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2022-12-31-accounts

-charity Commission Chari Narne ThÈWayChyrch Chari 107620 NL). Recei tsand 0110112022 ments accounts For the priod from To 3111Z12022 Section A Receipts and payments Unrestricted lunds Rcstrict¢ fvnds Endowment fvnds Total funds FY 2021 iotsr•eiE ID Ih•n&ve5tÉ tothÈnts•YeMe tot￿ wr•J¢£ A1 Receb General Offe Gift 0￿e￿n GIR Redaimed Other Income J8,016 9.1CIJ .016 9,1 30.671 5.75 Al Sub toial (Gross income fo ihe Annual Relvml 56ts22 56.621 36.936 A2 Asset al￿ Inv8sthi•nt sales fst8 tobl8s l and 2 fft s8ction 7 A2 Sub total 56.622 56.622 35,936 A3Pa ments Pastoral Wag85 & Expenses Rent Hospilalty Charilable Donations & Gift5 Mission & Conlerence Eynses Training & t)evelopment Audio V15ual ExpeTh5es Youth Expenses-WayfiThJer& Waykids Insurance ar¥J LKencè F805 31.120 &B47 ?7￿7$ 4.$17 s￿47 2.450 219 798 I504 204 4•2 Evangelisn & Di5up188hip s￿￿￿ry Experffjes 135 135 261 YJ4 A3 Sub total 47.910 47.910 39.127 A4 Assèt and investrnent purchases (see lables f and 2 seclion 7 olthe uidanc&l A4 Sub lotal 47.910 47.910 39.127 Plet of recelptsqpaymentsj A5 Trnnsfers be￿en lunds A6 Cash funds last year ond Cash funds this perlod end 0.712 8.712 1191 30,604 39.316 30.804 39,316 32,795 30.604

Thway ChuTeh Section B Statement of asset5 and liabllities at the end of the Yf efHI tlale.. 31112rn122 eriod Unrnstsfj¢ied lunds Reatsicied funds Categorl•¥ Dttsita lurtd$ Totsi lunds Last year to newexl t Cz$h tu•d8 3¥.315 30.601 Totsl cash funds J9J16 39,316 3D.6Q4 Liabl11￿ To141 Syrled by 4MwJoi Irusiees ￿ bew ol Dale of 2eiow2023 2eiow•)23 l￿￿￿¢￿• 20Z2.* 1 S1•1•￿￿tt￿ bthrrt DK￿be1 WJ7