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2021-09-30-accounts

Legal and administrative information information
Trustees
Key Management
Team
(Executive Committee)
Annual
General
Meeting
Dates
Executive Committee Meetings between Annual General Meetings
Address
Bankers
Report of the trustees for the year ended 30 September 2019
Constitution
and objects
Organisation
projects
How our activities deliver public benefit
Financial
review
Reserves
policy
Investment
policy
Risk management
Future plans
Independent
Examiner's
Report to the Trustees of Campus Children's Holidays
(Cambridge
University)
Independent
examiner's
statement 9
Statement
of Financial
Activities 10
Balance Sheet
Notes forming
part of the
financial statements for the year ended 30September
2019 12
1.Principal
accounting
policies 12
2.Volunteers,
trustees
and related parties remuneration 13
3.Tangible fixed assets 13
4. Debtors 13
5.Prepayments 13
6.Creditors 13
7.Funds 13
8.Income from Trustees and Related Parties 14

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Balance sh eet
As at 30Sep 21 As at 30Sep 20
Fixed assets
Minibus 23,754 23,754
Bouncy castle 1,465 1,465
25,219 25,219
Accumulated depreciation (20,468) (15,717)
Net book value offixed assets 4,751
Current assets
Cash 154,960 150,018
Debtors 8,863 17,311
Prepayments 2,134 1,704
165,958 169,033
Provisions
Creditors (5,801) (2,594)
Net current assets 160,156 166,439
NETASSETS 164,907 175,940
REPRESENTED BY
Fixed assets fund
Hippocampus Fund
Residential
Fund
8,718
Restricted funds 8,718
Unrestricted funds 113,460 115,775
RESERVES 113,460 124,493
Anniversary fund 51,447 51,447
Endowments 51,447 51,447
TOTAL FUNDS 164,907 175,940

Tangible fixed assets
Minibus Bouncv castle Total Minibus Bouncv castle Total
Cost
8/F 1465 25.219 23.754 25.219
Acnulnllons
23.754 1.465 25.219 1.465 25.219
Oenrecbruon
8/F 14.252 1.465 15.717 9.502 1.465 10.967
Cheroe for the veer 4.751 4.751 4.751 4.751
19003 14252 1.465 15717
9.502 9502 14252 14.252
4.751 4.751 9.502 9.502
4.Debtors
2021 2020
Accrued income 8,863 17,311