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2024-09-30-accounts

ENI"IRON.)IE)I IT,11:,ITF.RTrOII'L & 11 ILDLIF F TIIIIST InLolliL and eipenditure accouiit for the l'ear ended 30 September 2024 2024 Inconie Grants 7,708 300 8.008 Stock.Feeding,Veterinary etc Rent & Water rates Equipment expenses Insurance Heat and ligiht Siationery etc Repairs and maintenance Bank charges General expenses Depreciation 2,928 90 i03 1,398 73 76 3,595 39 379 1,379 10.460 DEFICIT ?.45?

l)IIL)11(;11s1 I.KN I. I,. NI I, I11()N 111,: Ni'i',Ii',K'i'i;,111,"(_)11 I, & Il'l Ll)I,I I,'I," "IlllJ.fi"I' .IIJiiLC sIIc L'l 14 UI 10 ¥iLPtciiilici" ?()?4 2024 Nc)Ic I 4,139 Curreiil èXssLts Bank LurrLnt aLLount C&sh on hand 7.686 303 7.989 CurrLnt Liabililies Creditors and accruals Nel current assets 7.989 ital Em loved 12,1?8 FinancLd B Capilal Accouiit Brought Forward al l October 2023 Deficit for the year 14.)80 ?.452) 12.1?8 Balance at 30 September 2024 l? 198 We IiaN-e prcparcd Ihcsc accounts from IhL books.rLcords and inforinalioii siipplicd to LIS aiiol confirm thLy arc iii accordL1nce thcrciviili. We haN'e not carricd oiit an c2udit. IiloLII J- 51.MARKfT RD BAI.I.YMFNA IIPNI RY &C AC'COIJNI ANTS