REGISTERED CHARITY NUMBER: 226893
Report of the Trustees #nd
Uttaudited Financial Ststen￿￿tS
for the Year Ended 30 June 2U24
f•r
Sp￿¢¢.$ H05pitsI Cltarity
StlTk La￿bert & Co
ThRn£rcd.4ccount3nts
Russcll ChaTnbeTS
nla North Sirect
.c¢ighle)
est Yorkshire
13r)71 3DS

Spence's H&5pitsI Charin.
Conttnts tsf the Finant1￿ Statements.
for the Year E￿d￿mI.70 Juoe 2024
Page
Report tsfthe Truste
Indwndent Exarniner's Rwrt
Slattment Of￿1￿￿￿£1*1 Ac￿VI￿eS
Balance Sheet
Notes to the FI￿anCIAl Statewnts
7 to 10
Detayled Statrmtht of Financial Activitits

Spen¢e'5 Hospital Chartty
Repfyn tsf ibe Trustees
for the Year Ended 30 )￿ne 2024
Thc tru%tees Pre￿￿1 their repott with tbe fiTr8ncial sraternents of the ¢haTSty for the vear ended 30 June 2024. The
tn]stcos have adopted thL provisions of .4ccountin2 and Reporting by ChaTitie5.' Statement of Recommendcd Praclicc
appliLable ro ¢harittes preparing iheir ac¢ounts in accordance the Financial RqK*ning Standard applical)le in th¢
UK and Republic ot Ireland (FRS 102) leftective l January 2019).
OBJEC'fivES AND ACTIIqTtES
Primaiily the Cbarjty was cstablished ￿ proiryde rcsidences foi poor ￿ld-￿t in the Parish of Carleton at Jje
I]￿e of appointtneLt. Where clairns aT¢ 0th¢rn75e equ31 preference shall be given lo the ￿0[¢ a¥ed applicant. In default
()f a 5Llltabl¢ appliLiU]t residLnt as aforesaid the T￿￿1¢eS rnay appoint a peNm otherwise qu21ified WILO ts re6iO¢nÈ in any
of tht neigbboyring parishes.
ACHIEVEMEf4iT AND PERFORMANCE
Charitable attivitie5
The Charity h&$ continued to provide aLronJtDodation up to eigbi residents dlld a warden ai Spen¢v'b Court, the
ChaTiiies premises ai Carleti)n In CT3V¢IJ.
During the yeai lo 30th June 2024 there have beell exceptional iten]s of expenditure on mailrtenance as follows=
C.Dmpletion of Returbishment of Fl* 4_ £10.449
FINAIICIAL REVIEW
The reslllts shawrt within these Financial Statemenis are in ac￿)rdanCe wth expectations of the Ttustees.
MainteDance ContributlODS
It) contQrnllly ￿1th the TDJstEes' policN' of periodic the Weekly MaTTltenaTrce ContributiQT) was revicwed at the
M¢¢tiTrg held on 18th slptC￿ber 2023 when the Charitys Budget based on Thc Almshouse Association SPCCiTnen
ouiline budgei for 2023124 was Consid￿ed. The TTus*e5 resolN'ed thal.he Weekly Maintenance ConiTibulion sliould bL'
increased by an av¢ra¥e of £4.61 per week per flai whiLh ￿0￿Id also include the Heating Contribution. Tlu
Contribuiioll rLE￿Ined etTcctive for thL' remaindu of ihe lear 10 30th June 2024. Tlie maintenance coniribution was
gaift reviLWtd L)n 22nd O¢ivber 2024 8t￿ IL w&$ that an av¢rd¥C incr&￿e of £4.03 per wcck14Q/ol bc
iEnplemented from Isi Ik'cember-.024.-
Keserves policv
The Trll%iees 4avc established maintain a roqerves policv and they include cllsutitsg a provision is budgeted foT each
