OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2023-03-31-accounts

II
~
~
SORP
reference
Summary
of the purposes
of the
Para 1.17 out'tous.
fe~~ zR ~&~~~
charity as set out in its governing
document
TPMgt&
f'„- eF- IP&&6&oJ~ ~Sr„-5 JO
4IUAANtf df Atc-~
Summary
of the main activities
in relation to those purposes
for
the public benefit,
in particular,
Para 1.17and
1.19
~~~~~g h&v~CeYVI6r4t
~g t~~tC. EARTH
P&dtS&W oF EHfc~~s ~~~~
the activities,
projects or services
w~~& j' $5-,~g
identified
in the accounts.
Statement
confirming
whether
the
trustees
have had regard to the
guidance
issued
by the Charity
Para 1.18 'THE ~fR~ t-fhv'6&~ D4b
Co~&0~~~~6G~~
g~ i~~pug' 914.0 3 / 'TH 4
m~m &~~M~~cr M 0'uguc,
Commission
on public benefit
Kw4Q~
&

0 5 0
I
~ 0
~ 0
SORP
reference
Summary
of the main achievements
of the charity,
identifying
the
difference the charity's
work has
Para 1.20 +~~
An,~N
Pa@'~M~~~~~~
~~pC+~~ H~ t'~ MW~b
made to the circumstances
of its
beneficiaries
to society as
and any wider benefits
a whole.
—P~dtOI~
~~~r 4'~@~
-W~&~~v iNC
-RkatQm
FutJCm~&
+&~c~
J'u'nhhrtA
8
4&5
~OX(~&,P~ecS g

SORP
reference
Achievements against objectives set Para 1.41
Performance of fundraising activities Para 1.41
against objectives set
Investment performance against Para 1.41
objectives
Other

SORP
reference
Review of the charity's
financial
Para 1.21
position
at the end of the period
of -rate f'~4 ts swlsW~y
Statement
explaining
the
policy for Para 1.22 ~PA~~~~~ t~~48
holding
reserves
stating
are held
why they /t4~ p)J~ hKA~ ~A4&1 t~~
Amount
of reserves
held
Para 1.22 E'I,ply, z.q~
Reasons for holding
zero
reserves Para 1.22
Details of fund materially in deficit Para 1.24
Explanation
of any uncertainties
about the charity continuing
as a
Para 1.23 IHIP —CH~M
VmvtORr~S
HA-s svA
c ~T
~tt-~ ~
going concern

You may choose to include
fur
ther st atements
wh
SORP
reference
The charity's
principal
sources
of Para 1.47
funds
(including
any fundraising)
Investment
policy and objectives
Para 1.46
including
any social investment
policy adopted
A description
of the principal
risks Para 1.46
facing the charity
Other

of8
i
0 0 ~ ~ ~ I
~
Charity name 5Qgog~g~&P, ~g@~~0 QV4vltc. C~g
Other name the charity uses
Registered charity number 05i3ssa
Charity's principal address &I -iS~.~~r~EttaT
H506
CH~qt~
hY'iq ig
Nam es of the charity truste es
who manage
the
charity
Trustee name Office (if any) Oates acted if not for Name of person (or
whole year body) entitled to appoint
trustee (if any)
gc)3t+ t-
A6&t- kh-~
~L- w~oP ~s ~ukdP
f) QPft.vL @Los
MUAP~eO
tHI
Uc.~
%St~&,g~u~
VIMC~~
NtoHA~ep
+ophw~
~n&u Ar~~
hhtAH
Itch, c.g~p~
PCBSQec(Q~
~J~5F~~
10 S~~ mWH
v~ K.oV+s
dJofpi
AHcvl
A5 )~.(C~
s~Nr. Wc.
12
13
14
15
16
17
18
19
20

