Charlty num￿1. 301S95
THE PAINSWICK CENTRE
(A CHARITY REGISTERED IN ENGLAND & WALES)
TRUSTEES. REPORT AND FINANCIAL STATEPAENTS
FOR THE YEAR ENDED 31 DECEMBER 2022

THE PAINSWICK CENTRE
IA CHARrrY REGISTERED IN ENGLAND & WALES. NUMBER 301695)
CONTENTS
Page
R9f¢r•n￿ and administrnllv• dots11s of the charity, its tr￿¥t8¢S and advls•rs
Trustee8' report
Independent examIne￿$ rgport
Statement of fin¥n¢ial actlvltle•
Balance sh•el
Notos to the financial ststements
10-12

THE PAINSWICK CENTRE
(A CHARJTY REGISTERED IN ENGLAND & WALES. NUMBER 301595)
REFERENCE AND ADMINISTRAMVE DEfAILS OF THE CHARITY. rrs TRUSTEES AND ADVISERS
FOR THE YEAR ENDED 31 DECEMBER 2022
Trustges
DavKI Albtt (Appointed 30 May 2023)
Vtvien Ba￿ {Chair) Irestgned 22￿ Septemter 21722)
stephen Brignall {appointed 11 June 2023}
Ktm Brc¢kett (apF(Jirrted 30 May 20231
Ceri Chaplin { appointed 27 June 2023}
Claire Clement (appointed 17th October 2022, resigned 20 April 2023)
Atyson Davis (resigned 22￿ September 21)22)
Adrian Gyde (appointed 30 May 2023)
Judith Hill (resigned 30 May 2023)
Mahbcx)b Hussain (ap￿inted 11 June 2023}
Dawn Jolley (appointed 27 June 2023}
Simon Jones lapp)inted 27 June 2023. resigned 24 August 2023)
David Lc¥Jse (apwnted 27 June 20231
John Petrie {appointed 27 June 2023)
John Podmore {resigned 30 May 20231
Matyn Smith {resKJTbed 31%t t)ecember 2022)
Dawn Tyson {resigned 22￿ September 2022)
Roy Wallis(resLqned 30 May 2023}
Antonia Wright {apFtJinted 27 June 2023)
John Willkimson Iresbgned 22TrJ September 2022). {Chair) {appointed 30 May 20231
Charity r•gl8t•r•d number 301595
Rogisterod office
Palnsv￿k,
Gloucestershire
GL6 6QQ
Indewmlent examinor
Price Davis Limited
The Old Baptist ChaFel
New SL
Palnsv￿k.
GIoU￿terShIre
GL6 6XH
P￿e1

