recognis¢d in the year.
l incomg and oxpenditure derive from continuing activities.
Th• not•s on pages 7 to 13 toml Part of these Itn*n¢lal staternents.

Pag¢ 6
The Handmaids of the Blessed Sacrament and of Charlty
ststement of Flnanclal Posltlon
31 Decembor 2024
2024
2023
Flxod assets
Tangible fixed assets
14
686,087
698.483
Currwt a￿$ts
Cash at bank and in han
266,942
193,157
Crgdttors: amounts falllng due wlthln ono year
Net current assets
15
96.782
103.288
8S,869
170,160
Total assets l•$s current Ilabilftles
856,247
786.352
Not assets
856.247
786,352
Funds of th• chartty
Unrestricted funds
856,247
856,247
786,352
786,352
Total charity funds
rycial statements wèrg approvod by Ihe board of trustsgs and authorls$d for Issue on
.iJ.'a.a&". arKI
are signed on behalf of the board by..
Sl8ler
Trustse
oly Malhew
Sistsr Mary C
Trusteg
ennattu Joseph
Tlt• not•s on pao•s 7 to 13 fomi part ot th•s•financ￿l statèments.

Page 7
The Handmaids of the Blessed Sacrament and of Charity
Notes to the Financial Statements
Year ended 31 DeGember 2024
General Information
The charity is a publi¢ benefrt entty and a registered tharty in England and W81es and 15
unincorporated. The address of the register8d offic& is Hunters, 9 New Square, London, WC2A
3QN. The principal place of business address is Adoratrices Convant, 38139 Kansington Square,
London. W8 5HP.
SL*mont of cornpliance
These finar￿la1 slatem8nts have been prepared in Gompliance with FRS 102. The Financial
Reporting Standard appllcable in the UK and the Republic of Ireland., the Statement of
Rewmmended Practice applicable to charities preparing their accounts in 3¢¢ordance with the
Financ&al Reporting Stsndard appllcable in the UK and Republic of Ireland IFRS 1021 ICh8rib"es
SORP IFRS 102)) and the char￿0$ Act 2011.
Accountlng policies
Basi$ of preparation
The financial ststements are presentsd on an 8ccruals basis.
The financial statements are prepared in steding, whlch is converted from euros which is the
nctional currency of tha entity.
Going con￿rn
The trustees have considered the potential busin&ss impact of the events in Ukraine with
particular reftsrenGe to how these may disrupt their business model, strategy and operations. The
members are satisfied that these reviews showed no material risks to the business and conclude
that the financial statements should continue to be prePa￿d on a going concern basis.
Overall, the trustees ara satisfièd that the review showed no material risks lo thè busines5 and
conclude the finanGi81 ststtsments should continue to b8 prapared on a going concern basis.
Judgements and key souroe$ of estlmation uncertainty
The preparation of the financial statements requires management to tmake lu¢gements,
eslirnates and assumptions that affect the amounts reported. These estimate5 and ludgemgnts
are continually reviewed and are bastsd on exper¢ence and other factors. including expectstions
of future events that are believed to be reasonable under the circumstanGes.
Forelgn currencies
Foreign currency transactions are inilrally recorded in the functional curreney. by applying tre
spot exchange rate as 81 the date of the transaction. Monetary assets and liabilities denominated
in foreign currencies are translated al the exchange rate ruling at the reporb'ng date, wtth any
gains or losses being taken lo the statement of financial activiti&s.