Vl O
Ch
lA
Ch
OO Ch
OO
cD OO
Ch
I
Vl cD C
OO cD
I f I cD
«D cD
Ch
Ch
OO Ch OO C IPl
O OO OO Ch cD
7 o
OO
g'6
2 g
rn8- 0 g
C4 .g cd
o 4 0 +o
E o o OaO
.6
m cn
Oo
cd
Q
g')
0 o
60 Q
0
Al4
i4V
+
0
IQ
cn0
A2
U
g
Q
0 rn
g
cd
cd
~
rO
rn
CN
O
U
0 Cl
0 z cd
cd

0 N C& C&
Co
Ch
c5 CV)
OO Vl C& Ch
I VI OOO Vl
O
I I I C)
CV
OO Vl Ch
Vl OO OOO Vl
0 c5
M
u)
o
a5
0
4
0
M
g
0
0
+
0V
0
Q &g
cn
0
a5
00
&
OO
a5
o
rn
0
Ch
g2o
'g
O
cn
ID
u
2
Q
CC
CI
g
t/J
4
N
Q g
ca
UOXR
Ã0 E E
4 4
0 0
+
+
(g
4 4
o o Q
c4 c4 cng
zzQ
0

DEPRECIATING ASSETS DEPRECIATING ASSETS
Fixtures Greenfield
~cor oration And Street
Street F~ttttn
s
M~os ne Total
COST
Opening
Balance
as at 1stApril 2022 31,990 83,352 1,257,004 1,372,346
Additions
in Year
27,671 83,970 111,641
Closing Balance as at 31stMarch 2023 31,990 111,023 1,340,974 1,483,987
DEPRECIATION
Opening Balance as at 1stApril 2022 11,798 72,543 307,684 392,025
Charge for Year 404 5,771 20,666 26,841
Closing Balance as at 31stMarch 2023 12,202 78,314 328,350 418,866
NET BOOK VALUE
As at 31stMarch 2023 19,788 32,709 1,012,624 1,065,121
As at 31stMarch 2022 20,192 10,809 949,320 980,321

Vl O
Ch
lA
Ch
OO Ch
OO
cD OO
Ch
I
Vl cD C
OO cD
I f I cD
«D cD
Ch
Ch
OO Ch OO C IPl
O OO OO Ch cD
7 o
OO
g'6
2 g
rn8- 0 g
C4 .g cd
o 4 0 +o
E o o OaO
.6
m cn
Oo
cd
Q
g')
0 o
60 Q
0
Al4
i4V
+
0
IQ
cn0
A2
U
g
Q
0 rn
g
cd
cd
~
rO
rn
CN
O
U
0 Cl
0 z cd
cd

0 N C& C&
Co
Ch
c5 CV)
OO Vl C& Ch
I VI OOO Vl
O
I I I C)
CV
OO Vl Ch
Vl OO OOO Vl
0 c5
M
u)
o
a5
0
4
0
M
g
0
0
+
0V
0
Q &g
cn
0
a5
00
&
OO
a5
o
rn
0
Ch
g2o
'g
O
cn
ID
u
2
Q
CC
CI
g
t/J
4
N
Q g
ca
UOXR
Ã0 E E
4 4
0 0
+
+
(g
4 4
o o Q
c4 c4 cng
zzQ
0

DEPRECIATING ASSETS DEPRECIATING ASSETS
Fixtures Greenfield
~cor oration And Street
Street F~ttttn
s
M~os ne Total
COST
Opening
Balance
as at 1stApril 2022 31,990 83,352 1,257,004 1,372,346
Additions
in Year
27,671 83,970 111,641
Closing Balance as at 31stMarch 2023 31,990 111,023 1,340,974 1,483,987
DEPRECIATION
Opening Balance as at 1stApril 2022 11,798 72,543 307,684 392,025
Charge for Year 404 5,771 20,666 26,841
Closing Balance as at 31stMarch 2023 12,202 78,314 328,350 418,866
NET BOOK VALUE
As at 31stMarch 2023 19,788 32,709 1,012,624 1,065,121
As at 31stMarch 2022 20,192 10,809 949,320 980,321