R E A C T (Reconciliation, Education and Community Tralnlng)
(Northern IrelaThJ Charity Commission Numbor: 1049721
Report of the Trustees and Financial Statements
for the year ended 31 March 2023
Noel Conn & Company
Chartered Accountants

R E A C T (Reconciliatlon, Education and CommunityTraining)
Accounts for the year ended 31 Ma￿h 2023
Content5
Page
Trustees and Other Infomiation................
Reportofthe Trustees................................................
Statement of Trustees, Responslbilities.....................-.-
IndependentAccountants' Report.... ......... ... .......... ....
statsment of Financial Activities................................. .
Statemenl of Financlal Poslticm...
.10
Notes to the Flnanciat Statements.............................................................................11

R E A C T (Reconciliation, Education and Community Training)
Trustees and Other Information
Trustees
Karen Marshall
Clare Imn
Teresa Kelly
Julie Burt
Roisin Kelly
Marion Jambs
Bart)ara Burrows
Martin Callan
Foths Hayes
Contact Detsils
Unil 14114A
Amagh City Shopping Cent
TtrK)mas Street
Amagh
BT617AE
Telephone. 028 37526869
Fax.
028 37526089
Email..
infO@re￿In1.or9
Reporting Accountsnt
Ncel Conn aThJ Company
7 Se￿n Houses
UpFer English street
Arnagh
BT617LA
Banker5
Danske Bank
78 kntch Street
Ama3h
BT617DJ
Charity Commission Nl Number
104972

R E A C T (Reconciliation, Education and Community Training)
Trustees report for the year ended 31 March 2023
The Twstees present their rep)rt along ￿ the finJKiat statements of chanty for tre year eThJed 31 March S)23.
T1￿ finJ)cA stsiements have t¢en prepared In ￿COrd￿ wth tr* ￿un0ftg sei out of page 11.
Constitutio
REACT is a non.incorporated trKKly ar￿ is an xcepled chanty by HM Remue and CLsloms REACT was regisler&J
as a chanty by the Chanty CommLssK)n Northem Ireland on the 12 ￿?Y 2016 uThder numter 104972.
Organisatlon
The Trustees wh) have se￿￿ dunng yEar ae detailed out on paje 3
Who are REACT
REACT first oFened in Amiajh m February 1999 Tf* Organisat￿n, krM)*fft orvJirk311y as EPIC MKI Ulster. was
eslablish&Y10 wlh ex-pnsoners and their lamilies Due lo the thanges in kxal ne&J organisalM)n tecan
REACT, IReconciliaiK)n. £d￿ts0n ar￿ Community TrainirKJl In 21Y12 organsatKM) has svr£essfully evolved
from ￿￿Tkir￿j with a siryle ¥Jentsty group10 V•ffking cross ccrfnmunty with groups arvj irKJividuats frryn all
backgro¢Jnds. rel￿￿)$. or Cultu￿$.
REACT operates prirnarily In the County Armèjh, and Tyrone areas. arKI is ￿1Stered as a chanty under T
Chanty C￿nmISs￿jn for N(Mllwn I￿laTh1.
REACT has 25 years eXFer￿rte of successfvlly delivenng a rar¥Je of ccrfnmunty SW, de¥dop￿ent and rdati￿S
prqects. REACT currently delivers a rdrye of supwrt servr2s10 Vtbms aThl supiivor5 of the Northem Ireland
Troubles ar￿ kn chiklren arKI youTrJ Fe(* pnmanly KIents￿ as at nsk. vulnerth ty dtsaJvanl4
TF* organisabon lo Ccrfje of G(x*J Govemance as set out by the Chanty Cixnmisgon for Northem
Ireland. The Mana3emenl Committee have tr* ultsmate resronsiEMIty for ensun'ng sw£essfvl delivery of all
REACT servir2s, exerctsiThJ ¥Pfopnate controls arKI ensumg &couniabdty
REACT wognBes Ihai addressir#J all Ihe needs of ￿timS aTrJ suNvLY5, chikjren aTrJ youTrJ is not easily
effectively ￿h￿Ved by thiro alor*. aThJ that by ￿rkIrrfJ In partnership ar￿ c01latrt)ra￿n ￿th a range of statutory
aThJ community a3encies ￿ can better ffEei the re&Js of Ser¥￿e users aThJ wr ccrfnmunity
SeNice user errfJa3ement is core to our eltrK)s Communicating with aThJ iivol¥ing sefv£e users al every sl4e of
SeTh￿e devebprnent, delivery and evaluation s fundamental REAcfs V￿lim5 aThJ Survivors Sleenng Group, Youth
Committee aTrJ Youth ￿nIOnng Wofkiro Group provKle platfonns for seNce users10 ha%E ttreir Voices heard aThJ
inlluerKe di[￿tK)n and developmenl of trE organisation.
Sl imrortantiy, REACT contsnue$10 rise to ltre challenge of dealing Ynth developirvJ needs within IIE community,
promoting empowemenl and peace and LEing mindful ol ts)w test lo prO¥￿e ￿ceS￿ble and restKMsive SerV￿S
that SUPP)rt and transfonn the lives of tIKJse mosl In need, vulnerabÈ ard dIsadv￿laged
Statement of Publlc Benefft
The TDJStees telieve thai trt)th our purp)ses ar￿ tr* &tsvtses undertaken In this lasl fina￿lat year clearty sats5fy
elements of the publ￿ tenefil requirement