Page 8
The Handmaids of the Blessed Sacrament and of Charity
Notes to the Flnanclal Statements Iconthuedj
Year ended 31 December 2024
Accounting policies (etsntinued)
Fund accounting
Unrestricted ftJnd$ are 8vailabl& for use at the dis¢reb"on of the trustees lo fvrther any of the
charilys purposes.
Designated funds are Un￿strICted funds earn1a￿ed by the trustees for particular fijlure project or
commitmenL
Restricted funds are subjected to restrictions on their expenditure declared by the donor or
through the terms of an appeal, and fall into on8 of two suLrflasses: r&slricted incorne funds ar
endowment funds.
Incolning resources
Al income Is induded in the ststement of financial activities when enliuement has passed lo the
charity, it is probable that the economic beneffts associated wth the transaction will flow to the
charity and the amount can be reliably rneasured. The following specific poli¢ie3 are applied to
parbcular categories of income..
incorne from donations or grants is recognised when there is évidence of entiljèment to the gfft,
receipt is probable and its amount can be measured reliably.
- income from hostel contributions is recognised on re¢6ipt.
legacy Sncome is recognlsed when.r8celpl is probable and ent1tlement.is established.
- incorne from donated goods is measured at the fair value of the goods untess this Is Impracdcal
to measure reliably, in which (ase the value is derived from the cost lo the donor or the
estimatsd rèsale value. Donated facilitiès and sérvices are recognised in the accounts when
received rf the value can be reliably measured. No amounts are Included for the contribution of
general voluntèèrs.
income from contracts for thè supply of service5 is Tècognised w(£h the delivery of the
contracted service. This is classified as unrestricted funijs unless there is a contractual
requirement for it lo be spent on a particular purpos9 and rolumed if unspent. in which case it
may be regarded as restricted.

Page 9
The Handmaids of the Blessed Sacrament and of Charity
Notes to the Financial Statements (cofttiDu8dJ
Year ended 31 December 2024
Accounting policies (Gontinuedj
Resources WAponded
Expenditure is recognised on an accruals basis as a liability is incurred. Expenditure include$ any
VAT which cannot be fully racovered, and is classEfied under headings of the ststemenl of
financial activtties to which il relates..
expenditure on Taising funds includes the costs of all fundraising aclivilies. events,
non-charitablo trading activities, and the sale of donated goods.
expenditure on charttable actikiti8s includes all costs incurred by a charity in undertaking
activities that further its charitable aims for the benefit of its beneficiaries, including those sUPPOrt
costs and costs relating to the governance of the charty apportioned to charitablè aetiMtiÈs.
other expenditure includes all expendibjre that is neither related to raising funds for the charity
nor part of its expenditure on charitsble actwities.
I costs aTe allocated to expenditure ¢alegories reflecting the use of the resource. Dirert costs
attributable to a single activity are allocated directly to that activity. Shared costs are apportlDned
between the activities they contribute to on 2 re850nable. justifiable and consislenl basis.
Tangible ass8ts
Tangible assets are Initial￿ recorded at cost. and subsequently ststed at cost less any
accumulated depreciab.on and impairment Ios5e5. Any tangible assets carried al revalued
amounts are recorded at the fair value 2t thè date of revaluation less any subsequent
ac¢umul8led depreciation and subsequent accumulated impairment losses.
D8pre¢iation
Depreciation is Calculat￿ so as to write off the cost or valuation of an asset, less ris residual
value, over the useful economic lrfe of that asset as follows:
Freehold Propety
FLxlures ancl Fittings
Equipment
1% slr8ight line
70/0 reducing balance
10% reducing balance
Impainnent of fixed assets
A review for indicators of impairment is carried out at each repDrting date, with the recoverable
amount being est'mated where such indicators exist. Where the carying value exceeds the
recoverable amount, the assèt is impaired accordingly. Prior impairments are also revisw8d for
possible revers81 at each reporting date.

Page 10
The Handmaids of the Blessed Sacrament and of Charity
Notes to the Flnanclal Statements {conllnu6dJ
Year ended 31 December 2024
Accounting policies f¢onirMè
Financial instrumènts
Financial liabilities and equty instruments are classrfied ae¢ording to the substance of the
contrathjal arrangements Èntered into.
Debtors and creditors with no stat8d interest rate and receivable or payable w(thin one year are
recorded al transaction pri￿. Any losses arising from impairment are recognised in the profil and
loss account in other administr8ttve expenses.
Loans and borrowings are initially recognised at the transaction price inclulling transaction costs.
Subsequently, they are measured al amortised ¢ost usin9 the effectpve intsrest rate method, less
impairment. If an arrangement constitutes 2 finance transacts'on fi is measured al present value.
Donations and legacies
Unrestn'clad Total Fund$ Unrestri¢tgd Totsl Funds
Funds
2024
Funds
2023
Donations
Hostel contributions
General Donab'ons and Donations in
spect of pensions
Community Income
ie3,758
183,758
166,449
166.449
6,189
30,000
6,189
30,000
18,67T
32,800
18,677
32,800
219,947
219,947
217,926
217,926
Investment Income
Unrestricted Totsl Funds Unrestricted Tol81 Funds
Funds
2024
Funds
2023
Bank interest receivable
795
795
56S
565
Other income
Unr8Siricted Totsl Funds Unrestricted Totsl Funds
Funds
2024
Funds
2023
Okner income
15,194
15.794
12.101
12.101