year fur C}Lli¢al and Extraordinary MainteDancc in acCOrdanL￿ M"irh AITnshouse .4sgttiatiOrt rccotnmendations. "rhe
trustees nOT[t￿lIV d contribution each vear to the ExtTaordinaTI' Repair Fund {ERFI being a reserve fimd for the
purpose ot providing *or the extraoTdin2ry r¢pair, ImproN.em(￿l or rebuildjns ol thc ALtt]shouscs froTn tiiiic to tiopc
belon¥ing to the Chariti,.DepeAdeni upon the level of expenditure incunrd on >uch lien￿ in dn accounting peTIDd,
tran5fknf5 are then made trom Income and Expenditure ALfOUllI_Thi% fund can be drawi upon 10 meet major items of
ImprovBmtnL%' or extraordinary repairs by applieai-.on EO tht furMI managers withou-: the prior consertt of the ChaTitiT
Cominigsione15. Each year th2 Almsh(Truse Assocthation retornmend a minimum lewel of proi'i5ioii for the ERF and this 15
normallv invcsted in Charifi]nd M&G A¢¢uEnulwion Lnirs and added its Iht Charity'5 exi%ting holding. The TTUStees
liave al80 e8tsbli%hed a Cyclical Maintenatjce Fund (CMFI To wliich transfers are made from Income and Expenditure
A¢couni from time to time and ihis fiind is invested in CDIF Charities DeDosit Fund wheTe ihc iT]reTest is reiniTesred. The
fi]nd is reknined by the Trustees io ￿¢1 mainl¢nance occurring at rewlar irtteTh'al
for exainple external redecoTation:
and the ctssl ol professiLIT)&l fees in iest*d of Qw"rJqucnnial Ji)5peclioDS. Periodically ai the Ttustees Meetings_ Ilie
Trusre¢s ¥onsider the questiOD of aInowblS 10 trdltsfer to Ihe ERF and CMF on a regular basis. However. Ihe Trustees felt
thRt ill vi¢w' of the re¢¢nt refiubishiT￿nI LXPLndilUTe undertakuu there seemed littlc tcason in rnakitig tr2]Jsfers kn the
dunng the )'taT.
Pagt I

Sptnee's Hospital ChariTh'
Report of the Trustees
ror ihe l'ear Ended 30 June 21124
Investments
Thc Triistec% revieThtd valuatsons of the Charitys inN'estmcnts at thc Ordinary Meetines. The valJaiion% have showi ar.
oNei'all increa%e in the total va]ue of the inyesttnents compared to Ibe Pr￿n0u$ year. This had been anticipated following
tlie general market cf)ndiliorLq foi Ihe year and the tx)Sition Lonsidered a¢¥cptabl¢ under th¢ bir¢umstanc¢s. It had
been tsgreed that no ¢hanges in Ihe InVestn￿¥S needed to be made. The Tr5L4CCS conSidcr￿ thatthe overall perf0m￿nce
ot thc inwe5tments w'a5 5alisfactory.
AlnLShuu5e Insur*nLe PoIity
Th¢ thnbUfaryLL Witll Ro!¢tl & Sutk AUian¢e was renewed for twelve n￿1)th9 cotntnencing 30th JuJJ£ 2023. The buildi￿g$
iiicludine the C]Jarity's L￿ntL￿tts ￿ ithsured for £l.63i.668 and the lknidaTrls contents are itLsured 14Jr a lotal of £99,020
18 uniis in equal proportlOD5). Tbc Pl￿1￿C Liabilir). IndcTlliiy LI￿11 is 15 miiiivn and th¢ L&'gal RcbponsibilitiLs ILI
E￿p10)et5 IS £10 ￿11110￿.
Th¢ Rtinstatement C05t of the prot*rty a55esseil b) IN'BIIT Cl]ancrtd Sun"tvui% Ltd al 25tli 3uly ?022 as
£1,350,000: so the trustees consider the Cu￿ent ItTrel of coveT adquatc.