R E A C T (Reconciliation, Education and Community Training)
Victims and Survtvors Pro
The REACT Victsms and Survivors Project, funded through the VSS Victims Support ProgramryE, supports victims
and survivors of the Northern Ireland Troub￿$ from &ross the communrty. The aim of the Serv￿ is to offer a holistic
support service which..
1. Improves mental and physical health oUt(￿mes, social outcomes and learnirrfJ q)portunities victims and
survivors
2. Reduces the level (rf trauma victims and survivors
3. Promotes engagement and relatK)nships on a cross communty level
4. Supports V￿tsmS and survNors io errfJage in kgacy iss￿$
The REACT Victims and Survivors Project delivers a range of support SeNi￿S including:
Counselling and coMp￿rnentsry Iherapy services
An Outreach Support Serv
Respite
Gardening and Allotment Pr￿JramrrE
Social support events
Craft and skills development programffEs
Mentsl health and personal development programmes
Physical wellbeing prcgrammes
Volunteer Scheme
IntergeneratK)nal programmes
Online virtual support hub
Youth Service
The servi￿ is fvnded through National Lottery and Children li Need, SUPFK)rts dis&Jvantsged, hard lo reath and at
risk young Feople age 10 to 18 years obj living in the AM￿gh Famity Supp)rt Hub area. The servic£ SUPFQrts young
people in the cornmunity, horne and sctrKol aThJ offefs Y￿r@ pwle a tailored ￿115￿ pathway of support both one to
one and in group settings. The aim of the seThice is to..
1. Improve mental and physical health, and social ￿lcoMeS for young people
2. Support young peq)le to develop communrcali(m and life skills, and buibj resilience
3. Support young pers￿ to develop posrtNe ccping strategies, confidence and self-worth
The REACT Ytyjth Project ddivers a raroe of support services indLMJing.'
One to one community and trh)me bas&J mentoting service
Mental health and pers[￿al development programmes
Volunteer Scheme
Intergenerat￿nal prcorarnmes
Youth Summer &heme
Citizenship prcgramrrEs
Service user engagement is core to REAcfs elhos. Communicating with and involving REACT service users at
every stsge of serV￿e development, delivery and evaluation Is fundamental. REACT'S Victims and Survivors
Steering Group. Youth Committee and Youth Mentonng W(y*ing Group prowde plaff(Kms for seNice users to have
their v¢ices heard and Influen￿ Ihe direction and devekprn￿t of the organisatK)n.

R E A C T (Reconciliation, Education and Community Training)
Flans forthe lulu
REACT plar6 to maintsin the high standard of S￿V￿e5 and contriue *ith the variDUS 1X￿r5eS and
Progrdmmes on exh project arml wlll Cfjntr￿ to sea ts r￿£s￿ to do so.
Flnanclal revlew and Investmert Pollcy
During the year ended 31 Mach 2023, the ch￿ty r￿1ved fiJThJing of £3C6,740, and d(fflatw)ns, fundraising and
other income of £3,542, *fitch y￿￿ed a surplLS of £620.
No investments ¥e Carri￿ on by the charity.
Rlsk Management
The Trustees have examined Ihe major strategic, bu5wws and cl￿at1¢Xl8J rias th8 chanly fa(xs and confnn
that systems been estsblshed k) enable regular re￿rtS to be projuced so that the I￿￿Sary 5tep5 can be
taken to red￿e Ihese r￿k&
By order of the Trustees
¢ LlcoTh
Trustse

