## 

## 

## 

## 



## 

## 



## 

## 

## 



## 

## 



## 

## 

## 

## 

## 



## 

## 



## 

## 

## 

## 

## 

## 

## 

## 

## 

## 

## 



## 

## 

||NOTE|Restricted|Unrestricted|Total<br>f|2021<br>f|
|---|---|---|---|---|---|
|Income and Expenditure||||||
|Income resources||||||
|Activities<br>in fiuthersnce of||||||
|the charity's objects||||||
|Pupil fees and levies|||230,143|230,143|218,637|
|Interest received|||29|29|33|
|Donations||12,769|7,452|20,221|13,884|
|Sundry Income|||I 422|I 442||
|Total iacoming resources||12769|239046|251 815|232 554|
|Resources expended||||||
|Charitable<br>expenditure||||||
|Activities<br>in furtherance ofthe charity's||||||
|Objects||9,298|205,891|215,189|197,035|
|Management<br>and administration|||27809|27,809|23576|
|Total rmonrces expended|6|9298|233700|242998|~220<br>11|
|Net Income for the year||3,471|5,346|8,817|11,943|
|F~t<br>gbtf~alA~|t2021|1!864|69470|81334|~69 91|
|Feeds carried forward at31July 2022||||||





## 



## 

## 

## 

## 

## 

## 

## 

## 

## 



## 

## 

## 

||OIBce|OIBce|
|---|---|---|
||Etiuipment||
|Cost|||
|At 1"August 2021||1,948|
|Additions|||
|At 31"July 2022|||
|Depreciation<br>At 1"August 2021||1,944|
|Charge for the year|||
|At 31~July 2022|||
|Net BookValue|||
|At 31"July 2022|I|d|
|At 31"July 2021|||



## 

## 



## 

||||2022|2021|
|---|---|---|---|---|
||||Total<br>f|Total<br>f|
|Tutors' fees|||153396|144,939|
|Printing, Postage lk Stationery|||158|626|
|Rent|||17,325|9,240|
|Cleaning|||1,430|1,901|
|Telephone|||1,154|1,234|
|Insurance|||2,012|2,026|
|Administnuion|Fees||50,062|41,036|
|Covid Equipment|||70|1,916|
|Pmfessional|Fees|||4$0|
|Independent|Examiners|Fees|1,200|1300|
|Concert expenses|||517|2,078|
|Website dt Marketing||||712|
|Musical Instruments||||759|
|Sundry Expenses|||1,$44|887|
|Depreciation|||||
|Subscriptions|||2,352|2,9$6|
|Tlalnnlg|||333|852|
|Pupils fees (restricted fund)|||9299|7734|



