(al￿ kDDwrt * ladies of the Grail)
known ￿ Iadiu ofthe Grnl)

{8lso known a9 14dl# of ¢b¢ Gr4ll)
LEGAL AND ADMINISTRAIIVE INFORMATIOY4
AS AT 31ST DECEMBER 2022
STATUS:
The Society is an unin¢orpor4ted ¢h4Tity. re8iSttrvJ with the Charity CoJnmi&uo
under number 221076.
The ¢hwity is registered a$'S￿l&Y of the Women of Naz4reth', and 15 also
known as lAdI￿ of the Grail.
TRUSTEES:
Christin¢ Bats (appoirttAI 6 PAarth 2023)
Philippa Garety
Mary Grasar {resiBn¢d 6 March 2023)
Philip ￿Yllar
ary luvy
Moirth I*i8h
Sarah O'Grady
REG￿ER￿D OFFICE:
The'Hennita8e
Cheriton Road
Winchester
S022 5HW
HSBC Bank Pl¢
2 Love Lane
Pinrter
ddlesex
HA5 3EG
INDEPENDENT EXAMXNTRS: Haysmacintyre
Chartered Acccrtmtants
26 Red Lion Square
London
WCIR4AG
¥VESTMENT ADVISERS:
Epworth Investment Management L￿.
9 Bonhill Street
London
EC2A 4PE
INVLSTMENT POWERS:
The Tn￿ Deed places no limitstions on the Tn¥t￿$. powers of investment

SOCIETY OF THE WOMEN OF NAZARETh
{a]80 4$ 14diu of the Gr*il)
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31ST DECEMBER 2022
The trusiees present their report and fin¥n¢ial 51aiements for the ye4r ended 31 Dttember 2022. The trustees consider th
an audit is not rqUir￿ for thi$ yw(under Section 144 (2) of the Charities Act 2011 and that an indqjendent examination
1$ required.
STRucfuRL GOVERNANCE AND MANAGEMENT
Governlng
The Society 1$ governed by Trus¢ Deeds dated 24 O¢tobw 1962, 20 September 1968 and 12 November 2018 ¢ollstitution
and rulas r•8iStered with the Chority Commi$Jion (Number 221076).
OT8*niiAtI•
The Trust is by the board of tru8te4 which m¢ets wularly and tAkes all de£ision¥ relating to poli￿ mitter&
T￿llee9
The tru$teu who servthl durin8 thè y¢tr are s¢t wl,on th¢ thuity infomation PAgt at the fmnt of thtte 8¢xounts. The
¢rustee8 ore responsible for the athnintstration and investhient policy of the ¢haTity. The nurnber and ￿PertI% of members
is kept under C￿n$t•At revi¢w and it will be noted thit addition￿ trustees w¢re.appoiMed e4rly in 2021 in order to facililate
￿CC￿s1oA plannin8 and maintaÉn our 5killy.
Publ1¢ Benent
The Tn￿te¢S that thty have 8iven du¢ ￿nSIderatiOn ￿ the Charity ComMi￿10Th'S 8uidanct on public
be￿￿11. These r¢quir¢ments are addrejsed in thi$ report.
The Tru8t DeeA yp¢cifies the objectsof th* chtirity to b¢"the advan¢ern¢nt of kny chwitable work forthetimobein8canied
on by or under the dire¢¢ion of the Grail by such Iaweul ¢haritable means as th¢ truste¢s Ihink fit"
"kn a Society weare awwe of G(xl's pre8en¢• around usin livinBcre4ti0n. in tach otherond 411 we m¢¢t. We￿CoMmItted
to tharing our Christian inBpiration and values in ond for the world today".
Durin8 2022 we have w(preJsrAI this purpose in a number of WAYI.
• An addition81 sum was weed and plid to gUPPOrt thè initi4tive of a local worshipping community in improvin8
and u(pandin8 their facilities in order that they may be better able to 8erve the local ￿mMunIty.
• The *cond InSt￿ment of a 8ranc payable in three annuat inJtalrn¢nt4 to • wup explorinB inno￿1ve wty$ of
r¢spondin8 to the spiritual need$ of oiderptsjple asth¢y geek tobuild onthe Pro￿¢¥$￿•d¢ prevI￿J51Y in producin8
An infornjation pack was delayed due to the internipli(ffl in their plans to appoint a L4y Chaplain for Older People
due to limitationg imposed by Covid- 19.