THE PAINSWICK CEKfRE
IA CHARtrY REGISTERED IN ENGLAND & WALES. NUMBER 301595)
TRUSTEES. REPORT (continued)
FOR THE YEAR ENDED 31 DECEMBER 2022
The Tmstees present their annual report tojether witrt the unaudtEed financial statements of the Charity for the
year 181 January to 31* December 2022. The Trustees fmifim thatthe Annual Report and financial ststements
of the Chanty comply with the current statutory requirements. the requirements of the Charity's goveming
document and the provtsions of the Statement of Recommended PraG1￿e (SORPI, applirAble to charities
preparing their accounts in accordan￿ wrth the Financial Rewrb"ng Stsndard applicablè in the UK and Republic
of Ireland IFRS 1021 {effethe 1 January 2015} as amended by Uplate Bulletin 1 (effective 1 January 20151.
ABOUT THE CHARtrY
The charity owns and operates a vil*e hall in PainswKK GloucesteTrhl￿.
OBJECTIVES AND ACTIVITIES
Purposes of the charlty
The object of the chanty is the provi8ion and maintsnance of a village hall for use by the inhabitants of the
ecclesiasb'cal parish of Painswid( and the sumunding neighbourhcÉd ￿￿thOut distinction of political, religious or
other opinions, including use for la) meetings. ￿CtsJreS and classes. and {bl otherforns of recreation and leisure-
time C￿UpatiOn. wrth the object of improving the ￿ndi￿on$ of lrfe for the inhabitsnts.
Main adivities undertaken to ￿rther the charws purposes for public bonefft
The Trustees Gonfim that they have LX)mplied wrth theirduty to have due regard to theguidance on public benefft
published by the Chartty Commi8swJn in exercising their FK)wers and duties.
The Centre has a range of rooms for hire. It hosts a wde range ofevents. induding art exhibitions, conferences.
meetings. private part￿. SFOrts. theatre events and concerts. art"sts' studios and weddings. It also puts on
events, such as the Wick-Flix film screenings and p0k￿p f(K#J events.
ACHIEVEMENTS AND PERFORMANCE
After the last AGM in September 2022 fve Trustees were elected. Follcpwing the resignation of trugtees in
March 2023 the rnana9ement of the ¢harty was reduced to three trustees which meant there was a significant
lack of resource and skills. Shortly afteThvards the Centre manager reswjned b3ether with the events manager.
wrthout any attempt to consutt wtih the b￿efiaarles of the tnL8t i.e. the ¢ommunty of Painswick, a number of
poor decisions were made which induded announcing the dosure of the Centre in June 2023, stopping
essential rna1ntenan￿ and terminating the lease agreement on the Centre's cottage. These decisions appear
to have been made as a consequence of a shortage of commercial and operational skills supplemented by a
poorty produced financial rnodel which contxined numerous errors and poor predictions and have had an
ongoing effect on the Centre's finances. It was only after Ihe deciwins were announced that any attempt to
Consult was made.
Followillg a strong adverse reaction from the local o)mmunity the three trustees agreed to step down and
hand over to a new group of indNiduals who appointed a new iKJard of 12 trustee5 with busine55, commercial,
financial, estate management, legal and marketing competences. Tha new board has set OLrt to réctify th•
issues. Many of the users who had L*en f￿Ce0 into firK1ing attemative facslib'es have or will shortly be returning
to the Centre, essential maintenance has been under12ken and the cottage is being prepared to let.
The announcement to close the Centre viill have an adverse eff*t on the income in 2023 but the actions
taken to improve forward looking projections including the careful management of costs give confidence that
the Centre has a reasonable expectstion that the Charity has ajequate resources to continue in operational

THE PAINSWICK CEPItRE
IA CHARITY REGISTERED IN ENGLAND & WALES. NUMBER 301595)
TRUSTEES. REPORT (continu￿)
FOR THE YEAR ENDED 31 DECEIABER 2022
existence for the foreseeable future.
The Centre could not suNi¥e without the tireless effcrts of many dedKated volunteers. The Twstees are
delighted to take this opwrhjnity to thank e￿h and every one of them. particularly the new group of Friends
who are some 30 strong and who have stepped foTh¥ard to help the ￿rrent Trustees to Nnwgorate the Centre.
We would welcome any new vdunteers, Irrespecti￿ of how much or lrtde time they can give.
FINANCIAL REVIEW
The charity's principal sources offvnds are rC￿M hire. events and bar takings. 2022 saw a gradual retum to pre-
Covid operation. In 2021 income had still down S￿n￿CantIY on 2019. as gradually recovered from
eady summer onwards.
Total income in 2022 was £98,36812021 - £71,612). Studio and room hire was
£38,91712021- £15,918) and bar tskings £14.74612021- £6,190}. Thanks to another full year of ￿cupa￿Dn,
cottage rentwas £9.000 (2021- £9.0001. Event income soared to £11.583 {2021- £3,612}, reflecting the higher
umber of SUC￿ssful events during the year. Other income was down to £16.256 12021 - £19,754). This
reduction was largely due to a reduction in grants of £17,836 in 2021 to £10.340 offset by an i￿reaSe in income
from pop-up fc4Jd and income from the Thursday markets.
Bar costs were higher than 2021, reflecting the hwJher kvel of activty. Bar costs were £7,836 {2021- £2,838).
Event cosls increased to £6,529 (2021- £3,795). refiecb.ng the hKJher number of events. Repairs & renewals
were down to £18.59512021 - £26.1641 whth indudes a provision of £12,608 for w)Tk that should have been
perfomied in 2022 but wa5 not completed until 2023. Staff costs increased to £30,195 {2021 - £11,453},
refleth.ng the need lo pay for more perrnanent and contract staff to manage the increased activity. Utility costs
were significanty h￿her at £16.156 {2021- £7.097), due to the combined effect of mre activty in the Centre
and higher prices. Other costs were £13,823 (2021 - £3.269}. which was mainly due to purchases of small
assets {i.e. assets Costing less than £500}. Italso induded £2.941 of depreciation charge on capitalised assets
12021- £2841.
The net result was net expenditure of £13,262 for the year (2021- net of £2,403). At 31st December
2022 the charity had unrestn.cted fvnds of over £1.3 million {2021 - £1.3m}. Most of this is ￿ presented by the
value of the Painswick Centre l)uikling. The Charity had cash at bank and in hand of £64,90012020- £73,430).
After rnaking appropriate enquirEs, the trustees have a reasonabk expectakn that the Charity has adequate
resources lo continue in opeth.onal existence for the fO￿seeab￿ futu￿, al￿rt at a lower level than previously.
For this reason. they conb.nue to adopt the going corwn b￿$ in preparing the ftnanrjal ststsments.
The trustees. policy on reserves is that the charity wll bjok to retsin enough cash to cover at least six months
forecast charitable ath.ty and overhead ouffiows. This k8 of the order of £40.000.
The trustees keep the prineipal risks of the chanty under rev￿W. One of the principal risks facing the charity
would be a significant reduthon in demand for ts rwms arKI events over the long-term. Another would be a
shortfall in the availabilty of volunteer5 to support the chaws athities. The other principal risk would be the
requirement for significant unanbupated expenditure on the fabric of the buihaing. These principal risks are
unchariged from last year.
Page 3

