Ch•rOty Reglstration No. 279991
ALCON8URY RECREATION FIELD
ANNUAL REPORT ANO UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2023

ALCON8URY RECREATION FIELD
LEGAL AND ADMINISTRATIVE INFORMATION
Tru5te•%
E Adams
P Watson
C P*Jdley
B Stsines
Charlty Numb•r
279991
Pvlnclp*l Addrnss
AIc4>1I￿ry Re¢¥eab"on Field
Great North Road
conkwjry
Hunb'rrfJdon
PE28 4EX
Ind•p•nd•nt Examlner
AJS Accountants Ltd
Gbbson HcAJse
Erniine Business Park
Huntingdon
Cambridgeshi
PE29 6XU

ALCONBURY RECREATION FIELD
CONTENTS
Pag•
Trustees. report
Indepentsnl examintrs ￿￿
Statement of finanaal activities
Balance sheet
Note5 to thefinanod statements
9-15

ALCONBURY RECREATION FIELD
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 DECEMBER 2023
The Trustees wesent repcA1 and fin￿)01 statements fty the ysar ended 31 December 2023
The financial staterneffls have been prepared in accordance with the accounty.ng pdit)es set out in note 1 to the
account5 and cOm￿Y with ojrrent statutory requirements. the requirements of the tharity's goveming d¢)vJmenl
and 'Accounling and R8PQrting by fharilies" St*ernent of Recommended Practice 8pF4ic8ble to charities
preparing their accounts in accordance with Ihe Finan0￿ Reportyng Stsndard apF4icat4e in the UK and R8public
of Ireland IFRS 1021 las amended for accoJntr'ng periods cc4mmenang frtyn 1 January 20161.
0bl•ctlv￿.
The aims of the Charity are to provide Ind￿ and outdoor reueational and SF)Orts facilities for the communities
of Alconbury, Ajconbury Weston and neighbouring areas in the west ol the Hunts"ngdon5hire Distn"ct Counul
geographical area.
For&￿V￿.
This year Mid( Gunney stepped d¢Jwn from hTrs rde as ¥ Trustee. and most recenuy Chair of Trustees. Mick ha$
been central to the chanties fundrwsing activityes for many years and his adwce. wsdorn and diligence in
ensuring its continued success wiu be So￿lY missed. I wtyjld likè ￿ reittratt trjr sincèrè thanks lo Mick f
his many years of sèNce.
Looking back, in the thairman's report for 2022, an cpts'mists'c cthook was presented. De4xie the re$m'¢tions
that had been F4aceil upon us a5 ? resuh of Coronawrus and the subsequert cost of living C￿515 our staff.
volunteers. affiliated dubs and other supporters had cune together to ensure that we C￿￿'nued to deliver good
quality and affordable SpO￿n9. r8rye3ts.on￿ and sou31 faalities for the cornm￿1ty in which we are located. l am
pleased to report that this conbnued Into 2023. As a ￿5￿t of Impromng e￿￿orniC condits"ons. generous
donations and successful grant apF4ications we have been at4e to refurtjsh the fijnction room, Instai sclar
p￿e15, purchase new 904posts. safety neth.ng and rwnforcemern mats for the ovefflow carpark.
Our farilib"e$ ¢￿InUe to be admired by Misiting sports teams arKI guests.
Achl•v•m•nts •nd P•rfonn•nc•s:
Throughout the year cmjr faalities have cc¥th'nued to pyovide a wde vwety crf reueation81, spcrts
and 50aal activities with events to cover all age groups.
Chjr target 'fooltsll' o16CKI regular recreab.onal users was surpassed with ease.
r)Jr football pitches and Cncket squa￿$ remain wdl us•d as arè thè Indoor PO￿. Darts and
8owls faalibes. Bingo is extremely popular and vJway5 very well attended.
Thursday Club is thn￿n9 and crrtinues to be an important sotial mèeting plac• fc* many of our
Ilages MO￿ dderty residents.
Our deasion to promote greater use of the fvn¢*"on room has proved successlul. Numerou$
weddings. pa￿'eS and cther private fundions have beem ￿lOyed and deliVe￿d add￿c￿al income
ft)r the tharity.
The everf•opular Firework5 evening continues to be a key fvndraising event for the charity and
was eXt￿MelY wdl orgaTh5ed. Improved e•b"cketr"ng arrangements a￿sted with organisation and
ensuring the safety of all those attenthng.
D•v•lapm•nts:
Thanks lo a ger*rous donatson yowded by the family of Frank Hufftnan, the funth.on room has be
refuibished and this has a5SSted in attracb.ng additsonal weddings and party bookings. It is a muth nicer space
than 12 months ago.
Part of thi6 generou$ donation wa5 also u$•d lo install sc4ar panals on the roof. Thi5 trnv?5trn￿t is already
proving to be money well spent and ij in part offsetting the sigThficantly higher electriaty costs whith have been
axp•ri•nc•d through¢xrt th• year. t￿ring the summw months thasa p#nels ar• g•nwating apW0￿matdY 60% Df
our energy needs.

