Rcgistcrcd Office.. Unit 9 Howard Buildings. 155 Nonhumbcrland Strcct Belf&st. BT13 2J
ort of the Directors and
Unadited F"inancial Statements for Year Ended 3 1st March 2024
SUICIDEAWARENESS
CHARITY NUMBER: XR 99481

FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
CONTENTS
Page
Reference and Administrative Infonnation
Annual I"rustees Report
(including the Statement of Directors Responsibilities in respect of
Financial Ststements)
Statement of Accounting Policies
Statement of Financial activites (incorporating the income and expenditure 7 - 9 accounts)
Balance Sheet
10
Notes to Financial statements
SUPPLEMENI'ARY INFORMATION
NOT COVERED B Y THE REPOR"r ob ACCOUNTANTS

SUICIDE AWARENESS
Detailed Statement of Financial Activites
14
MANAGEMENT COMMirrEE INFORMATION
FOR THE YEAR ENDED 31 MARCH 2024
MANAGEMENT COMMirrEE INFORMATION
OMMI'I-I'EE..
tirainne Woods - Chair
'lommy Flolland - Vice Lhair
Dcborah Kelly - Sccret&ry
E8iher Mcighan -'1 Tcasury
Margarei Walsh - Mcmbcr
David Bell - M¢rnber
'1 im Attwood - Mcmbcr
Dcborah Kelly . Mcmber
REGIS1'ERED OFFICE..
209 Falls Road
Ilcifasl
o Anlrimn
BT12 6FB
REGIS'I"ERbD CHARITY NUMBER..
XR 99481
ACCOUN'fANTS:
Tomans Accountancy Services Ltd
Unil I11,'9, .1 win Spir¢5 LomplLX
l.loward kJuildin&ys
155 Northumbcrland Sir¢¢l
BLifllst
pagc I

SUICIDE AWARENESS
Antrim
BT13 2JF
REPOR'I. OF I"RuS'I"l+.1￿.5 AND PINANCIAL STAI'b.Ml.¥N'I"S bo
I'Hlry. YF.:AR 3 IS MARCH 2024
stees, Annual Re
ort
'I'hc I'rusices. who are thi dir¢eiors for the purposc5 of wmp2ny law, have plea5UT¢ in prcsenlin
Iheir annual rcporl 108¢th¢r with the financiol siaiements Of thc chaTity for y¢arended 31 st MaT¢h 2024
which a550 prcparcd to meet the rcquiTcmcnts for a directors, report and accounis for Companics
A¢¢ 2006 purpos¢5.'I'h¢'l'ru%tcc4 confimi thai ihe finan1￿7 stkicmeni$ comply with th¢ rcquircments of
Chariti¢s A¢¢ (Northcm Irelundj 2008 and Ac¢ouniing and
pr¢paring their accounts in a¢¢ordAnce with ihc l.'inanIc￿ Rcporting Swidard applicable in th¢ UK and
Republic of Ireland IPRS 1021 (elTeclive 1st January 2015)
RefLrcncc & Administrative Dclails
R¢f¢rcncc Dnd adrninisiraiiye dcluil¥ llr¢ ghown in the schedulc Of mcrnbcrs and profe$3ionJJ advisers
on l)ug¢ I nr rinllnciul %iui¢m¢nis.
'I'hc ¢harity is limiicd by guaTant¢¢ not having o share capiial
Plans for Future Periods
'I'hc chority will conlinuc to pmvid¢ dl services curr¢nily in op¢rotion inio the fotsccabl¢ futur¢
Director8 and'l ruslLLs
'I'hc dircLwrs ofthc churiiabl¢ Comnpuny il's trustcc8 for purpos¢ ofchority IBW.
Accounianls
'I'he accounLunL¥, '1 oman Ac¢oun(ancy Serviccs Ltd, hav¢ indi¢a(ed their willin8ncss lo
on(inuL in ollicc in accorandancL wilh thL PTovisions ol. Scction 485 of Companics Acl
2006.
StrucluTC, (iovcrnancc & Managcmcnl
(iovcrning l)o¢umcni
'I'hc charily li a compuny limi¢¢d by guarani¢¢ and does not havc a sharc c4pitsl. 1115 a company
in¢o¥poTa¢ed under Companics A¢1 2006. It is a charity T¢gi51cT¢d with Charities Commission (Nll.
'lTh¢ Charily is managcd and undcr control of the lloard of '[ ruslcc5.
Objcc(ivcs and Activit¢s
Objcc¢ivcs
Main Activilcs..
pagc 2