• A wt made to o ￿mmunity sponsorship 8rwp in the south of E￿and a8 thty s¢¢K in coniunrfion with
the Home Office to we]¢x)me a refu8ee family into their nei8hbourhood.
+ A donation wa¥ 8ranled to a night shelter proie¢t to assisi with neces$0ry wuipmeni heatinB and rAterin8.
'+ Support was provided towards the livin8 costs of a vdunteer worktng in èn orphona8e in the Lebanon.
• Money was provided to a trginin8 institute in U8and4 for computer lab equipment and networkin8. The instibjte
i15UStainable fortheiroperntin8 cost$ bu¢ werefindin8ltni8h on impossible tocontinuethoirtriinin8proBrgmmes
As well os med their mission and objective of empowerinB the dis&dvanta8ed and vulnerAble 8roupi in their
gociety with their existin8equipment- esP￿id1Y as COVID- 19 meant 011 trainin8 had to be virtual.
+ R¢gular contributions to the Win¢he$ter Food Bank.
+ ProvidinB ruidential 'bTeth' for individuatB under stress.
+ Continuin8 the dialobwe with our sister ¢lwity, The Grail Society (Waxwell) UK. on a di8cernment proce55 to
examine the way fon¥8xd for the Grail mov¢meni in this country.

SOCIKTY OF THE WOMEN OF NAZARETH
(also knovrn as Ladles of tbe Gr*il)
REPORT OF THE TRUSTEES {colltlnued)
FOR THE YEAR ENDED 31ST DEcE￿[BER 2022
FINANCL4L REVIEW
The statement of finen¢ial 4¢tivities on pa8e 7 shows a 51iBht de¢rea5e in income from £235.$96 to £201,623. Expertdittwe
increased to £408.684 from £262,680 due to increased costs in support of the Charity'$ Ministries. Thi$ re￿lled in a n
deficAt of £207,061 in 2022 (2021 net deficit £27.084).
Inve4tment power* policy and performanee
In a¢wrdanc¢ with the tru8t deed. the ￿Steel h&ve powv to invest in #ock4 ¥hareJ and invlstrnents ond propety ay thry
see fit.
One of the ￿18]deratiOnS of the hi￿¢e$ tn tho appointment of Epworth Investment Mana8ement was their ¢thi¢al
investment mission which promises..
to fdlow a distipline in which the ethicd dimenston is an Inte￿&1 part of all investment decisions
construct the invejtrnenl porfolios conyistsnt with the moral stance and teachin8s of the Chriy¢ian faith
lo ￿￿Urnse strategic thinkin8 on the ¢thi¢8 of irtveitment
to be i Christian witne8$ in the Investrn¢nt eAmimunity
Since l October 2013 th¢ mandate ha8 beon one of diKretionary mon&Bement and the trustees review the portfolio with
r¢feren¢¢ to be#poke b¢Th¢h markj.
The board are plannin8 10 meet with Epworth ]nve5tments in 2023 to refreth the advi￿ givert at the swt of their
discretionary rdationthip with thern, review PTowe85 and c￿nSider fvture plans. During 2020 th¢ tn￿lee8 transfetted a
subswIti￿ element of their inYeBtments into A newly esthblished fund divested from fojiil fuel&
Th¢ trustee8 are sAtisfied with the p¢rfornWl￿ of the investments in the ye•r.
ReJerveJ poll¢y
The wci¢ty ha8 dui8oat&4 I[￿d6 for welfar• and lon84¢rn1 mlin1¢nan￿. Detail$ of the￿ Can be found in nots 8 to the
cLxwnts, The wdfare fvnds provide for th¢ lon84erni (are ond Support of the membet8 of the community. The trustees
have c￿S1dered the level of provision tAkin8 into awcwnt the numbv. age profile and gthte of heaith of the members and
keep under con$tAnt revi*w the sums required to meet their needs. Lon8-terni maintenme¢ sets AJide hjndy to cover lar8e
main*nance expendi￿re of A non-routin¢ natttrt. It 1$ th¢ policy of the S￿Iety to maintain unrestricted funds, which are
the fre¢ regerves of the g0¢i¢ty, at i levd, which providey for the d•y-to4ay a¢tivitieJ of the g0¢iety. Th¢ undoBignated
balance of the unre8trict&l fvnds (ts¢ludin8 Tan8ible FIX￿ Assets) represents Approximately S yews of annual
expendittwe. The trustee& believe that 8iYen the pxonomic dittMte and their wTheDt ¢¥)osideration of how be8t to further the
S￿Iety's mi8sion.in and to the world, this Is an appropriate level of free reserves to rthin for the purpofje8 out above
unts the he￿In8 dObjeAivw and Aotivitiu.