R E A C T (Reconciliation, Education and Community Training)
ststement of Trustees, Responsibilities
Trustees affj ￿5P)nst￿e prepanrKJ ￿ T￿￿tee5. Annual ReF￿ aTrJ Finaroa Statements in
with aFpl￿b￿ law arn1 unrt￿ Acctxmbng St*KJards.
The law applicab￿ lo chanbes in NortlEm IrelarKI requires ￿ trustees10 prepa￿ finarcia staleThEnts for each
finarKial year. Undef that law Irusiees have p￿pared the finarrial Stalen￿nts In XCordan￿ with GerETally
Accepl&J Acc(yJntirYJ in Uniled knrgdom laco)unlirKJ sta)dJds tsSU￿ by the Financial Rerthng
COU￿11 In the UK, indudiro Chantss SORP IFRS 1021 AcccwnbrwJ aTrJ ReFx)rtsThJ by Ch￿tE5.. Staterrents ol
Recomn*nded pr￿￿ appl￿ble lo chantEs p￿pan￿ l￿'r xcounts in ￿ldartt wtth the Financial Rerrf)rbng
SlaThJard appI￿ab￿ in United Kingth)m aThJ Republic of Ireland IFRS 1021 and promukjated by the Institute ol
Chartered Accountants in the United Kingth) a)d Unit&J Kirodom Lawl Under that law the ttusiees must ml
approve the fina￿ra1 statements unless they are satrsfied that tsy give a and fair vw of the state of the affai
of the chanty and of stsiement of finaKia acts¥rt￿ of ts chanty fc¥ that ￿rK￿J.
In prepanng ttrese finaniial staleff*nts. the truslees a￿ ￿uffed lo..
select suit* ￿untyng and t1￿ apply ¢￿SL$len0y,
obser¥e the mettKMls pn￿lpleS in chant￿S SORP.
make I￿nts *KI estrnates thal a reas￿b￿
sL3te the applI&31K￿ of ￿c￿n￿r￿a star￿￿d$ ha* t*en followl. suw lo any maienal
departu￿ d15ck6ed aThJ explar*d Fina￿￿1 SLitements,
prepare the Financia Statements on ￿ g¢JrvJ cortem bags unless rtls inapproprHte10 presume Ihat tr
chanty will contsnue in bLtsiness.
The Irustees are resFonsible for k*rMng proFer xcounting records wh￿h disclose ¥vth reasonable at any
me financial kS)sIt￿n of tre chanty and to enable them to ensure tha the financk21 statements comply the
Chanties Act (Northem IreIar￿l20o8 aThJ the Chanty {A¢L￿nIS ar￿ ReFortsl Regulatons (Northem Irelandl 2008
They are also resFonsible for safeguarding the assets of tr￿ chanty and her£e for taking reasonabÈ steps for the
preventK)n detection ol fraud aThJ other Irregularities
The Iruslees are resFonsible lor the ManIen￿￿e ar¥J integrity ol the corp)raie aThl fInanC￿j inf0fmat￿n i￿luded on
chanties ￿ebsite LegislatK)n in the Unrted Kirydom go¥Eming tts preParat￿n aKI disSeminat￿n of finanrjal
stslements may differ Irom Ègislat￿ In otrÉr iunsdthns.
ststement as to disclosure to our Independent Examlner
In so far as tre Injslees are aware al the bmirYJ of approwng our Irusiees. annual rerort
there Is ￿ re￿Vant Inf0mal￿￿ of wh￿h the chantable company s InderEndenl Examinef Is unaware aTh
trustees have tsken all steps that they ought lo have taken to make themselves aware of any relevant
lnfom1a￿)n to establish that company s Irtyrthnl Exami(￿r is aware of thal inf0m￿￿on.
Reporting Accountants
A resolutDn io r&appJinl N[￿ Cr￿n & Company, will te prcwsed al ￿ annual general meeii
By Order of the t(sard
By order of the Trustees
Trustee
Date