SUICIDE AWARENESS
Governing Documcnt
'I'hc above report has been prepared in accordancc with the 5pccial provisions relating to Small
companics within Part 15 of Lompanics Aci 2006.
REPORT OF TRUSTEES AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 3 1ST MARCH 2024
Trustees, Annual Re
ort
Reserves Policy
UnrLslri¢l¢d fundi arL nccdcd io provid¢ funds which can b¢ applied (o spccific projects and
lo Lnablc ihcsL projecLs to be undLnakcn ai short noiicc and lo cover the running cosLq of lh¢
Lharity for a limiiLd pcriod, should thLrc bc a si&ynificani shortfall in projcclcd income.
Accouniants
A rLyolulion io re-appoini the accountanLs, .1 Oman Accouniancy Scrviccs Lid, will be
proposed ai Ihc Annual (icncral Mcctin8
8mall company LxLmplion
'I'his fL'pori has bLLn prLpur¢d in 8¢¢ordance with thL special provisions for small companies
undcr l)art 15 ()I' Lampanics Act 2006.
Repsonsibiliie5 of the Trustees
'I'hc'l ruslc¢s, who are also thc dirLclors for thc puTrosc5 of company law, llre
rLsponsiblL for pr¥parin￿l LhL'I ruslLes RLpaort and the Pinan¢ial statemcnts in
accorddncL wilh thL applicablc law and r¢&Fulation5
Company l.aw rL4uifLS thc dirccloTS to prcparc financial %iulcmcnls for cach financial year.
'I'hL IruslcLS prcsinl Ih¢ir rcport and Ihc linunciul sialLmLnl.q or Ihc chllrity lor ihc year cndcd
31 %1 M&rch 21124. '1'hL. .1 ru51¢cs confirni ihai IhLy cnmply with th¢ Tcquiremcnls ol. th
ChariLiLI Aci {NorthLrn IrLlandl 2008 and the Accounlingy and Rcportinb by LhariLics'.
SiJL¢mcnt of rLcommLndcd l)rucli¢L which applic% lo chariiiL.% preparing thcir ac¢ounLs in
accordun¢¢ with ihL I,'inanLial RLportin& Siandard applicablc in UK and Rcpublic of
IrLland (I.'KS 1021 illcclivL l lit J1￿U￿ry 2015.
UndLr company law thc'l ru51c¢s must noi approvc thc financial slatcmcnis unlcss thcy arc
5uli%fiLd thai th¢y giv¢ d LfuL and fair viLw of thc stalc ofallairs of thL company and ofthc
surplus or dLficiL or thL company for that pcriod. In pr￿P￿ing? thosc financial slalcmcnis, lh¢
dirc¢tor5 arc rLquircd to..
select suithblc accounting policics and thcn apply them consislcnily;
- observ¢ thc mcthods and principlcs in thc Charities SORP IPRS 102)
- make jvdgcmcnts and csiimates thai arc rcasonabl¢ and prud¢nt,'
- prepare thc financial statements on th¢ going concern basis unlcss il is
inapproprialc lo prLsume Ihal th¢ company will coniinuc in business.
'I'he'l'ruslees arc responsible for keeping adequatc accounting rccords that arc su￿1¢1¢nt io show
and explain thc comp(wys transaction5 and disclosc with reasonablc accuracy al Mny time the
rinancial position orth¢ Company and cnable them to ensure that the financial statements comply
with the Companics Act 2006. '1-hey are also r¢spon.siblc for safeguarding the asscts of thc
company and hcnce for taking rc&sonablc steps for the prevention and d¢t¢ction of fraud and
oiher irrL&>ularitics.
By ordcr Of thc'rrU￿ces'.
page 3