Rtsk mthnagtment
The trusleeg ¢ontirtue to assess on a re8ular basis the risks to which the charity is exposed. They gre sfyti8fi¢d that the
sy#ems in place are ad￿uate to mitigate our exposure to major risks. A risk re8iSter 1$ in plBce gnd is reviewed re￿￿OrtY
01 their meetin8s.
TThJtees' rupoMilblll¢ies In relAtlon to the lkn&nelal •tAtemMts
The Trusteey are responsible for preparing the fin8ncia] sthtunents in acwdan¢e wtth the appli￿*1¢ law and Unittd
Kingdom A¢LYwndn8 Standarth (unit￿ Kin8dorn Genernlly Ac£ept&l Accountin81)racti&).

SOCIETY OF THE WOMEN OF NAZARETH
(also known as ladies of the Grail)
REPORT OF THE TRUSTEES (continued)
FOR THE YEAR ENDED 31ST DECEMBER 2022
The law applicthleto¢harities irtEngl8nd and Wales requ1restheTn￿teeS to preparefinan¢ia] ststements foreach finan¢ial
year. which Bive a true and fair vR¢w of the S¢ate of affsirs at the Charity and of the incomin8 resources 8nd'appli¢atton of
re￿￿rI￿ of the Chgrity forth&t period. In preparin& those financi81 ststements the trustees are rwiired to..
selert suitable a¢¢ountsn8 policie$ 4rtd then apply th¢m eonsi8trntiy'
ob8erve the meth(xls and prineiples of the Charities SORP.
make judgements end estimates that are reasonable and prudenL
state whether applicable accountin8 5tsndards have beeTh followul thj'ect to any material departures di3closed
and explainol in the fin8ncia] ststementy and
prepare the finan¢ial staternents on 4 8oingc4)rt¢ern basisunie5S it is inappropriate to prewme thatthecharity will
continue in business.
Trn8teeg' re4pottsibilities in relation ¢0 the finAncial ststemellts (eontlnued)
The trusiees aTr re8ponsible for kwin8 prqjer a¢K￿ll￿tin8 rwds whi¢h dis¢108e with reasonable a¢awacy'kt llny timo
the financial position of the Chthity attd io enable them to engjre that the financiai statements Comply with the Charitiei
Act 2011, the Charlty (Accounts wjd reports) Regulations 2LYJ8 and with the Trust Deed8 dated 24 October 1962 2nd 20
September 1968. They are 4180 responsible for Safe￿ding the assets of the charity and hertce for tsking reasonable steps
for the prevention ond deteaion of ftaud and otherirregulgriiies.
For and behalf.of .
TRUSTEES OF THE SOCIETY OF IHE WOMEN OF NAZARETH
P A HayllAr
Trustee
Moira lei8h

SOCIETY OF THE WOMEN OF NAZAR￿
(algo knowll 95 14dles of the Grnil)
¥DEPENDENT EXAMINERIS REPORT TO ThE TRUSTEES OF SOCIETY OF THE WOMEN OF
NAZARETh
I report tothe Tru￿e¢S on my examinatton of the a¢¢￿nts of The S￿Iety of The Women Of Nazareth (the Charity) f
the year ended 31 December 2022.
Responslbilities And hsls of report
As the Charity Trustw of the Charity you are responsible for thepreparation of theaccC￿Its in awdaDce with the
requirements of the Charities A¢t 2011 ('the Act,).
I report in respect of my ex￿1ndl10n of the Charity's ac¢ounts ¢UTied out uoder se￿10Th 145 of the 2011. Art and in
carryin8 Out my exarnination I have followed all the applicable Directions 8iven by the Charity Comrni88ion under
8ection 143(5Xb) of the Act.