ALCONBURY RECREATION FIELD
We wem daliohtèd that a numbw of Frank's family from the USA were at48 to Msit and hohf the donation
has been used and the benefits rt has already delivwed.
Thanks must also go to Lau￿nce for his hard woth in the submission of vanous su¢etssful grant appliGats"ons
wkn.ch have secured funding for new safety netbng almg the play area. wnlorcement mats lor the overtlow car
park area and new goalposts.
We remain extremely grateful to the W0￿8Y Wndfami scheme. tho supprxt shown by the Cambridgeshire
C¢ynmunity Fwndab"w. AJ￿b￿ry Parish Councal ond many other kn.nd benef8￿C￿.
Flnanclal Revlw.
The Treasurer and our Accountanl Andy Spnngthupe of AJS Accountants Ltd have proMd8d thé Annual
Accounts up to 31 st December 2023. ￿tr11st these show a nel loss of £31081 this indudes a depreciation
allowance of £13179 and £16.OCKJ of expenditure frcrfn the Frank Huffman donation of £16000. This was
received in 2022 but is Induded as eXpend[tU￿ in the 2023 accounts. Taking these dement5 into account there
s an op¥ating loss of £1.902. This refied5 the need for investment in building ￿paIrS and imprtsvemenls
Coupled with hea￿lY inrJeased ￿ergY costs as eyperienced nationaiy.
Th• Trnstees have ass•ssed th• major rlsks to %*thlch the Ctharftyls •xpos•d to and ar• ￿tIsfi•d th•t
syst•ms are In plac¢ lo mlllgal• •xposur• to th• m•Jor rlsk&
StNctur•. qov•man¢•. #nd m#nagem•nl:
The Alconbury Fidd Chartty's 9ovèming dorJJmwt is a lease dated 3rd April 1980 as aM￿ded 21 st August
1984. The Chanty has five vdunteer trustees.
The Tru$tee$ aTr. up to the dale of the ffinanoal Statern￿ts were..
Elizabeth Adarns
Paul Watson
Christs'an Bodley
Bruce Staines
The Chznty is run by the trustev15 With help Irc￿ the Professional Secrttary to the Trustees. Laurence Rickard.
Separate respwsibility may be given to other vdunteer5 to ¢yganise fvndTrising events Yor the benefit of the
Charity.
The Trustees. Report was apwoved by the Board ofTwstees.
Paul A Watson
Ch81r of Trusiees.
Elizabeth Adams.
Trustee.