R E A C T (Reconciliation, Education and Community Training)
Independent Exarninerfs report for the year ended 31 March 2023
We reF(Kt on the ￿OUnts of REACT for the year WKled 31 March 2023, whth a￿ set out on pa3es 9 to 16.
Respective responsibilities of charity trustee5 and examiner
As the chanty's tnjslees you are responsibSe for tt)e Preparat￿ of the accounts in wth Ihe Chanbes Act
(Northem Ireland) 2008.
It is our ￿k¥￿￿bIl￿1O.
examine the thunts urthr sectui 65 of the Chan￿S Act
folbw the prc£edU￿S la￿ down In the gerwa CAreCt￿n$ gilen by Commission uTrJer section 699}Ibl of
ttE ChantEs Act
state whether partKukr mallets have cL¥ne10 my attentKM.
Basis of independent examiner's report
We have examined the charity xcounts as required under sectjon 65 of fr Chanties Act and oui examinalK)n was
camed out In accordar￿£ ger*ra DirKb)r6 given by the Chanty Commisswi for Northem Irela* under
secbon 6519llbl of tFE ChanlES Act.
r examination I￿1(￿j a ￿VEW of Ko)untirvJ reo)rds kept by the chanty aTrJ a companson of the accounts
p￿sent￿l￿ th)se T￿ords.11 also I￿1￿￿￿j cOns￿erat￿n of any unusua rtems or dtsck6Ufes In the ￿0￿nts,
seeking explanations fr(xm you as chanty Iruslees co[￿MIng any s￿h mattets.
r ro￿ is lo slate whelher any matenal rnatte￿ have ccthe lo my attenlK)n giwng me cause lo belRve.'
1. That Lcountsw reths TrAve kept In &cordarte with seYtK)n 63 01 the Chant￿S Act
2 That the acC￿ftts do NJI axofd wth trTrose &c￿n￿'r
3. Thal ￿nts do rnt c￿pIY the xcounts'rvJ requirements of the Chanl)es Act
4. Thai there Is further InforMa￿n r*&Jed for a proFer undeNaTrJing of the ac£ounts lo be rexhed.
Independent examiner's staternent
We have completed our eX￿ina￿On *KJ have rKI corKems n resFÉft of the matters111 to {41 listed ats)ve and, In
connect￿n wrth lolbwng the DirErbons of the Chaty Commisston for Northem I￿land. We have found no matters
that require drdwi
lo
UTa
Noel Conn & Company
Chartered Accountants
7 Seven Houses
Upper English Strett
Armagh
8T617LA
12 June 2024

R E A C T (Reconciliation, Education and Community Training)
ststement of Financial Activities for the year ended 31 March 2023
Unrestricted
Funds
2023
Restricled
Funds
2023
Total
Funds
2023
Total
Funds
2022
Noles
Incoming Resources:
Donations. Fundraising and Room Hire
Interest Received
3,542
3,542
6,437
26
Grants Receivable
306,740
306,740
294,155
Total Incoming Resources
3,542
306,740
310,282
300,618
Resources Expended:
Fundraising and Publicity
Net Income from Resources Available
For Charitsble Applications
3,542
306,740
310,282
300,618
Charitable Expenditure;
Cost ol activities for Charitab￿ objectives
Management and Administration
Total Charitable Expendilure
285,053
23,923
285,053
24,609
275,491
23,857
686
686
308,976
309,662
299,348
Total Resources Expended
686
308,976
309,662
299,348
Net In¢omelExpenditure for the year
Gross Translers between funds
Net Incomellexpenditure) for the year
2,856
789
3,645
(2,236)
1789)
(3,025)
620
1,270
620
1,270
Reconciliation of Funds
Tolal funds brought forward
10,253
10,918
21,171
19,901
Total Funds to Carry Fonyard
13,898
7,893
21,791
21,171

R E A C T (Reconciliation, Education and Communty Training)
10
Balance Sheet as at 31 March 2023
Employment of Capital
Notes unreStrfCt￿ R05tr1ctsd
FuNI8
Funds
2023
2023
Total
Funds
2022
Funds
2023
Flxed Assets
Tangible Assets
1,080
2,060.
1,428
Current A8Sat8
Deblors and Prepayments
Bank and Cash
760
156,394
760
169,312
751
123,923
12,918
Current Llabilities
Sundry Credilors and Accruals
150.341
150,341
104 931
Net Current Agsets
12,918
6,813
19,731
19,743
Total A880ts Less Current Llabllltles
13,898
7,893
21,791
21,171
Funds
Unrestrict&Y Funds
Restricted Funds
13,898
7,893
10,253
10,918
l apFYDve these acc￿nts on behalf ofthe Board of Tntstees and confinn that
have made avallable all T￿ev￿t re￿d$ ￿ inf0m￿lon Nillred for preparation
Karen Marshall
Trustee
Th¢ not¢8 on page811.18 foffli pat dth&se &xx)unts.
Dats