Charitv Trnstte As$urance
iiliin ihe Almshouse iosurÉin¢e tK)licy there is indemnity Insuran￿ wver providiiig for twbtees. liabiliisi of £250.00D.
The level w?s considered wropriate for ihe size and nature of ibe charity.
Allotments
There are sevenreen allotment holders are charged the aKnual non-re￿n{￿bl¢ charge of £15 for a sma]l allotmeiit
and £20 for a largc dllotmbnt.
Propert), Tr'aluatio
The value of the propeny as5e5sed on an'exi51ing use, basi5 by Me5srs. WBW Chartered Sllrveyors Ltd 2t 25th JILIY
2022 ￿1 a traliie of £550:0(Y). This valuaEl0￿ disr¢g3r&* any possible alternatsve uses aiid an). otkncr characteristics of the
asset that w'ould cause ils Market Value to differ froTn thai nteded (o replace the rernaining servicc potenrial at le&8t COSL
The tswstees rewd that this 1"al￿all0% M'hieh underrakett oll 25ib Jill) 2021 should be the r¢i'alualiorJ amount to be
¢arried fts..￿rd ai 31hh June 2024 and any th"fferenies ID the aJx)uT&s' be1i¥eeii-the￿ dales wouLd not bc ￿ater1￿.
STRUCTURE. GOVERNANCE AND MAYL AGEMEIT
(Abverning do¢ument
ThL charity is controllcd by ils golierning docwnenL a deed of tnLSt and Con￿7￿￿e$ 811 unlncotp0t￿¢d charity.
SpeTLC¢'S Ho%pital ChaTity at Carlrton in Crnirn coJDpri5ed ID a Scheule of the Higb Court of Justic¢ {C.hancery
DiYiii(Trnl of 7 .4ugust 1877 and S¢humcs of th¢ Charity CvTnrniSSiVD¢Yb of 17 July 1888: 19 February 1901. 14 August
1931: 17 DeLember 1968 and 25 OctobEf 197). The Sch¢me dated 2) (kto1￿[ 1973 replaced the provisiolls of th
e8Tlier Sch¢mes and Iherefore Ihe IY73 S¢hun¢ is the charitv's Governing Docutnent.
Orgattlsat5on*l $trn¢turÈ
The TNslees JIMII ¢onsiSt wherL ¢omple* of seven conipeient persoll5 beine one Nominative Trust¢e and six
C04)plative Trustees. The Nollllt)atii'e Trustee shall be 3PFrf)irt￿d by the Patish CounLil of. Carleton and each
appointment shall be made tOT a ttrrn of fourTrEars ai a t￿tting convened and hcld dccordiAg io the ordinary praLtsce of
the Council. The rErson appointrd may Ix. but neul not be. a member of Iht Council. The Co-opiatii'e TnJ8tees shall bL
peFSQllS undei. tlie a¥e of seventy-five year%. who througb residence, o¢¢opation or tmploynKnt or othcnwise ljdve special
krtnwlLdg¢ of the PHn5h of CarletOT). 4Dy Ctroptsiivc Trustee who ￿5 3llained the 3Be of seventy years m&v continue in
otTtce otsly with th¢ ¢oMent of h15 or her ciHrustres. Every fu￿re Co-OPtati¥e Tn)st¢e sliall be apptsintLd for 8 terni of
fJTre ye&rs by a resoluiion orth¢ Trustbys passrd at a Special Meetingj of wbich nor I￿S thall tThellty-one days, notice has
been b4ven.
The Ti'usleeb nonnally meet at least halfyearfv for Ordillarv M¢eungs. and mutiDe and maInte￿anCe tnatteis have been
deali with re]nL)￿RY by the con]mirtee. An Annual GenLfdl ML¢15r]¥ held on l 8th September 2023_.
