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The London Buddhist Centre
Notes to the Finandal Statements (continued)
For the year ended 31 March 2024
Expendlture on charftable artlvltles
Loudon
Bllddbi5t
CeDtre e*Ert
2024
reathlDE
Buddhl$t
toThmun6ty
Grabt
payable
Reknai
Z024
2024
Z024
21r24
2024
2023
Staff costs
Depreclatton
chantsb1eatty￿tsCS
352,954
65,92
39.dH3
SL419
43200
298.S21
509,736
43.200
834,8S8
484,696
42.ODD
742.651
112,397
14,759
301,956
107.225
46S.351
80.679
341,399
107,225
393.140
1,3B7.794
1.269.349
Sharetsf5MppJrt Costs ls¢enote IOI
Shar*ofwernaneè¢o¥ts1seenote 10)
113.756
21,153
4.211
Z9,379
5.849
164,288
167.606
21647
32,707
33J07
60L754
106.043
376,627
107,225
393.140
L584,789
L470,262
UthTestrirted
Restrirtedfunds
586,152
15,6D2
106.043
376.6Z7
61.726
4S.499
393.140
1.523.688
61.101
1.463.Z
6,994
601,754
106.Q43
376ts27
ID7.Z25
393.140
1,584.789
1,470.262
Fortheyearthded 31 blarth2023
Untestrlcted fufjds
RestrfLtrdfunds
478,620
6,994
118.991
396.23S
76.176
393.246
1,463268
6,994
485,614
118,991
396,235
76,176
393.246
1.470,262
Page 21 of 32

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