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.
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