SUICIDE AWARENESS
rrustoo
Dat*J:
page 4

SUICIDE AWARENESS
FINANCIAL STAI-EMENTS
YEAR
31s"r MARCH 2024
OR
THE
ENDED
SIAI'EMEN-I. ACCOUN"fiNG POLICIES
Accounting convention and Basis of Accountin
The financial statements have been prepared under the historical cost convention.
These financial statements have been prepared in accordance with Accounting and
Reporting by Charities: Statement of Recommended Practice applicable to charities preparing
their accounts the Financial R¢portinsJ Standard which applies to UK and Republic of Ireland
(FRS 102) (effective I st January 2015) - (Charities SORP (FRS 102)). and the Companies Act
2006.
Reconciliation with previous Generally Accepted Accounting Practice
Inpreparin&7 the accounts, the Trustees have considered whether in applying the accounting
policies required by FRS 102 and the Charities SORP FRS 102, the restatement of comparative
items was required. No restatements were required
Income RecoLinition
Income is recoginised when the charity has the entitlement to the funds, any perforniance
conditions attached to the item(s) of income have been met. it is probable the income will be
received and the amount measured reliably.
Interest Receivable
Interest on th¢ funds held when receivable and the amount can be measured reliably; this is
normally upon notification of the interest paid or payable by the bank.
Resources Expended
All expenditure is accounted for on an Accruals basis and is classifed under headings that
aggyregate al I costs related to that category.
Fundraising costs include the costs of advertising? producing publications, printing and mailing
fundraising material and staff costs in these areas.
Costs of charitable activites include direct expenditure incurred through operational activities.
Governance costs represent the costs associated to the governance arrangements of the charity
which relate to the general running of the charity as opposed to those costs associated with
fundraising or charitable activity
pagc 5

SUICIDEAWARbNESS
INANCIAL S"I"AI"EMEN'I"S
YEAR
31ST MARCH 2024
TrOR
liixed Assets
All tangible fixed assets are recorded at cost
FIN¢liN'CIAL STATF.MI F.YTS
FC)R Til r. Yr4ilR r.Ni)r.i) 31 ST I)IIlRCII 2024
STATEMENT OF ACCOUNTING POLICIES
Continued
Depreciation
Depreciation is calculated to write off the cost of fixed assets over their estimaied useful lives
ai the followingi rates:
Comput¢r equipment
250/0 reducing balance
Repairs and renewals
All repairs and renewals are written off as incurred
Debtors and Prepayments
.1 rade dcbtors and other debtors are re¢ognised at the settlement amount due after any dis¢ount
offered.
Prepayments are valued at the amount prepaid net of any discounts du¢.
Creditors and Provisions
Creditors and provisions are recognised where the charity has a present obligation resulting from
a past event that will probale result in the transfer of funds io a third party and the amount due to
settle the obli&Jation can be measure relaibly
Financial instruments
The charity only has financial instruments and financial liablities of a kind that qualify as a
basic financial instrument. B￿lC financial instruments are initially recognised at transa¢tion
value and subsquenlely measure at their settlemnt value with the exception of bank loans
which ar¢ subsquenily measured at amortised Cost usingi the effective interest method.
Tr()11 I"Hl,: Yr.AK r.Nl)r.i) 31%T IMARCH 2024
S'IAI"EMEN'I' OTr ACCOUNI"ING POLICIES
Continued
Fund accounting
Unrestricted funds comprise donations and other income that are available for the use at the
Trustees, discretion in furtherance of the objectives of the Charity.
Designated funds may be used as unrestricted funds set aside by the trustees for specific
future purposes
pagc 6