Independent examlnff'i $tst*neot
I have completed my examination. I confinn that no matorial mattm hav¢ Come to my atieDtion in comieaion with the
examinauon 8ivin8 me to believe that in any rnmtaial respect..
l. arKountin8 rewrd8 were not kept in respe¢t ofthe Trust as wuired by 8eKtiort 130 of the A¢. or
2. Ihe a¢￿UnIS do ALwrd with th08e records: or
3, the accounts do not wmply with the appliuble rquirements concernin8 the fom and Content of acuwnts 8et out in
the Charitiey (Ac¢ounts and Report5) Re8ul8tsons 2008 other than any requirement that the aco)unt8 8iV• i'tn* hir
view whi¢h is not a matter conBidered as part of an iftdependent examination.
I h&ve no ¢on¢erns and have wme across no other mitters in ¢onne¢tion with the ¢x•mination to whi¢h Attention th¢)uld
be drawn in thi8 report in ¢xder to enable a prnw under8tandin8 of the accounts to be reathed.
Adam Halsey FCA DChA
Hay¥rna¢intyre LLP
10 Queen Street Plac¢
London
EG4R IAO
Dat¢..
4 September 2023

SOCIETY OF THE WOMEN OF NAZARETH
(8150 Ilnown 9$ L¥dl¢s of the Grall)
STATEMKNf OF FINANCIAL ACTIVITIES (Tncoryor*lI￿8 Ibe Ineome expeDdlthre J¢count)
FOR THE YEARENDED31 DECEMBER2022
Totsl
Unrestrlcted
Funds
2022
Totsl
Uknrestrl¢trd
2021
Notes
INCOME FROM
DDll*tlons and leg4de8
44.469
83J95
R•yAllles
12,746
37,92211
Charltable a¢llvldes
Conferences and fees
Divid¢ttds inlercst
144.408
144279
TOTAL INCOME
2Ql.623
235 J96
EXPENDITURE ON
aedvldes
- Support of the Chariiy's Mini%tets
Books and pubJiratlDDS
408,684
262,680
TOTAL EXPENDITURE
408.684
262,680
I¥ET INCOME IEXPENDITURE) BEFORE
GAINSI(LOSSES) ON INVEgfMEl￿s
{207.0611
(27.0841
UDtEaltsed Ilo&ses) gaiD5 on investments assels
645
84
545171
NET MOVEMENf IN FUNDS
{852J45)
518,087
FUNDS BROUGHT FORWARD
7 064,831
6546 744
£6
12.486
£7.064.831
The Stai¢m¢ntof Fiti&ncialActtvitres in¢￿deS all g8in5 and ]055es in th¢y¢8rand theItfo￿a 5tatementoftotslttto￿￿ed
gllins and loss¢s has not been p￿Pared.
All of th¢ abovc amounts relate th contittuing activiti&
The ac¢omp&nyin8notes fomi part of these accoun[5.

SOCIETY OF THE WOMEN OF NAZARETH
(als• •$ Ladlei of the Groll)
BALANCE SHEET
S AT 31 DECEMBER 2022
2922
2021
FIXED ASSETS
Tan￿￿1£ fryed assets
Invcstm¢nts
1205￿54
3J92J51
2205,670
6.097.405
6579.730
D¢btot5
Cash ai b4Dk, buiidingsoc*tw thnd ￿ hand
2J49
188650
190999
1502
514751
516253
CREDITOPS: due Mithlm oDe ytxr
31.152
115.081
485.lfjl
6212.486
7.064,83 1
UNREsfRicfED
DeSi￿ated
et ¢h•rit#bk futsds
1941.716
4370.770
2.176.673
4J88.158
6212.486
7.064831
The fmaneial *&tements 4*r* ippmved and tuthoiised forityA¢ by the Boanl OrTn￿e¢S0O
and Si￿1¢d bcEow on its b¢haWby:
P A Hayllar
Tm5t¢ts
Mo1￿ L¢￿ Trnst¢¢
Trustee
Th¢a¢¢omplnyukgllo￿ fomi pan of these 2ccount&

SOCIETY OF THE WOMEN OF NAZARETH
(•lso known AS Ladles ol th¢ Crall)
NOTES TO THE FJNAIYCIAL STATEMENrs
FOR THE YEAR EiYDED 31 DECEMBER 2022
I. ACCOUP￿ING POLICIES
Thc principal accountilJ8po]ici¢s adopl¢d.jud8crncntsandkey %mrccs of cs1imBtioDuncert4inty in theprcparalionofthc
fwan¢ialstatements as follows..