THE PAINSWICK CETr¥tRE
(A CHARITY REGISTERED IN ENGLAND & WALES. NUMBER 301595>
TRUSTEES. REPORT Icontinuod)
FOR THE YEAR ENDEO 31 DECEMBER 2022
STRUCTURE. GOVERNANCE AND IAANAGEMEKr
Governlng docum•nt
The Centre is govemed by a scherne da￿￿ 10th OctoEer 2002 as amended on 24th Apr 2018. This scheme
replaced the original deed of 5th Decemt*r 1906.
Constltutlon
The thafity is a standard registered charity.
Method of appolnlment or electton of trusl¢es
The Centre is run by a Commrttee of MaTwement This shoukj have three elected members, one appointed
member for each of the organisations that use the premises and not rn0￿ than tr40 ctsopted members. The
member5 of the committee are the managing trustees of the charity.
The term of Offi￿ of all memters ends at the end of the annual general meeting following the date on which
Ihey came into office. They may be re-elected or re-appointed.
The elected meM￿ts must be appointed at the annual general meeting. The appoinlment will be effective
from the end of the annual general meeting at whth the apwintrnent ts made.
Appoin￿￿ members must be app)inted xc¢rding to the ffllinary of ttp apFM)inting bc#Jy. An
appointment must not be made rrKYe than fv•t) months before the annual 9eneral meeting. The appointment
will be effective from the latter of.
{a} the end of the annual general meeting,. and
Ib) the date on which the commiiiee or their ￿retary or clerk are infO￿ed of the ap￿intrnent.
The person apFKJinted need not be a member of the re￿ant app)inling l)ody. Where an or9anisation
declines to appoint a member to the committee or frails to notify the &cretsry of their appointment within the
timescates prescribed in dause 22 of the s¢heme, the ¢ommrttee may app)int a member to fill the vacancy.
The appointment must be made at a speaal meeting ofthe ￿MMittee. The appointment wll be effective from
the end of that meeting until the end of the following annual general meeting.
Co-opted members (of which there may not be more than at any time) must be appointed at a special
meeting of the commtttee. The appointment wll be effecbve from the end of that meets.ng until the end of the
following annual general Tr￿eting.
Policies adopted for the induction and trdining of tnffjtees
The charity has developed a welcome and inducaion pr(Kess for new trustees, based on the Charity
Commission's best Practi￿ guidelines.

