Bright Community Association Limited Company limited by guarantee Statement of comprehensive income Year ended 31 March 2023 2023 2022 Note Restricted Unrestricted Funds Funds Total Funds Total Funds Income Turnover Cost of sales Other operating income 2,550 2,550 5,840 5,700 5,700 12,040 5,700 2,550 8,250 17,880 Expenditure Direct charitable activity Cost of fundraising Depreciation Administrative expenses (9 899) (9,899) (6,276) (9,899) (16,175) (6,276) (9,899) (6,279) (16,178) (6,276) (Deficit)ISurplus before taxation Tax on (deficit)Isurplus (576) (7,349) (7,925) 1,702 (Deficit)ISurplus for the financial year and total comprehensive income (576) (7,349) (7,925) 1,702 Retained earnings at the start of the year 5,761 188,611 194,372 192,670 Retained earnings at the end of the year 5,185 181,262 186,447 194,372 Afi the activities of the company are from continuing operations. The notes on pages 8 to 11 form part of these financial statements. Page 4
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