Badi •( pr¢p&r*do
The fmanciol ilal¢m¢nis hav¢ been pffpa￿d in oc¢olllan¢¢wiih A¢¢oun¢ing and Reporting by Charilies: Sthtemeni of
Recommended Praclice applicable to cb8rilies prepaiing their accounts tn accordance with ihe Financial RepoititiB
Stsndard app￿&b]ein th¢ UK andR¢pubk of Jreiand (FRS 102)- (Charitics SORP (FRS 102)), thc Financial Rcportin8
S￿ndard applic&bl¢ ID th¢ UKand Republt¢ oflreland (FRS 102).
The eh•riiy meets the defmition of a pubti¢ benefiteniiiy underFRS 102. Asset5 and knbthftes are ini¢iAlly recogni¥ed at
hiitoiiul cost or tr4K8lCtion v&hJ¢ ￿￿)e$S otheThvi5e 5tatDd in th¢ Tcl¢van¢ &¢coun¢u)gpolicy noÈe(s
PrepAr*don of nTrin¢l•l s¢a¢ements golng coneorTh b￿￿1
The Trnstees consider there are no m4tcri81 urtcertaintses about the Cbariiy'8 abtlity to con¢inuc as a going concern. Th¢
review ofihe fmancwl position, re6erv¢s ￿ve16 and fuiuff pl&rt$ BiV¢$ TNst¢¢8 Conf￿enCe the Charity ￿mI￿$ 4 pln8
concern forth¢ for¢*coblc fulure.
Income
All ui¢om¢ is includ¢d in the 8tAtem¢nt of fin&nci&l activities wh¢n th¢ Chiiity is cntiiled to the in¢om¢, li probthbk tht
income wtll bè tec¢iv¢d End lh¢ 4mouni can b¢ quarttif￿d wilh ffu8onabte 8ccuracy. The followlng spe¢ifK polKie8 are
applid to part1¢UJar￿£eyi1c$ of lli¢ome.'
DDH4tion¥ and legoel
DonattOllBind l¢gACiCS reco￿1&¢d when Yeceivable or wh¢n lh¢ Charity becom¢1 lcylty ¢nlitlcd to them Re¢¢ipts of
PfDp¢ty, inve8tm•nts or0thcr￿￿ ID kind llle￿ded at MI￿¢t vukne a¢ the time of Tr¢eipt.
Eip¢lldlmr•
Charitabl¢upendiiureconsÉus ofall Exp¢ndiluJrdurcity rel&itiJg 10 th¢objeC￿orth¢ Chaiity. Certain centsalcosls which
cattnot b¢ dwectty apporttyjncd aUo¢Ated between chBIitabl¢ ¢xp¢nditure And Covemin¢¢ costs on the basi8 of ihe
TnJstees' e8tuna¢¢ of ihe tllnc spent on th¢ relevont funetions.
FundJaisin8 andpublicity co￿$ ¢ompThe ￿pr￿dI¢ll￿1nCUThcd bythe Charity in Hppealtiigfor donationsand iti enhancll
th¢ Chaitiyl pub￿ ima8e.
Governance costs iticlud¢ ¢xp¢ndilure on compbanre wilh ¢on$(ILUtional and siliutory rtquiremenL&
Tan￿bIl nxed •iieth
The fLxcd 488¢ts owned by the Charity w¢re vI￿¢d ai cost.
DepreciptiOD 15 providedatthefoUowin8 annualrntes¢owiiie off eacFL8SSet to is eXpeCted￿61dU&1v4i￿CoVC1 its expt¢tcd
useful life-
Not dcpreciated
BuiMing4
Not dcprcciated
Fumilure, futuRs and equwment Ai rales belween l 0% atsd 20% on Wri¢i¢n dowi value
Motor vehiclcs
At 25% on ￿1￿¢￿ dowth vaJur5
Addrfions to ass¢ti costin8 less than £2000 wriiien off in thc year.

