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|Officers and Professional advisers|2|
|Trustees Annual Report incorporating Director's Report|3-4|
|Statement ofFinancialActivities|5-6|
|Statement ofFinancialPosition|7|
|Notes to the financial statement|8-10|





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|CURRENTFINANCIAL YEAR||||||
|---|---|---|---|---|---|
|||Restricted|Unrestricted|||
|||Funds|Funds|Total|Total|
|Notes||2023|2023|2023|2022|
|INCOMING RESOURCES||||||
|Fundraising and donations|5|59565|15463|75028|106532|
|Interest Earned||||||
|Total Incoming Resources||59565|15463|75028|106532|
|RESOURCES EXPENDED||||||
|Cost of activities:||||||
|Management and administration expenses|||708|708|2049|
|Direct charitable activity||21048|51344|72392|44940|
|Total Charitable Expenditure|6|21048|52052|73100|46989|
|NET MOVEMENT IN FUNDS||E38517|€(36589)|E1928|59543|
|STATEMENT<br>OF RESERVE FUNDS||||||
|Broughtforward at 31 March 2022||3905|97395|101300|41757|
|Net (Expenditure)/lncome for the year||38517|(36589)|1928|59543|
|Total Funds Carried forward at 31 March|2023|E42422|€60806|El03228|E101300|





|PRIOR FINANCIAL YEAR|||||
|---|---|---|---|---|
|||Restricted|Unrestricted||
|||Funds|Funds|Total|
||Notes|2022|2022|2022|
|INCOMING RESOURCES|||||
|Fundraising and donations|5|34810|71722|106532|
|Interest Earned|||||
|Total Incoming Resources||34810|71722|106532|
|RESOURCES EXPENDED|||||
|Cost ofactivities:|||||
|Management and administration expenses|||2049|2049|
|Direct charitable activity||30905|14035|44940|
|Total Charitable Expenditure|6|30905|16084|46989|
|NET MOVEMENT IN FUNDS||E3905|55638|59543|
|STATEMENT OF RESERVE FUNDS|||||
|Broughtforward at 3 1 March 2021|||41757|41757|
|Net (Expenditure)/lncome for the year||3905|55638|59543|
|Total Funds Carried forward at 3 1 March 2022||E3905|07395|E101300|





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|notes|notes||2023||2022|
|---|---|---|---|---|---|
|CURRENT ASSETS||||||
|Bank and cash balances||103228||101300||
|||103228||101300||
|CREDITORS<br>- amountsfalling due within <br>Other creditors|one year|||||
|NET CURRENT (LIABILITIES)/ASSETS|||103228||101300|
|NET ASSETS|||E103228||E101300|
|FUNDS||||||
|Restricted Funds|||42422||3905|
|Unrestricted Funds|||60806||97395|
|TOTAL CHARITY FUNDS|9||E103228||E101300|






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|5 INCOMING RESOURCES||||
|---|---|---|---|
|CURRENT YEAR|Restricted|Unrestricted||
||Funds|Funds|Total|
||2023|2023|2023|
|Incoming resources from Donations and charitable activities|59565|15463|75028|
||59565|€15463|€75028|
|PRIOR YEAR|Restricted|Unrestricted||
||Funds|Funds|Total|
||2022|2022|2022|
|Incoming resources from Donations and charitable activities|34810|71722|106532|
||04810|E71722|E106532|
|6 EXPENDITURE ON CHARITABLE ACTIVITIES||||
|||2023|2022|
|Support Costs for projects||$73100|€46989|



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||2023|2022|
|---|---|---|
|At 31 March 2022|101300|41757|
|Income for theperiod|75028|106532|
|Expenditure for the period|73100|46989|
|Balance at 31 March 2023|€103228|€101300|



