OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2025-06-29-accounts

= y |

Manna 4 Many

140 North Queen Street BT15 1HQ

Statement of financial activities for year ended 29 June 2025

£ £
Income 2025 2024
Income from sale ofdonated goods 9,280 10,491
Incomefrom donations 3,964 1,002
Incomefromsundries ) 138
Total Income 13,243 11,632
Total Expenditure 15,286 16,058
Netmovementinfunds -2,043 -4,426
Reconciliation offunds
Total Funds Brought forward 17,656 16,299
Total Fundscarried forward 15,614 11,873
Total cash inbank 15,890 17,656
Total cash in hand
15,890 17,656

Detailed statement of expenditure activites for the year ended 29 June 2025

£ £
Expenditure: 2025 2024
Rent - 3,671
Insurance 2,206 2,030
Light, Heat,Water 153 300
Vehicle z 3
Vehicle Costs 2,998 2,107
StreetAid 5,562 3,315
Shop expenses - 2,151
Charitable Donations 675 15
Sundry Expenses 3,627 2,330
BankCharges 65 139
TotalExpenditure 15,286 16,058

MANNA 4 MANY

The financial statements were approved by the trustees and authorised for issue on 24" April 2026. And signed on their behalf by:

Thomas McTernaghan

Trustee