Th.. Cliaritv is th¢ ommer of eigbt alllL%hO￿5Cj atHI one other flat Ivupied by thc IiTaiden and they arL Situat¢d at
Spence's c.ourt. Carleton Skiptvn North YorishiEe. When thete 15 8 I'acanLy, the Trnsiees try to find a resTdent in ibe
P4tsrish of CarleÉoD suirdble Jur ap￿TrIntMent as aD all￿-pe￿)lL Wbere Llaims art otherwise q￿al. preference shall bc
gii'en io Ihe more ag¢d appli¢ant. on the occasion ot a vaLanLy there is nu %uitable applicanl qualitie4 the Trustcc
Tnay appoint a person otE£rwise qualifi￿ who is rt8idenl in any of the neighbouriThg parishes.

Spence's Hospital Charity
Report oftbe T￿￿¢¢5
for the Year E￿ded 311 June 2024
STRUCTUR£. GovERNA￿cE AND MANAGEMEIYT
TrustL*S
Rev K Shocsmith appiintrd a tr￿slee on 18th SeptemlKr 2ff23. Mr R Humphrey also resigjitd on that date.
Related parties
The Chariry ha5 no ￿lated parties.
RF.FV.RENCE Ar4D.4DMI￿75￿ITlN.E DETAILS
Registered Charity number
??6893
Principal Address
at C,ailetoIi in CravcD
c/0 Mr R Maihin.
No.1 ThvTllton House
Thorntoll in Cravetx
North Yorkshire
BD23 3TB
Trustees
Mr N P C.layton-St¢3d {Ch8irperwn)
Mr R Huniphrey (resigned 18.9.231
Mr P Holrnes
r J CiilleD
qr J Chiir¢heF
Ms F Steel
Mrs S w￿1￿12￿5
Rev K S￿e￿mith (appOin￿d 18.9.23}
Iodependtnt EKaminÈr
Helen Louise BJriitt FMAAT
Snrk La￿bert & Co
Chart¢ri(l Accountdnts
RL15scII C.h£omb¢ts
61d North Streci
Kei¥hley
West Yorkshire
BD21 JDS
Approved by order of the knard of tswstees 20 March 2025 and signed on behalf by."
rN P Clayron-sitrad (cha1￿[5￿￿!- Tr￿Slee
.°agc 3

Independent Eiamlner's Report to the Trustecs of
SpeTrce'5 H05Pital Chari
Independent eiaminer's repori tlb the trustee5 Of Spe￿￿e's Ho8piial Charitv
report to ilLe Charity In241ees on eA8n)ination of the a￿OUnt5 of S￿nCe's Hospital Charity Trustl for the year
ended 3n Junc 20)4.
Responsibi]ities and bssis of report
As the ¢hariry mistces Ot thc TTUSt vou are re5ponsrble for the preparation of the accounts in a¢ctsrdan¢e ￿th the
rcquirciDcnts of the Charities Act 2011 I'the Arfl.
I report in respcct of m). examiJ)aLion olthe Tnjsvs accollnL8 carried ou¢ unde¥ Section 145 ot th¢ Act and in ¢arrving o
)y exmoais(Trn I have followed all applicable Directtons by tbi Chatity Conimtssion uttder Seciion 145{5llb) ot
the Aci.
Independent eyamineT'S $t8temeDt
I IIivL iompltted my tx&niJkqtion. I contirm that TRO ￿￿ter1¥1 n]aiters have come to my attention coJ]nc¢tion with thc
exa￿l￿tion ¥ivit]g rne cause 10 belieNe thar in any Anaterial rtsi)ecl.'
accouniillg recordg wcrc not k￿Pt in re5peLt vf ihe TnJ>i as ryuired by S￿tioll lio of tbc Acr or
the a¢¢tsunis do noi accord with those records: or
the accounts do iiot Comply the appli¢able r4llirements co)￿e￿iDE the forn) alld eolltrnt of accounts sei oui
in the Chaitlies (Accounts and Rewrtsl Regulation% 2(h)8 othei than any requirement tbat the accounts give a
ttue and fair view wlll.ch is TLOI a mauertonsidertsl as pan of an independent txalnination.