ALCONBURY RECREATION FIELD
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF ALCONBURY RECREATION FIELD
I r•port to the trustees t)I my examination of the financial sL1tements of Aconbwy Recreation Fiebd Itha
charity) for the year ended 31 Oecember 2023.
R•sponslblllt1•5 •nd b*sls ol r•port
As the trustees of the chanty you are responsible for the preparation of the finanual statemenls In
ordarbce Ihè réwimm8nls ol Ch•ntt"es Ad ?011 {1￿ ￿11 A(*
I report in respeLt of my examination of the tharity's financ3a staterne￿ts carnied cyjt undar sectson 145 of
the 2011 Act. In carrying out my examinats'on I have fc41owed al the ap￿l￿e &"reth"ons given by the
Charity Comm15sion under section 1451Sllbl of the 2011 ACL
Independent examinerfs statement
I have completed my exarnination. I confirrn that no matter5 have come to my attwts'on in eonnpcty.on with
the exarnin8tion giving me rause to believe that in any material respect..
accounb.ng ￿cordS We￿ not kept In respect ofthe thanty as raqurtd by Sec*.￿ 130 of the 2011 Act..
thè finanual statèments do not ac￿ wth those record5.' or
the finanaal statements do not comFAy the applicaÈ4e requirèmeffls ¢on¢eming the form and
content of accounts Set out in the Chantses (Accounts and Rewrtsl Regulations 2008 other than any
requirernent that the accourrts give a tnje arKI fwr ¥1￿ wlith is not a matter ccnsidered as part of an
independènt examination.
I have no coneems and havè come attoss no other matters in connection with the èxaminab.on lo whith
attenbon should be drawn in this report In ortler to enable a prcper undersianding of the finantsal statements
lo be reached.
Andr￿ Springthorpe FCCA
Fe* and behaf ofAJS Accountants Ltd
Gib50n House
Ermine Business Park
Huntingdon
Cambridgeshire
PE29 GXU
Dated..

ALCONBURY RECREATION FIELD
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 DECEMBER 2023
Unrn*trlct•d R•strfct•d
fund•
fund
2023
2023
Totsl Unrnstrict•d R•stn'ct•d
f￿￿$
lunds
2022
Tot
2023
2022
Not•s
Donatsons and legarjes
Othertrading ath'vities
Investsr8nt Income
Otharincome
5.015
6.428
11.443
18.761
11,161
27.033
27.428
11.161
27,033
38.7
Total income
48.225
6.428
8.867
65.622
Chantable aciiwties
55,5XI
30.204
48.254
10,724
$6.978
Nat Incom•ll•xp•ndbtur•l
for the y•arl
N•t mov•mfjnt In funds
17,3051
(23.TT61
131.0811
10.701
12.057)
Fund balances at 1
January 2023
ie8,4411
338.997
270,558
(77,1421
399,054
261,912
Inter£cmpa)y
adjustmants
{30,246)
Fund balances at 31
D•c•mb•r 2023
1103.W2)
313.221
2CO,229 166.441}
336.997
270.
The statement of finana81 acD"wtses ind￿Je$ all gains and losses recognised in the year.
All inc¢me and expenditur8 derive from continung actiwti"es.

ALCONBURY RECREATION FIELD
BALANCE SHEET
ASA T 31 DECEMBER 2023
2023
2022
Flx•d ass•ts
Tangibltr asset$
Current assets
Debtors
Cash at bank and in hand
11
195.411
208.5
12
5.111
32.791
29.937
14.555
62.728
Cr•ditors'. amount$ falling within
on• y•ar
13
(7371
17621
14ei Lurrefrt a¥¥ets
13.818
61,966
Total assets less current Ilabllttles
209.229
270,556
D•ferr•d Incom•
14
N•t as3•t>
209.229
272.556
Incom• funds
Restnded fund5
unrestn.cted fvnds
313,221
(103.9921
336.997
{66,4411
209.229
270,556
The financial ststernents were appyoved by the Trustees oft
E A Adams
Trust
Trnst••