R E A C T (Reconciliation, Education and Community Training)
11
Notes to the accounts for the year ended 31 March 2023
Prlnclpal accouirting policies
The finarrial statements hth teen tYepJ&J in ￿arte 4pkat4e Accounbrwj StaThYards In the Unrt83
KingS)n ￿ the Chan1￿ Act {Nort1￿rn Ire1￿K1) 2008 A swnmary of Imp)rtant ￿Untsng wh￿h
have teen applied consstenlly. is set (Mjt IEknw.
Basis of accounting
The fina￿la1 statements are prepared in ￿)[darKe wth the hEstorKa cost ¢￿VenbOn nK*JifEd by the revaluab'on of
certain fixed assets
Taxation
The chanty is exempt from tax on rts chantabk
Restricled Funds
Restncted furTrds are &£OUnt￿ for in &COfdance with the part￿ular ternB of trust arisiry Irom the express ￿ implied
shes of ts donors in so as these are inter￿d lo be bindiThJ the chanty Vthere s￿h a￿ noi InteThhJ
to be bndirYJ, tsy are taken into acccwnt rwntsed In appropnately degjnated funds.
Unrestricted Free ReseThes
Free Reserves represent aThK)unl are exreThJable at Ihe discrekn of ￿ trU￿ee5 in luthera￿ ol the
objÉrb'ves of the chatity aTrJ *hich have rK)I teen deS￿nated for any otr*r pjrpose. fuTrJs may ￿ h8kl in order
to fina￿e capia or captsl expendthire.
Incoming Resources
Voluntary income or capital is inclLMJed in Slatemenl of FinarKi* AGtsviks wFEn tre chanty is *ally ents'tl￿ lo it,
rts financial value can ts quantsfied wrth reasonable ￿rtaInty and there Is reasonabÈ certainty ol rts uttimale re￿ipl
Enti￿n￿nI lo leg&Es is corsidered estat￿ls￿ the chanty has tEen notsfi&J of a distnbutson ID te maje by
the executor5. Ino)n* r￿erved in alvartt of due Ferfonnance urNler a contract is ￿nted lor as deferyed Income
until eamed. Grants lor are recojrmsed as inC(￿e ¥%then ￿Lated C￿ndItionS for enblenknl have
been rret All other IrKoffle is ￿￿Unted for C￿ an ￿rUal bass.
Resources Expended
All reswrces ex[e￿Ied are ￿￿Unted for on an &crual ba&s. Chantable &tivrtTres I￿1th￿e costs of seNtis and
grants, SUPF¥)rt costs armj depreciatMM on related assets Costs of generabrg fuThJs similarly Ir￿lude lundraising
activitjes Non -staff costs not attnbuted to ore cale90ry of &tivity are alkxaled or apwrtioned pr(Fral lo the staffing
of the relevant servrE. Firwce. HR and &Jministratsve staff costs are directly allnbu1ab￿ lo iTrJivKJual &livitses by
objective Govemance costs ￿ those assccéted wTth consbtutsonal arMI statutory requI￿nEnts.
Government grants
Grants that ￿late to specfft capital expendrture are treated as deferred Irwre. vthich is then c￿￿[ted lo the
siaiemenl ol Financial Act¥rtbes over the ￿la,,e￿ asset's uselul1ife. Reven￿ grants are Cfedited to the Statement ol
Finawal AcbTrthes In Ihe sane year as the ￿lat￿ exFendrture Is Incur

