Statement of RKeSpts and Payments-year Ended 0510412021
Recelpts
2021
Donations
25395.83
25395.83
Payments
Donations
Travel & Sub5iStence
Prlnting
Vèhicle Expenses
Insurance
Fuel
Bank charges
2200.00
10072.22
1116.20
23181.82
4.01
633.83
126.64
37334.72
Net IReceiptsllPayments
11938.89
ISLFrplusl/Deficit for the year
11938.89
Cash at bank at 6 April 2020
Deficit this year
Cash at bank at 5 Aprll 2021
383￿.49
11938.89
26361.60

Statement of Assets and LlabllStles-Year Ended 5 Aprfl 2021
Funds Recondllatlon
2021
Cash at bank 6 April 2020
ISurplusllDeficit for the year
Cash ai bank at 5 Apr512021
383CKI.49
11938.89
26361.60
Bank and Cash Balan
Bank deposit accounts
Bank current acco4Jnts
14243.11
12298.49
26361.60
Other Assets
Vehlde
Caravan
160CN).
210C4).CX)
370C(J.00
UabllStles
Approved by the trustees on 30 June 2021 and signed on their behalf by..
Robert James Forsythe
Llsa Humphrfes