Page 11
The Handmaids of the Blessed Sacrament and of Charity
Notes to the Financial Statements (¢Onllnu•lJ
Year ended 31 December 2024
Expeniliture on charltsble activities by fund type
Unrestiicted Total Funds Unrestrlcted Tol81 Funds
Funds
2024
Funds
2023
Provision of hostel & sUPPOrt serrfices
Donations in support of the ¢haritable
objecb.ves
Rahab project
Support costs
100.658
100.658
189,279
169,279
30,216
10,000
25.767
30.216
10,000
25.767
46,181
10,000
45,125
46,181
10.000
45,125
270,585
166.641
166,641
270,585
Expenditure on charitable activities by activity typ•
Activities
undertaken
diredy
Supp)rt Total fijnds
costs
2024
Totsl lund
2023
Provision of hostel & support services
Donations in support of the charrtable
objectives
Rahab project
Govemance ￿sts
100.658
29.638
130.296
200.639
30,216
10,000
30,216
10,000
13,8711
166,641
55,786
10,OCI0
4,160
13.8711
25.767
140,874
270,585
Analysls of support costs
Hostel Total 2024 Total 2023
Communications and IT
GeneTal office
Financè costs
Govemance costs
Office expenses
Dep￿ciatIon
Sundry Expenses
Motor expenses
Bad debts written off
1,210
2,548
27
13,8711
853
15,070
4,680
5.250
1.210
2,$48
27
{3,871}
853
15,070
4,680
5.250
2,528
47
4.160
427
18,476
2,126
6.T68
9,605
45,125
25,767
25.767
10. Net incomel{oxpenditur•)
Net incomellexpendilurel is stated after chargIn￿(Creditingl'.
2024
2023
Depreciation of tsngible fixed assets
Foreign exchange diff8ren¢es
15,070
19,0411
18.476

Page 12
The Handmalds of the Blessed Sacrament and of Charlty
Notes to the Financial Statements (Mntlnuodj
Yoar ended 31 Docember 2024
11. Indopendent tsxamination f￿$
2024
2023
Feas payable to the independent examiner for..
Independent examination of the financial statements
2.706
2,514
12. Staff costs
The average head count of employees during the year wa8 312023.. 31.
No omployaa rgcelved emplo￿e bonofits Df moro than £60.000 during the yoar12023- £Nn}.
13. Truste6 remunoration and 8xp8nsos
No remuneration, benefts from 8mployment or expens8s were paid by the charity or a related
entity to th¥ trustees.
14. Tangible fixed as$ets
Freehold and
Property
Fittings
Equipment
Total
Cost
At 1 January 2024
Additions
1.113,325
52,233
56.848
4.674
1,222.406
4.674
1227,080
At 31 D•cemb•r 2024
1,113,325
52,233
61.522
Depreciation
Al 1 January 2024
Charge for the ye8r
At 31 Dbcombor2024
441.753
11,133
452,886
44.058
2.806
40,112
1,131
41.243
525,923
15.07Q
46.884
Carrying amount
At 31 Decem￿r 2024
680,439
671.572
5,369
8,175
20,279
16,736
686.087
696,483
Al 31 December 2023
15. Credltors: amounts falllng due vAthln one year
2024
2023
A¢Gruals and deferred income
Other creditors
6.107
90,675
3,$72
99.716
96,782
103,288