SOCIETY OF THE WOMEN OF NAZARETH
(41so knovm asLadlts of th¢ Gr•ll)
PIOTES TO THE FINANCIAL ￿ATEmENTs {¢oDdnu¢d)
FOR THE YEAR EIYDED 31 DECEMBER 2022
I. ACCOUNfllYG POLICIES
InveBlmeJ
IDv¢5¢m¢nts aT¢ a forni of basic fmanGi&I instniments and are iDi(ialty shown in the fjttan¢ial 8tat¢m¢nts atma￿¢t¥&kn
Movem¢nts in th¢ Ma￿et vatsesof investmettt$&rt thown asllnr¢a￿¢d yins and 10ss¢s in th¢ Statem¢llt of Finan¢BI
Aciivities.
Pmfrts and I0￿S on the rt#li4tu)tt of tDvesiments are shovjn as Ra]i5ed gatDS and losses in the &atement of FinattcAI
Activitte5. Rea]i5ed gaitLS and 105ses on investments are caku]atEd betw*en satcs pmcecds a#d ther opening ca￿1n8
vabJ¢s ortheir put¢has¢vah¢if acquI￿d subscquentto the fnt dayofthe f￿anCialy¢￿r. Unrea]i6ed gains andlo&8es are
calculated as the differ¢n¢¢between the fair vakne at th¢ yearend and th¢it¢aryiDgvahJe. ReaJi8ed andunrtaliscd hives
anent gains and losses are combiDed in the Statemeni of FffiryaocD8lA¢tivni¢&
Trdde and otherdebtots reco￿LSe￿ 8t the settlEmeDt amottnt due. Prep*ymeDtsaR v&lued at the amount prepaid.
Cqsh at b8thk ID batsd
Casb ai bank and Cash hand includes cash &nd short temi bithty tiqu#l investments.
Credlt•r8 and permlssions
CteditOf5 and provision5 are rEco8Dised vAl￿e the Charity has a p￿sent Obb￿li0n Nultthig fTom a pÈst eveni that ￿11
pmbabty ftsult yn th¢ tsansferof fwids to a third party aiid the amount duc to settle thc obbBatwn catt be measurrd or
estimaied Jrliabty. Cttditots and proyiqions are normatty rcco8llls￿ al thcir s¢ttkm¢nt amount.
Fullds
UnTtstricted and des1￿￿ted funds are avallable for us¢ Jt th¢ di5UVtion of the TNstees in furthernnce of the geDeTrl
obje¢tiv¢ of ¢h¢ Charity- The pU￿OSe and use of the designated fvnds is Set out in th¢ note5 to the fmancial stat¢m¢nts.
E8llmales *nd Jlldgtments
EstDnat¢$ and jlld8emcnts atc CDDtinually ¢valuat¢d atsd are bascd on historical experien¢e and other factots. including
expectationsof futurecvcfttsthèia￿ betieved lobe￿8$0￿8bIe￿ndert￿¢CIreumS1lntts.Akhollgtstbesee$tJM￿teS8TCbl￿I
on theTNBtccg best knowlcd8e ofth¢amouttt,ev¢n¢$oraction4actuaI￿￿s ultimatety differftDm thex¢5¢imat¢s. The
Tn￿¢8 do not WDStd¢r thereto be any estitllates and judg¢ffj¢nr8.
FIMn¢lal Instrum￿ty
The Charity onty h45 fmancial assets Ind fmancial liabthiies of a kind that qualify a8basTc fmatscial iDstsuments.
Basie fmancialinstNmcnl& iticknding ¢r4d¢8nd 0th¢rdebto￿alld¢[edito1S ateinitialty r¢¢ogttis¢d attransactiODvaknaNI
subsequettttym¢asur¢d&Ltheirs￿tterneTrLv1lUe.Tht portfolio of invesunenishetd bythe Chaiityi% tncluded atfarvttlue.