ALCONBURY RECREATION FIELD
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2023
Accounting poli¢ie•
Charrty intorniation
Ajconbury Recreatr'on Field is a ur#ncuFmted registered in England and Wales. numbar279991.
1.1 Accounting convention
The finanua statements have been wepared in ac¢ordaA¢e ￿￿th the chanty'5 Igoveming documentl, thè
Charities Act 2011 and "Accounb'ng and Rèports"ng by Chanties Statement of Recommended Practice
ap￿icaNe to ehariknes prèparing th￿r arcourns in accordance with the Finanaal Reporting Standard
applicat4e in the UK and Republic of Ireland IFRS 1021 lèffe¢tsve 1 January 20191". The tharity is a Publi¢
Benefit Entity as defined by FRS 102.
The charity has taken advantage of the prO￿siD￿$ in the SORP for c*￿treS apFAying FRS 102 Update
B￿letIn 1 not to wepare a Statement of Cash Flows
The 5tatement5 have departed frun the Charrties IAcccA*)ts and Reportsl Reg￿atr"Ons 2008 only
lo the extent required to provide a true and fair vie4¥. This departure has invdved l(Alowing the Statement
of ReQ￿rnended Pracb"ce for charits.es appI￿ng FRS 102 rather than the veNon of the Statement of
Recommended Practs"ce whrth 15 referred to in the Regulats'ons t￿rt whith has since been with¢Jrawn.
The financial statement5 are prepwed in Sterling, which is the f￿ctt0n￿ ¢urrenry of tre ¢hanty. Monetary
amounts in these financ1￿ statement5 we rO￿ded to the nearest £
The finwcial statements have been wep¥ed under the hist￿.¢* cost ¢￿ven￿on. modified to indude the
reV￿u811On of freehold prope￿"e$ and to Indude investment properties and certain ￿n￿cial instrument5 at
fair value. The pnn4Apal accountsng Oicies adopted are set out below.
1.2 Golftg conc•rn
At the time of approving the finanaal ststements. the trustees have a reasonatAe expectats'on that the
charity has adequate resource5 to ccfrtinue in Operats"￿￿ existence for the fO￿Seeable fvture. Thus the
tmstè8s continue to adw the g￿ng concem ba￿5 of accojnts.ng In preparing the financ4al Statements.
1.3 Charitable funds
Unrestrictèd funds are available for use at the ¢*SrnIic￿ of the trustees in furtherance of their chantable
objeth'ves.
Re5tn"rted fund$ Sp￿fiC condtkn.ons by donors as to how they may be used. The purpos¢$
and uses of the restricted funds are set out In the notès to the finanei81 statemènts.
Endowment fund5 are subject to 5Feafic conth.ons by donors that the ca￿181 must be mainlained by the
charity.
1.4 Incoming resources
-mc is rccagnised ￿￿cn thc tharit) 15 Ic¥all> crti¥cd:-
.cr an> Forforrriance conditions have been
rn￿. the amolrts can be méasured reliat4y, and it Is wc&at4è that in¢tyne will be rewv*d.
Cash donations arè recognisèd on Otr*r donabons a￿ recognised once the chanty has been
notified of the donaty"on. unless performance condib.ons require defeffd of the amount. Income tax
recoverable in relation 1¢ dMatson5 recwved under Gtft deeds of covenant Is recognised at the ts'me
of the donatson.
Legaues are recognised cn recapt or othepmse rf Ihe tharity has been notified of an impenéing
distribution, the amount is known. and rtt￿pt 15 eypeLled. Ir the amount is not known. the legacy is tr8ated
a5 a conbngenl asset.