SUICIDEAWARENESS
l*INANCIAL S"IAI'EMEN'I'S
YEAR
31S"I' MARCH 2024
TrOR
Restricted funds represent income received which is subject to specific purposes, the use of
which is restricted to that area or purpose
The income recived from funders depends on the charity meeting detailed criteria on the expenses
plans.
Grants given under such conditions are also subject to them being obtained for in connection
with the furtheran¢¢ of the charity's aims and objectives,
Such income can be repayable to the funder if such expenses plans and criteria are not met. Such
income can only be deferred inf the donor specifies that the syrantldonation must only be used in
future accounting periods. of the donor has imposed condition5 which must be met before the
charity has unconditional entitlement.
Income from charitable activites includes income received under contract or where entitlement
to grant fundinbi is sublect to specific perforniance conditions is recognised as earned as the
related gvoods/s¢rvices are provided,
Grant income included in this cate&TOry provides funding to support fundin8 activies and is
recognised where there is entitlement, certainty of receipt and the amount can be measure
reliably.
Income is deferred when., fees/ perforniance related grants are received in advance of the
perforniancelevent to which they relat¢.
Reserves Policy
Unrestricted funds are needed to provide funds which can be applied to specific projects and to
enable these projccts to be undertaken al short notice and to cover the running costs of the
Charity for a limited period, should there be a significant shortfall in projected income.
The 'lrustees consider it prudent that unr¢stricted reserves should be sufficent to avoid the
necessity of realising fixed assets held for the Charity's use.
page 7

CHARITY NUMBER: XR 99481 INCOME
AND EXPENDITURE ACCOUNI.
FOR THE YEAR ENDED 31 MARCH 2024
INCOME
255,372
Administrative Expense5
237,625
OPERATING SURPLUS and SURPLUS
ORDINARY ACI'IVITIES BEFORE
'I'AXA'I'ION
17,747
Tax on deficit on ordinary activities
SURPLUS FOR'fHE FINANCIAL YEAR
CON'I'INUING OPERA'I"IONS
17,747
None of the Charity's Activities were acquired or discontinued during the current year or previous
period.
TO'I"AL RECOGNISED GAINS AND LOSSES
The charity has no reco¥nised gains or losses other than the surplus for the current year.
INCOME AND EXPENDI'I'URE ACCOUNT FOR
THE YEAR ENDED 31 MARCH 2024
2024
2023
Note
INCOME
Resricted Funds - Grants Received
214.192180,370 Unrestricted Funds- Generated funds 41.180
40,437
Bank Interest Received
TOTAL INCOME
255,372 220,807
page 8

2023
2024
EXPENDITURE
64,647
68,515 20,790
20,320
281
656
1,164
1,178
2.343
4,112
4,653
4,313
2,370
3,364
7,765
27,601
135
48,
19,635
20.185 23,015
330
12,575
2,400
552
1,200
16,922
Wages
Wages (Subcontracted) - Crisis management
Rates & water
Insurance
Light & heat
'relephone
Printin&, Postage, Photocopying & Ststionery
Marketing & distribution
Equipment repairs/renewals & health/safety
Project Costs and materials
Counselling
Therapists
Sundry
Finance Assistant
Supervision
R¢c¢ptionlAdministration
'I'raininb7 & Development
Professional fees & subscriptions
Accountancy
Hospitality
Staff 'fravel
Bank charges
Donations
Depreciation
,529
10,296
980
16,548
2,160
1,962
1,292
1 ,296
649
446
25
1,980
1,452
402
1,090
510
360
33
TO'IAL EXPENDITURE
237,625 195,464
SURPLUS/(DEFICIT) FOR THE YEAR
BALANCE SHEET AS AT 31 MARCH 2024
17,747 25,343
2024
2023
Note
lilXED ASSE'I'S
.1 an&iible assets
75
100
CURRENT ASSETS
Sundry debtors and prepayments
Cash at bank
1,250
32,018
253,422 200,025
pa8e 9

232, 143
SUICIDEAWARENESS
CURRENT LIABILITIES
Creditors (Amounts falling due within one year)
11,456
6,599
11,456
6,599
NEI'ASSE'I'S
243,291 225,544
REPRESEN'fED B Y..
Reserves balance brougiht forward as at l April 2023
Surplusl(deficit) for the year
225,544 200,201
17,747
25,343
Reserves balance carried forward as at 31 March 2024
243,291 225,544
C'li cha1￿Crson
mmittee Member
Dated:
BALANCb SHEE'I.
AS AI" 31S'I' MARCH 2024
101(014
2024
2023
NO'I'ES
IXED ASSE'I'S
'lan&iible assets
75
100
pa£¢ 10