THE PAINSWICK CENTRE
(A CHARrrY REGISTERED IN ENGLAND & WALES. NUMBER 301595)
TRU8TEES' REPORT {conllnued)
FOR THE YEAR ENDED 31 DECEIABER 2022
Thts reFQrt was approved by the Trustees on 13 September 2023 and shJn&J on their behalf by:
John Willianw>n
Chair
Adrian
Treasu
Page 5

THE PAINSWICK CENTRE
(A CHARrrY REGISTERED IN ENGLAND & WALES, NUIABER 301595)
INDEPENDEKf EXAMINERS. REPORT TO THE TRUSTEES OF THE PAINSWICK CEtr¥fRE
I reFrfJrt on Ihe aczounts of the Charity for the year ended 31 D&%mter 2022 which are set out on pages 8 to
12.
Your attention ss drawn to the fact that the Charity has prepared Ihe Financial Statements in accordance with
Accounting and Reporbng by Chanties preparing their accounts in accordance wrf(h the Financial Reporting
standard applicable in the UK and Republic of Ireland IFRS 1021 in preferen￿ to the Accounting and Reporting
by Charib"es.' Statement of Reeommended Practice on 1 April 2005 ￿lch is referred to in the extant
regulations but has sifi￿ been withdrawn.-
We understand that this has been done in order for the accounts to provide a true and fair view in accordance
with the Generally Accepted Accounting Prya¢tre effective for period$ ieginning on or after 1 January
2015.
Respertive ve8ponsibll1t1￿ of tnmteos and examln•r
The trustees are resk￿ls1b￿ for the weparation of the acwunts. The trustees consKler that an audit is not
qUI￿d for this year under section 144{2} of the Charthes Act 2011 (the 2011 Act} and that an independent
examination is ne&led. l am qualified to undertake the examinabon by being a qualified member of the
Associats'on of Chartered Cerbfied Accountants IACCAI. Having satisfEd myself that the charity is not subject to
audit under company law and is elfjible ts independent examination. it is my responsibility to:
examine the accounts urKler sectb)n 145 of the 2011 Art
to fdlow the procedures laKI down in the general Directions given by the Charity Commission under
seclion 145{51(b} of the 2011 Art and
to state whether particukqr matters have come to my attention.
Basis of indgpendont examin•rfs rtport
My examination was canied out in ac#)ydanc* wth the general Directk)ns gNen by tho Charty Commission.
An examination includes a review of the accounting records kept by the Charity and a comparison of the
accounts presented with those records. It also includes consKleration of any unusual items or disclosures in the
accounts, and seeking explanations from you as trustees con￿mIng any such matters. The procedLtres
undertaken do not provide all the evidence that would be required in an audit and consequently no opinion is
given as to whether the &counts present a ITue and faw view and the re[￿rt is limited to those matters set out
in the statement below.-
Continued....

THE PAINSWICK CENTrE
IA CHARrrY REGISTERED IN ENGLAND & WALES, NUIABER 301595)
INDEPENDE1￿ EXAMINERS. REPORT TO THE TRUSTEES OF THE PAINSWICK CENTRE
..continued.
Indèpondent examlne¢s statem
In connection with my examinalion. no matter has come to rny attention..
{11 wthich gives me a reasonable cause to befieve that in any material resped Ihe requirements:
to keep accounts.ng records in aCCordar￿e ￿th secth)n 386 of the compan￿ Act 2006., and
lo prepare attounts which accord with the accounting records. comply wtth the accounting requirements
of section 396 of the Companies Act 201X and with the methods and principles of the Statement of
Recommended Practice: A￿jnting and RekN)rting by Charii*s have not been me[ or
12) to which. in my opinion. attention shoukl be drawn In order to enable a proper understsnding of the
accounts to be reached.
Craig Fitchett
Crydig Fitehett FCCA
Price Davis Ltd
Chartered Certified Accountants
The Old Baptist Chapel
New Street PaInsw￿k
Gloucestershire
GL6 6XH
Date". 13 September 2023

THE PAINSWICK CENTRE
IA CHARtrY REGISTERED IN ENGLAND & WALES. NUMBER 301595)
STATEMENT OF FINANCIAL ACTivmES FOR THE YEAR ENDED 31 DECEIABER 2022
2022
2021
INCOME
Donations
Charitable activities
studio and r￿M hire
Events
Other
12.082
38.917
11.583
16.256
15.918
3.612
19.754
66,755
39.284
Other tr*Jing income
14.746
6,190
9,000
5,048
Cottage
Carpark
5.391
29.137
20,238
Investrnent I￿￿Kne
98,368
71,612
EXPENDITURE
Raising ftjnds
Bar costs
Event costs
Ma￿￿11ng
2,838
3.795
3,275
6.529
5.453
19.817
9,908
Charitable activities
Repai￿ & rnnewals
Ublities
Cleaning & wa&e
Insu￿nCe
18.595
16.1
26.164
7.097
3.848
2.976
928
3.174
493
Licensing
43,974
41.013
Other
Administrative staff
Prnfess￿naI fees
ITand communKation
Bank chatyes
30.195
1,554
1,634
631
13.823
11.453
1,520
1.635
411
3,269
47.838
111.629
18,288
69.209
NET INCOMEI(EXPENDrtURE)
{13.2621
2.403
The notes on pages 9 to 11 I￿7 part of these financial SlateM￿
PaJe 8