Pag• 13
The Handmalds of the Blessed Sacrament and of Charity
Notes to the Flnanclal Statements
Year ended 31 December 2024
16. Anatysls of ¢harltsble funds
Unrestrlcted fvnds
At
1 January 20
24
At
310e¢•mbe
r 2024
Income Expenditure
General funds
786,352
236,$3e
1168,6411
856,247
At
l January 20
31 Dècembèr
2023
Income Expendbture
General fvnds
826,345
230,592
127Q,5851
788.352
17. Anatysi$ of net assets between fttnds
Unrestricted T*knl Funds
Funds
2024
Tangible fixgd assgts
Current ass8ts
Creditors less than 1 yeer
Net 898ots
686,087
266,942
196.782}
856,247
686,087
266.942
(96,7821
856,247
Unwtricted Total Funtls
Funds
2023
Tanglbla fixed assets
Current assèts
Crtditors le88 than 1 year
Net assets
696,483
696,483
193.157
193,157
1103.2881 {103.2881
786.352
786,352
18. Rolated parties
Sistsr Qoly Mathew is a Trustee of both the Rahab Project and Handmaid5 of the Blessed
Sacrament and of Charty- Durfng the ye8r, Handmoids of the Blessed Sa¢ram8nt and of Charity
made donations of £10,00012023.' £10,000) lo th$ Rahab Project.

Pago 14
The Handmalds of the Blessed Sacrament and of Charity
Management Inforn)ation
Year ended 31 December 2024
Th• following pages do not fomi part of tho flnanclal $tatsm¢rrts.

Page 15
The Handmaids of the Blessed Sacrament and of Charlty
Detsiled Statement of Financlal Activities
Year ended 31 December 2024
2024
2023
In¢om• and endowrnonts
Donatlons and legacies
H05tel ￿ntribUtionS
General Donations and Don8tIon8 in respect of p￿SlOng
Communty In￿me
183.758
6.189
30.000
219.947
166.449
38,677
32,8CQ
217,926
Inv•sknent Income
Bank inl8re5t rec8iv0bl8
795
Othgr Incom•
Other income
15,794
12,101
Total incomg
236,536
230.592
Exp•ndttura
Expendlture on charitable aetlvlttes
Food and provisions
Rates and water
ght and heal
Repairs and maintenance
Insurance
Publi¢ relations
Laundry and cleaning
Bad debts written off
Other motorltravel ￿sts
Legal and professional fees
Telephone
Other offlGe cosls
Depreciation
Transfer to Gommunty
Other interest payable and similar tharges
Forftign exchange gain15oss
Other charitsble expenditureld¢nation8
Provincial donations
Sundry expensgs
Rahab project
10.389
5.206
22.412
48.019
6,455
1210
,177
10,462
6,TKO
24,787
112,590
5,929
8.741
5.250
5,197
2,548
853
15.070
30,000
6,768
4,168
2,528
427
18,476
32.800
19.041)
216
2.472
10,909
2.126
10.000
4.680
10.000
166.641
27D,585
Totsl expendltur•
166,641
270,585
Net Incomel{expenditur•l
69.895
139,993)

Page 16
The Handmaids of the Blessed Sacrament and of Charity
Notes to the Detailed Statement of Financial Activlties
Year ended 31 December 2024
2024
2023
Expènditurè on charitable activities
Prnvision of hostel & support servlce$
A¢tivities undertakon dlrectly
Hostel- FL)tsd and provisions
Hostel - Ratès and water
Hostel - Light and heat
Hostel- Repairs and maintenance
Hostel - Insurance
Hostel- Laundry and cleaning
10,389
5,206
22,412
48.019
6,455
8,177
100,658
10,462
6,770
24,787
112,590
5,929
8,741
169.279
Support costs
Support Hostel- Public rdatwJns
Support Hostel- Motor and travel
Support Hostel- Subscriptions
Support Hostel- Telephone
Support Hostel- Office expenses
Support Hostel- Depreciation
Support HosteJ- Sundry expènses
1,210
5,250
27
2,548
853
15,070
4,680
6,768
47
2,528
427
18,476
2.126
29.638
31.360
Donations in support of the charitablg objectives
Activities undertaken directty
Transfer to community
Other Gharitable aGtivtiies- Other Charitable expendTtureldonations
Other charitable activf(ies- Provincial donations
30,000
216
32,8110
2,472
10,909
46,181
30,216
Support costs
8ad debts wrttten off
9.605
Rahab project
Activities undertaken directly
Rahab Project- Donations
GovèmanG• ¢osts
Audrt and accountancy fees
Governance costs- legal and other professitsnal faey
Governance costs- ritherfinance costs
Governance costs- foreign exchange gainlloss
10,000
10.000
2,706
2,514
1.607
39
19,0411
13.8711
4.160
Expendfture on charltBble activitkes
166,641
270.585