SUICIDEAWARENESS
CURRENT ASSETS
Debtors
Cabh at bank
1,250
32,018
253,422 200,025
254,672 232,043
CURRENT LIABILII"IES
Creditors (Amounts falling due within one year)
11,456
6,599
11,456
6,599
NET CURRENT ASSETS/(LIABILITIES)
243,216 225,444
TOTAL ASSETS LESS CURRENT LIABILITIES
243,291 225,544
Creditors: amounts falling due after more than one year
'I'O'I'AL NE'I. ASSE'I'SI(LIABILI'I"IES)
243,291 225,544
REESERVES
Reserves balance brougyht forward as at l April 2023
225,544 200,201
Restricted Surplus/(deficit) for the year
17,747
25,343
Reserves balance carried forward as at 31 March 2024
243,291 225,544
APPROVED BY THE COMMITTEE:
10
CHAIRPERSON
COMMITTEE
MEMBER
DA'I'EDATE
pagell

5UILID
NOTES TO
THE
AWARENESS
'r￿￿ frlNANCIAL SIATbMbNTS
I. INCOME k￿CF.]vED
19.014
91
22.419
268
91
8.220
i)ONAI IONS
1 .360
ti¢Jerul DO￿ul10￿$
LAFtiY DonHlion lu¥1 GI￿n￿ Donaiion
h of51 Juhn Hou5¢
l J*)nui¢. l)irla Anne MLK¢¢v¢i
Michelle t)oherty
27.0S4
27.054
720
720
100
8¢JO
800
A l)¢¢ul&i 1¢
uoibtsll Lon Lid. Altnmhtsm
McK¢ev¢i
kll4tk Ilox'l'rusi Much JJ)v¢d
Tuwfi?fds Spur
Le¢llH Mulhullund t)onHiion
Kii¥i¢ii Lliiubrih Dun4iiun
(iK wu%l¢n i*)nuiiun
iyiy Joint l)¢Y¢lupniul Donttiion
1101 Il¢bTnl Ii)¥¢th¢r l)unu¢iun
WilliwTI Loulcs Lid I￿￿411￿￿ L Llurk¢ i)oniiion
2YO
280
1,360
1,360
200
200
1 020
1.020
.3,997
3,997
INLOMb. PROM LFIARI'IAIII,L AL-I"IVI'I'lkS
2.400
VIIA I.UNUINti
BI.ALKII.' RIVER LOMM
GKUUNI)WOKK
3.080
i 000
I.I.AS'l' Ll'fy LUUNCIL I,'UNDIN(i
ALM LO'I'I'LRY TrUNt)IN(¥
ALL4LR'I' S'I RI.:
I. LUMMUNI'I"Y
ljl(i L()'I"I"b.KY bUNS)
2.'1'ANtiIHLb l.'IXLL) ASSL'I'S
I￿nd &
R¢xtrici¢d Unrcxtri¢i¢d
unds
unds
2024
202)
COST
A¥ ai lyiApril 2023
108,517
200
108,517 104.807
200
AdditionJ
i¥poxttly
2.500
2,500
23.606
25,006
5.000
As lll 31¥1 Mbrth 2024
3.146
3.146
4,500
46,26S
46,265
54.255
DEPKELIAI'ION
A5 Mi Isi Apnl 2023
10.000
CThHr¥c for y¢ar
liminBied on dI.￿saI
214.192
41.180
255.372 220.807
As tt131yi MBtch 2024
Play Ar
Eqllipm¢ni
Nel book vH]uc 31yi Mar¢h 2024
Compul
Equipment
'rotsl
Nct boDk value 31st MArch 2023
Xe5thGIEd
Unrestriclcd
FuTrd5
Trunds
2024
2023
page
12