I have no conc¢Tns and have cotnc acro&s no oiher matieri in connection with the exami%Jation to whieh attentioTh should
bc in this report in order w enable a proper llndersthnding of thc accounts So be reached.
HEleD Lou15e BatTitt FMAAT
Stii'k LaEnbcrt & Co
Chancrcd Accountant
Russell C.hambe
61 a North Stre
Kei(plil¢y
4'esi Vorkshire
BD21 JDS
20 Mirch 2025
Page 4

Spence's Hospital Cbarity
Staten*nt of finantial A£tiTr'itits
ftsr the I'e*r E￿￿ed JO June 2024
30.6.*4
Total
tijnds
30.6.23
Total
funds
Unreskncie
fwids
Restricted
fimd
Nots
INCOME AND ENDOWMENTS FROM
Other trading activities
InYc5tsnent in¢ome
34,j?3
63.030
34.123
63.0_3
30.268
12,991
Total
97.353
97.353
43.259
EXPENDITURE ON
Other
39.659
39,659
42,444
-NET INCO,VE
57.694
57,694
815
RF.CONCILIATION OF FUiYDS
I'oul lunds brought fornard
518,253
i50,0(K)
I.(￿8.253
1.067.438
TOTAL FLTr4DS CAIUITED FORW.4RD
575.947
550.000
1.1?5,947
1.068.253
The notes forjn part of Ihese financial bfateJnellts

Spence's Hospital Charlti"
Balan¢¢ Sheei
-10 June ?024
30.614
Total
tund$
30.6.23
Totsl
fuad5
UHresrricte41
Ke5tricted
fimd
Notc
FIXED ASSETS
Investments
In￿eStMentS
Investment pmperty
01294
iOI,294
550.IXIO
442.424
550.000
550.000
i01294
550.000
1,051.294
992,424
C.UIIRENT ASSETS
Debtors
Cash &t baDk
1.311)
81.81H
1,383
81,804
600
76,829
83.187
83.187
77,429
CRf.DITORS
AmouiiLs falling due within one year
(8.534}
18.534)
(1,6(M)I
ET CURRENT ASSEIS
74.65.1
74,653
75.829
TOTAL ASSETS LESS CURRENT
LI.ABSLITIES
575.947
i50.¢XK)
1.125.947
1.068,253
TriF.T ASSETS
575.947
550.fXIO
1.125,947
,068,253
FUNDS
u￿￿eSir1LIed lunds
Restricta fvllds
575,947
550.000
518.253
550,(M)O
TOT.4L FUThD&i
1.125,947
1,068,?5 J
The fjnancidl ytdt¢tnenls iwete approved b> the Board of TTwiees and aUtho￿8£d for issue on 20 March 2025 and were
signed un It8 behalf bTr':
lavton-stead (Chairperson) - Tnjstee
The JM)*s fonn part of tbe5e financial stat¢￿ellts
Page 6

Sptnte's Hospilal Chari
Notes to the Fin*nclal Siatem¢llts
for the Y*ar Ended 311 J￿￿e 2024
ACCOUNTING POLICIFS
Basis nf preparing the financial 5tatetnenls
The fmanciaj statemeTLts of rhe charity, w'hich is a public henefit cntity unde.- FRS 102. httvL been prepared t
accordance with the Chatiriei SORP IFRS 102) 'Accounti￿8 and Rcpotting by ChaEities". Stat¢nKr.t of
Rccvmrnended Prac¢i¢e applicable to chartlies prqMTing their accollnt5 in accordance the FinaDcial
RLponing Stsndth applicable in the UK and Eiepublic of Ireland IFRS 1021 (effective l January ?019)'
Financial Reporting Staodard 102 The Financial Reptsrti￿g Ststthrd applicable irt thc UK and Republic of
Ireland, alld the Charities 2011. The financial siaiements hdve beLn preparcd undei the hisiorital ¢OSL
collvelltion, with thL' exceptioo ofin¥estmellls which arc i￿l￿ded ￿ market i2lll¢, as tnodified by the revaluation
of ¢ertain assL't5.
ncome
All income ts retogniscd tn thc Statrmcni of FitkwKial ActitrTrties ollce the charity has eniitlement to the funds, it
15 probable that the itttotDe will be Trceived al￿ ihe anK)unt can bt ￿easured reliably.