ALCONBURY RECREATION FIELD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2023
A¢Muntlng pollcl•s
(Contlnu•dl
1.5 Resources expended
Expen%Yiture 15 recogn15ed once there 15 a legal or construcbve ot4igab.on to transfer economic t*nefit to
third party, it t5 probalJe that a Iransfer of economic benefits wll be required in setdement and the amount
of the otAig8tion ran ￿ m8X5ured reliably. Expendi￿re is dassffjed by actiwty.
Costs of generating funds costs inojred in attrKliry vdLrtary income and those inuJrTed in trading
actiwties that r￿se funds.
Charita￿e actiwtses and Govemance costs are costs incurred on the Chanty's operats'ons, induding
support costs and costs retaty.ng to the govemance of the Charity apportoned lo tharilable acts"wtses.
1.6 Tartgib￿ fixad assots
Tangible fixed assets are inits.alty measured at cost and subsequenlly measlred at ¢051 or vduth'on. net of
depreaation and any impainnent losses.
Depf•aatsM is r•wnis¢d $0 as to write off the cost or Vatuath.c￿ of assets less thLyr residual v￿￿¢$ ovw
their usefLd lives oft tne following bases.
Freeh(￿d land
Pavilion extensions and improvements
Hant and equipment
Nol depreoyated
2.5% straight line
15% straight line
Freehold land and assets in the ¢ourse ofc¢nstru¢ts"M pje not detyeoated.
The gain or loss ari￿n9 on the th"sposal of an a￿et is determined a5 the thffwence Ixtween the sale
Fyoceeds and the carrying value of the asseL and is rewised in net inry)mgllexpenditurel for the ye8r.
1.7 Imp*lmi•nt afflx•d assets
At each reporbng end date. the charity the wrying amounts of its tangl￿e assets to deterrnine
whether there is any indication that those assets have suffered an irnpaifment Ivss. If any suth indicats'on
exists, the recoverable amount of the asset Is e5bmated in orderto detetrnine the extent of the impairment
loss lif any).
1.8 Cash and cash wulv•lents
Cash and cash equivalents Indude cash in hand. deposrts held at call wrth banks. other short4emi liquid
Investrnents wiin onginal maiunlles ￿ tnree monms or less, and DanK overaratts. bank overaran5 are
shown within trfvjfrowngs in wrrent liat¥'littes.
1.9 Financial instruments
The chanty ha5 dected to athy the ly0￿510n5 of Se￿b￿ 11 'Bawc Finanrial Instruments, and se￿.on 12
'Other Finanaal Instruments Issues, of FRS 102 to all of its finaTraal instruments.
Finanaal instrumènts are r8cognised in the th¥tty's ba1￿ce sheet when thè d￿rity becomas psrty to the
coniractual pro￿S1OnS of the instrument
Finanad assets and 11a￿"11￿"eS are offseL wth Ihe net aM￿nts prnsented in the finanu4 slatements, when
therè Is a legally erforceable right to sei off the ￿cOgniSed and thère is an Intsntson to settle on
r￿1 basis or to realise lh8 asset and settle the liatrf.lrty sImu￿ne0￿￿y.
10

ALCONBURY RECREATION FIELD
NOTES TO THE FINANCIAL STATEMENTS ICONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2023
Accountlng pollcl•s
{Contlnu•dl
Basic finanryJ assets. which Indude debtor5 and cash and bank balances. are inrtially me8sured 8t
transaction pnce Induding iran$athrfft wsts are subsequently carried at amortj'sed cost using the
eff8ctiv8 interest m8thod unl8SS th8 arrangomont ttJn5th1uf85 a financing transactton where th8 tr8ns8ctir
is measured at th• p￿Sent v*ue of the fvture receipts discounted at a market rate of inl•resL Financial
assets da$sffjed as rectyvable within one year a￿ not amorn"sed.
8￿1¢ IlMn¢l￿1￿bIIftI
Basi¢ financial liabilities. Induding creditors bank loans are Inib"ally recognised at transath'on wice
un1&5s the a￿angernent con5ty"tLrtes a finanang tr￿SactIon. where the debt instrument is rneasu￿d at the
present value of the future payrnents discounted at a market rate of Inte￿St Finanti￿ liabilib"e5 das5nled
as payable within one year are amorn"sed.
Debt instruments are subsequenly carried at anth.sed ¢OSL using the effeth've interest rate methDd.
Trade rThJitor5 are 0bligatsc￿S to pay for gO￿lS or ser%ices that have l>een acqJired in the orth'nary course
of Dperations from Su￿ters. Amounts paythe are dassffjed as ctrrent li8bilits.es rf payment is due WEI.hin
e year or less. If not. they are p￿Sented a5 nrnrrent likn'lities. Trade Crèdito￿ are recognised initialy
attransath'on price and subsequently méasured * arnryb"5ed cost using the effeth've intwest mèthod.
Dervwnftlon ollln•nclal Ilabllltle•
Finanaal liabilities are derecogni5ed when the d￿rIty'S Contrac￿31 obligations expire or arè distharged or
celled.
Crib¢al ae¢ountlng Ostlmatos and
In thè ap￿ICation of the charity's accwiting Fdicies, the trustees are required to make jUdg￿￿tts,
estimates and assumpbons about the carrying amoJnt of assets and liat4'1ities that a￿ not readily apparent
from other sources. The esb'mates and associated assumpts.ons are based on historical experience and
other factors that are considered to be rdevant. Acbjal re5uhs may ¢&ffer from these estimates.
The e5tsmates and urKlerfying a55urnptsons are rewewed on basis. Rews1￿5 to accounts'ng
estimates are ￿COgnised In Ihe period in which the estimate is revised where the remsion affects only that
Feriod. or in thè period of the revision and future p￿0dS whère the ￿m$10n affects both current and future
nods.
Donattons and leqacl•s
Unr•strfcted R•strlct•d
funds
funds
Total Unrestricted Rastricled
fund5
fvjnds
Totsl
2023
2023
2023
2022
2022
2022
Donats'ons and gffts
Grants re￿Vable
5,015
5.015
6.428
18.761
18,761
8,667
6,428
8.667
5.015
6,428
11,443
18,761
8,667
27,428

