LENADEN ARENA LIMITED
TATEME
F FINANCIAL ACTIvrrES
FOR THE YEAR TO 30th SEPTEMBER
22
Unrestricted
Funds
Restricted
Funds
Total
2022
Total
20?1
INCOME
Weekly attendance receipts
Sum Up
Charitsblc actLVlties
35.110
533
35.110
533
12.310
Total
77,4.5.5
EXPENDITRE
Charitablc activities
l)ther
44,186
44,186
44,186
44.186
81.-343
Net Expendiiurcllncomc
(8..543)
(8,541) (3.888)
Balance al l yi Octobcr 2021
(7.7841
(16,327)
(7,784) (.3:896)
{16,3271
(7.784)
All of thc actLVLtiet> of the coinpany arc cla¥sed conlinuing.

GLENADEN ARENA LiMrrED
BALANCE SHLFT
ASAT
th SEvfEMBER 2022
2022
20?1
FIXED ASSETS
Gl¢naden Arcna
F4uiPll￿llf
,977
167
2.144
CURRENf ASs￿s
Cash at bank
Inveslmenis
312
10.378
9,312
19,378
TOTAL ASs￿s
9.312
21.522
26.02.3
Accluals
3.283
1S,6.39
29,.106
(16,327) {7,784)
REPRESENTD BY
Unreslrictcd fundt
R¢Jtricled tuThds
(16.327) (11,672)
(16.327) ( I1,672)
For rhe Ye￿ ended 30th September 2022 the charity was entitled to exemption from audit under
&ee(ion 477 of the c￿mpanIeS Act 2006 relating £0 t>mall eompahies
Trn¥tee' responsibilities:
The rncmbc￿ have not requiltd the charity to obtain and audit of its accountty for
the year in question in accordance with section 476. and
The trustees acknowledge iheir responsibililies for coinplying with the requirement8 of the Act
with respect to accounting records and the preparation of accounts
These accounts were approved by the charity on the 22nd June 202.1 and signed on their
behalf by
David Hider
Director