Expenditure
Liabilities are [ecoL￿.ised as expendiiure a5 500n ds the￿ is d legal or Co￿5trUctive obligation committin¢ the
charity to that ex￿n￿ltUre, it ig probable ihar 3 transfer of economic bellefits w]11 be required in settlement
the arnount of the obligation can be Mea$￿ed relgabl).. ETpeiidilure is a¢¢ounted for otj an accruals basis has
been Lla5sifJed und¢r headings thai aggreeak all cosi relaied to the ca*gory. Where costs fjaDnot be direcrly
attributed to particular headings they have bttrt all￿ted to actrvitic5 on a b￿lS consisrent Trith th¢ use of
Fe50urces.
InvestThent prtspertv
Invcsiment pri)peny Is shown at llK)si re¢ent valuation_ Any aggre¥ate ￿￿1p]uS or defJ¢it arising from changes in
fair value is Treogllised in the Siaic]nent of Finallcial Activiries_
Taxatio
The charity 15 exempt from raK on its eharitable activities.
OTHER TRADLNG ACTtVlTIES
30.6.24
30.6.23
,Maintenan¢e colltriblltiuDi
iO,268
INvESTmE￿T INCO.ME
30.6.24
Dii'idends receTved- C()lF
thvidends Re¢eived - BlackRock
Depo8lt a¢¢ouJ)t interest
Revaluaiion- ERF
Rewaluation- act￿m￿latiO
Revalllaiiim- incoTr
22.336
92
3,66_1
19,577
1.84U
(10:376}
1.762
96
3,292
-214
63.030
12.991

Spcnce'5 Hospital Charih"
ote5 to the Fin3ficial Statemeut5- COllt5nued
ftsr ibe I'esr Ended 30 June 2024
TRUSTEES. REMUYESL4TION AND BbfyEFITS
There were no trustecs, Iemullertlion or nthL'r bcnefits for the yE4r eELdcd 30 J￿￿ 2024 nor for the vcar Ended
30 Junc 2n13.
1'ry5tees' expenses
Ther¢ wer¢ no ttustees. expeDses paid foi Ihe year ended 30 June 2024 Aor lor Ihe year ended 30 Jwie 2023.
FIXED ASSET INvESTmE￿￿s
ListLd
invtgt￿tntb
MARKET VALUE
At l Jul}. 2023
Addiiio
Revdluatiuns
442,424
21.931
36,939
Ai 3(} June 2024
5nl,294
NET BOOK VALLE
At 311 June ?024
501,294
At 30 June 2023
442,424
Ther¢ We￿ no investment aw1$ outside the U
Cost or vaiualion ai 30 Julle 2024 is represented by".
Li5led
inveslmMts
Valuattop in 2024
Cost
464,355
501294
INI'ESTMENI. PROPERTY
The itlvestmcnt propLrty known as Carlcron AlmslM)uw was i'alued on 25 July 2022 by WBW Surveytsrs Ltd of
Skipton at £550,000.
F.air Yalue ai 30 June 2024 is repre5￿1￿j by-.
Valuation it] 2022
55Q,(JQO
Page 8
continued...