R E A C T (Reconciliation, Education and Community Training)
12
Tanglble flxed assets
The cost of ￿9￿le f￿P)j assets L8 thdr purthase IX￿, b3eir*r aiy Inddental expenses of
Depreciation is cabjlated so as to wrile off the cost, or vthation of tarKJible r￿ed assets, over the ext*cted usefiJl
economic lives of the a%*ts C(ffi￿rn￿j. The pmcipal ￿Ual rates used for Ihis purp3se are:
Fixtures and Fitting5
25 Red￿j￿g B￿a￿e
2 Grdnts Recelvable
UnreBtricted Restricted
2023
2023
Total
2023
Total
2022
The Nats'onal Lotsry
The Nats'onal Lolkry- Better Together
Viclims aTrJ SUrviv￿s SeNtce
Troubles Pennanenet Dis8bknient Paymerrt Scheme
Co-operaion Ireland
Enkalon Foundatio
Edui2tK)n Authoiity Annual Grart
EducatK)n AUth{￿ty Gralt
Halifax Foundation
BBC Chldren li Need
Belfast Cathedral Santa &l C
Amiagh, 8thidge and Crydlgavrjn C￿1
E Mitchell Grant
Ark Housing
97,037
82,242
97.037
82,242
98.853
94,785
41,455
95,042
23,548
387
442
7,160
7,160
500
7,160
19,948
19,948
4,000
25,671
1,000
500
306,740
1,000
500
306,740
1,165
294.155
3 Fundralslng and Publlclty
Unrestricted Restricted
2023
2023
Total
2023
Total
2022
Website MaintenaKe

R E A C T (Reconciliation, Education and Community Training)
13
4 Costs of Activities in For Charltsble Purposes
Unrestricted Restricled
2023
2023
Total
2023
Total
2022
Wajes and Salanes
Slatt Pensions
ProiecVProgramlTutor and Course Matenals
Travel ExFenses
Slaff Training
144,292
2,429
134,117
4,215
144,292
2,429
134,117
4,215
130,522
1,482
122,103
21,059
325
275,491
285,053
285,053
Management and Admlnlstratlon
Unrestricted Restricted
2023
2023
Total
2023
Total
2022
Renl
16,830
1,155
1,171
496
349
1,227
16,830
1,155
1,171
6.954
1,803
2.278
5207
917
2,724
Insurance
Heat and Light
ststionarylPnnts'rvJlAdvertJ'sir
Computer Expenses
Telephone
Posi4e
Accountancy
Water Rates
Bank Charges
General Expenses
Depreciation - Fixtures ard Equipmeml
349
1,227
2,450
2,450
2684
4Crf)
131
283
476
23,857
226
19
226
19
686
24,609
686
686
23,923

R E A C T (Reconciliation, Education and CommunityTraining)
14
6 Tanglble Assets
Flxtiires and
Equipw*nt
Total
Cost
At1 April 2022
Addiliun8
DisrA)sals
Al 31 March 2023
33,539
1,318
33,539
1,318
.34,857
34,857
Depreclatlon
At 1 April 2022
Charge
Disposals
At 31 March 2023
32,111
686
32,111
686
32,797
32,797
Net Book Value
At 31 March 2023
2,060
2,060
At 31 March 2022
1,428
1,428
7 Debtors and Prépaym•nt$
2023
2022
Prepayment
760
760
751
751
8 sundry Credltors and Accruals
2023
2022
Afxounkncy
Sundry Creditors
Deferred Incoffle- Children in Need
Deferred Income- The National Lottery- Better Together
Deferred Income- The National LGtt8ry
Deferred Income- Victims SUNN0￿ Service
lo[￿>
2,036
3,563
56,432
63,591
20,719
150,341
2.750
3,004
38,000
60,793
384
104.931

R E A C T (Reconciliation, Education and Community Training)
15
Movement in Fund5
Althe
Movement Transfers
At the
0110412022 In Funds
In Funds 3110312023
Unrestricted Funds
Ge￿ra1 Fund
10,253
2,856
13,898
Restricted Funds
Restr￿ted
10,918
12,2361
1789)
7,893
Total Funds
21,171
620
21,791
Net Movement in Funds, included in the above are follows:
Incoming Resources Movement
Resources Expended
in Funds
Unre$trlcted Funds
General Fund
3,542
16861
2,856
Restricted Funds
ReslrKted
306,740
1308,976)
(2,236)
Total Funds
310.282
{309.662)
620
10 Employee Infomiation
2023
Number
2022
Number
Employee Numters
11
11
2023
2022
Staff costs (for atrove persons)
WJJes and salar￿5
SC￿￿ Secunty
135,170
9,122
144,292
123,352
7,170
130,522

R E A C T (Reconciliation, Education and Community Training)
16
Ind8pendent Examiner Payments
2023
2022
AcC￿nIanCY
Otsr Fina￿lat se￿Ices
1450
2,684
2,6B4
11 Trustees, Remuneration and Beneffts
No trustee receN&d any refflunerdtion during the year 31 March 2023 (2022 -NDI .
No TNstee received ￿Y ￿mbUr5ernent for aFproved expenses incurred in conneclts)n with the chanty.