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||||2022|||2021||
|---|---|---|---|---|---|---|---|
|||E||E|E||E|
|RECEIPTS I P YIIIIENTS FOR THE|YEAR|||2,039|||57,416|
|CASH AND BANK BALANCES AT 31 MARCH 2021||||392,470|||335,054|
|C SH AND BANK BALANCES AT31|CH 2 22|||394,509|||392,470|





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|||||2022|||2021|
|---|---|---|---|---|---|---|---|
|||||8|8|6|8|
|ONETARY ASSETS||||||||
|Cash and|bank balances:|||||||
||Bank accounts||||394,509||392,470|
||||||394,509||392,470|
|Debtors:||||||||
||Loans||||300||2,500|
|Creditors:||||||||
||Bankloans||||567,130||600,868|
|OTHER ASSETS||||||||
|For use by the charity and belonging|||to the General Purposes|Fund:||||
||Church<br>property - at|cost|||130,000||130,000|
||Church development|-at cost||1,857,602|||1,857,602|
||Office equipment - at cost||||10,963||10,963|
||Bus - at cost||||1,650||1,650|
||Mini bus - at cost||||9,000||9,000|
|||||2|009215||2,009,215|