THE PAINSWICK CENTrE
{A CHARITY REGISTERED IN ENGLAND & WALES. NUPABER 3015951
BALANCE SHEEr
AS AT 31 DECEMBER 2022
2022
20
FIXED ASSETS
Pfoperty
Improvements
Fi￿r&S & ffttings
Totsl
CURRENT ASSETS
1,189,209
67.1C
13.7
1,270,009
1,189.209
67.100
8,248
1.264.557
2.154
10,782
64,900
7T￿37
2,100
6,143
73,430
81,673
Debtors
Cash at bank and in hand
Totsl
CURRENT LIABILrrES
Creditors.. amounts falling due wrthin one year
24.540
9.662
NET CURRENT ASSErs
NET ASSErs
53,297
1,323,306
72,011
1,336,568
FUNDS OF THE CHARrrY
unreStrfC￿ funds
1,323,306
1,336,568
The Charivs fina￿lats statements have teen prepared in aco)rdance with the provisions appliGable to the
Financial Reporting Standard applicable in the UK and Republ￿ of IreLqnd IFRS 102).
The financial statements were approved and authorised for ￿￿ue by the Trustees and svJned on thgir bÈhaW,
by
John WillHmson
Chalr
Treasu
Date: 13 Septsmber 2023
The notes on pages 10 to 12 fom) part of these fina￿la1 slatements.

THE PAINSWICK CETr¥fRE
IA CHARITY REGISTERED IN ENGLAND & WALES. NUMBER 301595)
NOTES TO THE FINANCIAL STATEMEp¥rs
FOR THE YEAR ENDED 31 DECEMBER 2022
ACCOUNTING POLICIES
1.1 BASIS OF PREPARATION OF FINANCIAL STATEPAEP¥ts
The finanryal statements have been prepared in aCC￿rdance wth Accounting and Reporting by
Charities.. Statement of Rec•Jmmended Practits applicable to charrties preparing their accoLtnts in
accordance with the Financial Reporting Stsndard appltsbb in the UK and Republic of Ireland IFRS
1021 {effecti¥e 1 January 2015)- (Chartbes SORP {FRS 1021). and the Financial Reporting Standard
applicable in the UK and Republtc of Ireland (FRS 102).
The P8inswick Centre meets the defintlK>n of a wblic benefit entsty under FRS 102. Assets and
liabilities are initially recogni%ed at histori￿[ cost or transaction value unless otherwise ststed in the
relevant acc(HJnting policy.
1.2 COMPANY STATUS
The Centre is govemed by a scheme dated 10th October 2002 as amended on 24th Apr 2018.
This ￿heme reptaced the original deed of 5th December 19C6.
1.3 GOING CONCERN
The Irustees consider t*￿t there are no materral un￿rtaIntieS about the Charitys abilty to continue as
a going eoneem.
1A INCOME
All income is recognised On￿ the Charity has entillanentto the income. it ts Fxobable thatthe income
will be ￿e1Ved, and the amwnt of income receivabk measured reliabty.
Donated semces or knlities are reeL*3nised when Charity has control over the item. any
condrtions asscaated with the donated item have been met, the teceipt of economic benefft from the
use of the Charity of the item ts prOba￿e and that econom￿ benefft can be mèasured reliably. In
accordance with the Charites SORP IFRS 102), the general volunteer time is t￿t recognised.. please
refer to the TnJstees' report for more infonnation at*)ut their contn"butKJn.
On receipL donated professional services and donated facilth.es are reGognised on the basis of the
value of the gtft to the Charity whith is the amount the Charrty would have been willing to pay to obtain
services or faciliti'es of equlva￿nt ￿nOMiC benefft on the open markrt a corresponding amount is
then recognised in expendiiure in the perA)d of receipt
Income tax recoverable in reLation to donations receNed under Gift Aid or deeds of covenant is
reccgnised at the time of the donatvm.
1.5 EXPENDrruRE
Expenditure is recognised On￿ there rs a bjal or construcbve oblWion to transfer economic benefit
to a third party, it is probable that a transfer of eLX)nomi¢ beneffts wll be required in setuement and
the amourst of the obligation can be measur&J reliably.
Costs of raising funds are those incurred in generaling income and do not indude the costs of
disseminab.ng informab.on in support of the chafitsble activities. Chariiable activities are the direct
costs of undertaking the charivs Obj￿￿yes. OItEr costs are principally SUPF4Xt costs.
Page 10