10

SOCIETY OF THE WOMEN OF NAZARETH
(also Itnova As Ladltt of the Grall)
NOTLS TOTHE FINANCIAL ￿ATEMENfS (comdw41)
FOR THE YEAR ENDED 31 DECEMBER 2022
2 EXPEf4DrruRE
2022
Totsl
2021
Totsl
Ikwed*ll•
Chafitabk expettdititie:
- Support of the charity's ministy
- Books and pubJication5
616
396,069
396.685
241515
- &Jvern•n¢e of the Charity
11.998
11.998
616
408￿67
408,683
262,680
ExPEND￿URE
COMPARATIVE
2021
Tothl
Ikpred•ll•
ChAritAbk expellditurt..
- Support of the charity&
- Books and pUbl￿at￿)n
790
240,725
241J15
- <kV¢n￿n¢t of th¢ Chaiity
21.165
790
261890
262,680
AM othercoi¢i are direcdy iitrhutable io the 4¢livitrs they reknie.
3031
2•21
The Govemlnee of the Ch•iity 11¢￿deS
Ind¢p¢ndent Examinees
3 TRU￿EEs, REMUNERATION
Tnw¢¢$ received rellnbursemetti of cxpensej in ¢onn¢ctwn with th¢r dutKs as tswtrcs. (2021: N
4 TANGIBLE FIXED ASSET8
L*ttd
Bulldl
Furolthre
& Flld
Moi•r
Vehld¢
Totsl
COST
At l January 2022 and 31 Dec¢mb¢r
DEPRECIATION
2 432 707
1 S 900
17
At l January 2022
Chir8¢ forthe year
229332
67h66
379
14,954
237
311852
616
AL 31 December2022
IYET BOOK VALUE
229
32
At 31 Dx¢mb¢r2022
03.475
870
709
At 31 fk¢emb}021
2203.475
1249
946
2205.670

SOCIETY OF THE WOMEN OF NAZARETH
(also ltttowll as Ladles ofthe Grall)
NOTES TOTHE Fll¥ANCIAL sTATEME￿s (eonthiued)
FOR THE YEAR EIYDED 31 DECEMBER 2022
FIXED ASSETS INVESTMENr
2022
2021
Quoted Investment5
Matkei value At I January 2022
Additions ai Cost
Disposa]s &t malket vBbJc
N¢t Oosses) 184itLS on ffvakn8tion6
ma￿et valu¢ 1¢ 31 Deeember2022
Historical cost at 31 December 2021
4J74,060
505.314
{341,739)
1645284)
3 892 351
4J74.060
3,821.889
3,769.672
(3.762.672)
545.171
4J74.060
21
89
DEBTORS
2022
2021
Prepaymettts
Other debtors
979
lJ70
2J49
IJ02
1,502
CREDITORS
2022
2021
Credito
A¢cnJ¢d expenditu
67,715
8203
75,918
12 552
18.600
31,152
DESIGNATED FUNDS
Th*followin¥f4ndJ hav¢ b¢¢v $¢1 asldg b)b ilie Trwiees. oul olunrestrictedf¥Md$.forsp¢clJ7c
purposes.
Deilgnitedl
(Releaied) I
tht ytAr
31
Deeember
2022
I JAnu8ry
2022
Welfa
n8 te￿ maintenance
2,114,173
62
00
2.176.673
{208.407)
1,905.706
234,957
,941.716
Wtlfire Fwid
To provide funds forthe ioffiB lerni ¢ar¢ and m4inlenAD¢e ofmcmbern of the Communily. A reviewwA$
undertaken in 2019 and it felt th81 ihe fund w&8 at a Irv¢L The fund willcontinu¢ to be tevtewed
&nrtua
LO￿ Tern MAlnteh)pn¢e Fund
To provtde fwids for the maint¢nanc¢ ofthe buildinRsowlled by the Ch?iily.
12

SOCIETY OF THE WOMEN OF NAZARETH
(11￿ knDryrn as (If th¢ Gr•ll)
NOTES TOTHE FINANCIAL sTATEmE￿s (eolld￿d)
FOR THE YEAR ENDED 31 DECEMBER 2•22
2022
2021
Finattci&las5ets at fairvakne
£ 3J9U51
£4J74.IW)
FmancialMss¢ts ai amorttsed cost
Fittancthl lilba￿¢S ai athortised
FinaD¢ialas5etsmeawed at fairvakne compfftse wv¢stthen
13