spe￿e's Hwltal Charil!,
.Yotes to the Financial StatemeDts- tokntinued
for the Year Ended 311 June 2024
DEBTORS: AMOUL¥TS FALLING DUE WITHIN OT4E YEAR
30.6.24
3U.6.2_3
Ottkr debtors
-383
600
CRV.DITORS: AMouTrrrs FALLING DUF. WITHIN ONT. YF.AR
30_6.24
Trade ¢tL"ditors
8.534
1,600
MOVEP¥lENT I.Y FUWDS
Net
m)ven￿ftt
in fulld5
Al
30_6.24
At 1.7.23
uM￿￿trIcted funds
Exiraordinari, repair
Income
A¢cumulaiion
C)¢lical m8intcnance
54.364
13.625)
451.281
17.24(1
32.666
74,760
?0,865
29 J74
71.097
3.663
518253
57,694
575.947
Restricted fttnds
Land and Buildings
550,0(M)
55Q,00
TOTAL FLTh. DS
1.068.253
57,694
1.125,947
et ￿￿￿emen1 in funds, inLlllded tn rbe &bove atc a5 follows:
Incomi
resvurLe5
Resources
cxpended
MoweTn¢nt
in fi￿d
Ullrestrieted funds
Extraordinary iEpair
Incoine
Ac¢umulatinn
Cyclital n￿l￿tenanCe
54,303
36.035
3,292
3,663
54,3fi4
{.).6?51
3.292
3.66-,
(39.660)
97.353
139,6591
57.694
TOTAL FUNDS
97.35)
139.659)
57.694
Luniinued...

Spellre's Hospiial Chariti-
Notes to the Financial Statements- ¢OlltiHufd
for tbe Year Ended 30 June 2024
.MOVEL¥IELIT IN FUNDS- eontinved
Comparatives for fflD*e￿ent in fund5
Net
molest￿t
in funds
Ai
Ai 1.7.22
Unrestritted flltkds
E.xItJord￿dry rcpair
388,123
32.441
27.612
69.262
8.795
(11,-582)
1,762
1,840
396,918
20,859
29,374
71.102
AciuEnulaiLon
CyLlical rnaintenanle
517.438
815
518.253
Restrieted [￿ndS
Land and Bwldin&s
55U,000
550,000
TOI'AL FUNDS
1,067,438
815
1.068,253
Comparative net moverpenl I￿ fv¥KEs, jJ￿[￿ded iD thc dboNe are as follows:
Itscoming
resources
RewtsTtcs
experKled
Movement
i funds
Unrestrirted fu￿a5
Exli"aordin3ry repair
IncomL
ALcumulation
Cyclical ￿intenanCe
8,794
8,795
{11,582)
1,762
1,840
142,4451
1,762
1,840
43,259
(42,444)
815
TOTAL FUNDS
43,259
(42.444)
815
io.
RELATED PARTh DISCLOSURE.S
There were no TEiated party trdnsactIo￿ for the yedr ended 30 June 2024.
Page 10

Spen¢e's Hospitsl Cktarity
Detailed SIatell￿￿t of FiDalkti41 Attlvltie5
ftsr the Year Endtd 311 Julle 21124
30.6.24
IJYCOME AND ENDOWMEpirs
Other tradiDg activities
MainteHancc ¢ontributions
34,323
30.268
Ini'estmeDt in¢vme
DiN'idends ieceived- COIF
DiNidends R￿ell,￿l - Bla¢kR(*k
Lk'po.sil account inieres1
Rev&lu<ttion- ERF
Revaluation- uccutDulation
Revaluation- in¢ome
22.336
92
3,663
32,433
3.292
1.214
19.577
92
1,840
110.376)
1.762
96
63.030
12,991
Total Ineoming Th￿￿r¢e$
97,353
43.259
EXPENDITURE
Otber
Hand)Than
AcLDuntai)cy
8undrie5
Cas &nd electriGity
Alr[k￿lIOuSC Insur¥￿e¢ policy
Clt2ning and tnatn￿￿allct
Rates and water
W￿￿c￿'S salary
Admitlislrative chargL
914
2,284
116
10.187
633
1.463
1.182
12,177
2.806
13.3)3
2.685
5.745
2.400
16.443
1,527
5,788
2.400
39.659
42.444
Toiai rcsourc&% expended
39.6)9
42.444
Net lll¢orne
57,094
815
hi5 pag¢ doe8 T>Ot fom] part of Ihc sramiory finantial statctTrents
Pagtll