THE PAINSWICK CEtrmiE
(A CHARITY REGISTERED111 ENGLAND & WALES. NUMBER 301595)
NOTES TO THE FINANCIAL STATEPAEKrs
FOR THE YEAR ENDED 31 DECEMBER 2022
1.6 TANGIBLE FIXED ASSEfs AND DEPRECIATK)N
A review for impairrnent of a fixed a￿t is ￿rrIed out if events or changes in circumstances indicate
that the carrying value of any fixed asset may not be recoverable. Shortralls be￿een the carrying
value of fixed assets and their recoverable amcwJnts are recognised as impairments. Impaimient
k)sses are recognised in the Statement of financial xlivibes incorporating income and expendrture
account
Tangible fixed assets are I￿rried at cosL net of depreciation and any provision for impaiment.
Ftxtures arKI fftb'ngs are depreaated over their antupated useful life. For the Current fixtures and
fittings that is 20% straNJht4ine depreciatron.
1.8 DEBTORS
Trade and other debtors are reeognised at Ihe settlement amount after any trade discount offered.
Prepayments are valued at the amount prepaKI net of any trade dLs¢ounts due.
1.9 CASH AT BANK AND IN HAND
Cash at bank and in hand indudes cash and short term hb3hly liquid investsnents wth a short maturity
of three months or less from the dale of acquisit￿n or opening of the derM)sit or similar ac￿unt.
1.10 LIABILITIES AND PROVISIONS
Liabilities are rec&Jnised when there is an obligation al the Balan￿ sheet date as a ￿sU11 of a past
event it is probable that a transfer of econom￿ benefft Mll be required in settlement, and the amount
of the settlement can be estimated relkably. Liabilities are recognised at the amount that the Charity
anticipates rt will pay to setue the debt or the amount it has received as advanced payments for the
goods or Servi￿ it must pn)vhJe. ProvisKsns are measured at the best estimate of the amounts
required to settle the Obl￿atron. l•Vherethe effect of the time value ofmoney is material, the provision
is based on the present value of those amounts. discounted at the pr&tax discount rate that reflects
the risks sFwJfic to the liabiltty. The Un￿ndEng of the discount is rwnised within intere$t payable
and similar charges.
NEf INCOMEIIEXPENDrruRE)
This is stated after charging:
2022
2021
Depreciation and impairment oftangible fixed assets
2.941
During the year. no Trustees r￿e1ved any remuneratK)n (2021: nill.
During the year. no Tnjstees received any benefts in kbnd12021.' nil).
Page 11

THE PAINSWICK CENTRE
IA CHARrrY REGISTERED IN ENGLAND & WALES. NUMBER 301595)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEIABER 2022
TANGIBLE FIXED ASSErs
Flxturns &
Toial
COST OR VALUATION
At 1 January 2022
Additions
At 31 December 2022
1.189209
67.11)0
8,532
8.393
16,925
1,264,841
8,393
1,273,234
1,189,209
67,100
DEPRECIATION
At 1 January 2022
Charge for Ihe year
At 31 DerÈmber 2022
2,941
3.225
2.941
3.225
NET BOOK VALUE
At 31 December 2022
At 31 D8cember 2021
1.189.209
1. 189.209
67,1CrfI
67. ILXI
13.7(KJ
8.248
1,270,009
1.264.557
CREDITORS: Amouiifs FALLING DUE WtfHIN ONE YEAR
2022
2021
Trade creditor5
Deposits taken
Accruals and deferred ino)me
2.234
1,121
21,185
24.540
4.122
820
4,720
9,662
Page 12