ALCONBURY RECREATION FIELD
NOTES TO THE FINANCIAL STATEMENTS ICONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2023
Oth•r tradlng activities
Unr•sbl¢t•d Unrestricted
fund
fvfKIs
2Q23
2022
FuThJraisiThJ events
4.504
11.161
Inv•stm•nt Income
UnT￿￿¢t•d Unrestncted
funds
Funds
2023
2022
Rental income
38,7C
27,(rd3
Oth•r ￿n￿M
Unr•strlctod
funds
Unrgstrirted
funds
2023
2022
Othgrincome

ALCONBURY RECREATION FIELD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED
FOR THE YEAR ENDED 31 DECEMBER 2023
Ch•ritablo •¢tivrti•s
2023
2022
Staff costs
Dèpreaat'on aThJ impairmont
Rent, rates and water
Li￿t and heat
Telephone
Postagè and stsb"onery
Repairs and renewds
Cleaning and laundry
Vehide running costs
Insuran¢e
AccoL¢ntancy
Sundry èxpansos
14.953
13,179
1,149
10.137
555
15,157
13,260
1.034
4,987
447
37,989
3.113
13,939
1.801
3.140
3,218
ij
570
553
85,734
56,978
Analysis by fund
Unrostrici&d funds
Restricted funds
55.$30
46,254
10,727
85,734
56.978
Trust••s
None of the trustees lor ￿Y pèrsons connected them) rKeived any remurwats.on cy benefitsfrom the
charity dunng the year.
Employ••s
Numb•r ot •mploy••s
The a¥er89e monthly numberof•mployee5 during the yearwas".
2023
Numb•r
2022
Numbvr
Employment Gosts
2023
2022
Wages and salanes
14,953
15,157
13-

ALCONBURY RECREATION FIELD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2023
10 Taxatlon
The Chanty is exempt from tax on IncLvne and gains fdling wthin s524 of the Income Tax Act 2007 and
$256 of the Téx8tsc￿ of Charge3t4e G•'ns Ac¢ 19￿2 to the exterrt that these ¥8 Wied to its Lth8ritable
objectives. No tax charge5 have arisen in ts Charity.
11 Tangibl• fix•d assets
Pknt
•xtensloM oqulprMTht
TrAal
Cost
At l January 2023
Addition5
s4,￿ 490.447
53.178
598,231
Ai 31 December 2023
54,6C6 490,447
53.178
599.231
DepTrciation and impairment
At 1 January2023
Depreaats'on charged in the year
351,583
10,654
49.058
2,525
389,641
13.179
At 31 0e¢ember2023
351237
51.583
402,820
Canilng amount
At 31 December 2023
54.6Ce
139,210
2,595
195,411
Al 31 December 2022
54.6C
149,864
4.120
208,5
12 D•btors
2023
2022
Amountsf•llSnq du• *tthln on• ￿•r.
Tradè dèbtors
Alconbury Sports and Sooal Club
prepaym￿ts aThJ aCcrl￿d incune
2.911
2,055
25,436
5,3C
2,2C
5.111
34.791
13 Cr•dltor5.- amounts f*lllng du• tA4th1n on• yelr
2023
2022
othtrtaXati￿ and social security
Trade creditors
A¢wals and d￿errnd income
737
737
14-

ALCONBURY RECREATION FIELD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2023
14 D•l•rTed Incom•
2023
2022
Oiher deferred income
1S R•l*t•d party trnns*etlons
There weo no disdosable rdated party tr•nsacttons during the yew or the prior year.
15-