-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•*e*iE 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
Y*f 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