SUICIDE
NOT￿ TO 1'HE
1500
1.500
1.400
1.400
25
25
1.425
1500
75
AWARENESS
THE FINANCIAL STATEMENTS
YEAR ENDED 3 1ST MARCH 2024
R¢stricted Unrestricted
Expenses
Expenses
FOR
3. EXPENDITURE
2024
2023
EXPENDITURE ON CHARITABLE ACTIVITIES
66,996
20,320
350
66,996
20,320
2,370
3.364
7,765
27,602
2.160
48,364
20,185
330
2,400
16,922
1 ,200
1,293
1,296
446
25
64,647
20,790
,529
10.296
8,135
19,636
1,980
23,015
12,575
552
2,494
16,548
980
402
1,090
360
33
Lrisis Mantsgcment
Poslagc, l)hotocopyin8 & Sialioncry
Marketinbi & printinb
Equipmenl repairs & maintenance & Health/Safety
17rogrammL co%ls
ProfLssional fees & subscriptions
Coun5ellin8
lTherapistS
Sundry
Admin Asbislanl . I,inancc
Rcccplion & Adminislration
SupLrvision
I lospilalily
Staff .1 ravel
Donations
Depr¢ciation
2.020
3,364
7.765
15,542
2,160
12,060
48,364
20,185
330
2,400
16,922
720
87
,296
1 .206
446
25
page 13

SUICIDE
NOTES TO THE
187,300
35.738
223,038
185,062
Restricted
Expenses
4. SUPPORT COSTS & GOVERNANCE COSTS
Unrestricted
Expenses
Telephone
Li&Jhi & heal
Rates & water
Insurance
Accountsncy
Bank chiirges
2024
2023
4,314
4,113
656
1,178
,806
4,314
4.113
656
1,178
1,806
649
4.653
2,343
281
1,164
,452
510
649
12,067
649
12,716
10.403
TOTAL INCOME ON CHARITABLE ACTIVITES
AwAR￿N￿ss
'I'IIF. ]+lNANCIAL S'I-ATI.-MI.:N'rs
199.367
36,387
235,754 195,465
5. DkBI'ORS & PREPAYMF.N'fs'. AMOUN'I'S PALLING Duli WI'I'HIN ONL YEAR 2024
2023
Groundwork
2SO B¢if&%t City Council
1.000
PI IA l.'undin
So&ial 8ccuriiy & other t&x
Pr¢paid W8gcs
27,195
2.502
2,321
page 14

SUICIDk
NOTES TO THE
1 .250
32.018
6. BANK AND CASH
2024
2023
Bank Accouni No [- 193 Account
Bank Acwuni No 2 . 003 Accounl
207.432
45,990
253,422
2024
186.538
13.487
200.025
2023
7. ACCRUALS
21
3,890
1 ,432
PAYE
1,806
336
325
1,901
5,070
840
A¢¢n￿l￿ Ac¢ounthnry YE 31.03.22
Ralcs
Fl¢al & Light
1,050
Vriniiny. l>oyluy¢ &.%taiion¢ry
Luunscllin
70
24
88
Inl¢r¢¥i & ¢hw¥¢$
Prcpaid Trunding Rc¢civ¢d
CTrNI IRc¢iLvcd 21ll2 but r¢l8ies 10 22f231
Ili¥ IA)Il¢iy IRccicv¢d 21Q2 bul IclDl¢Y 10 22n31
11,456
8.SALARY COS'I"SANt) kMOLUMENTS
'loibl 51atT¢osts were follows
2024
2023
WaB¢s und 5alarics - key manag¢rntni per50nn¢l
WaB¢% und sal#rie% . Cri518 m8na8cment
l.mployer social %¢¢urily costs. k¢y mona8emcnt p¢rsonncl ￿mploy¢r social s¢¢urily costs-
Lrnploym¢nl Allowunce
66,141
63.103
6.519
15.0001
67.660
6,544
(3,0001
64,647
g. R&SLRVI.:S
2024
2023
Reservcs balonce broughi foNard pl l April 2023 Surpluslldefici¢l for the y¢aT
Reserves balanc¢ carricd forward 31 March 2024
22S.544
17,747
243,291
200.201
25.343
225.544
page 15

SUICIDE
NOI'ES TO
AWARENESS
'rHE FIN'ANCIAL S'fAfEMb.YT*
.NDP.D.IISI" MARCH 2023
'io'rAI.
IRSI'TRUST trlRST'fRU5T
OR THE
'ro'iAL
GENERAL
DebiotsJAccrnalsJ 'l'OTAL
UND
UNRliS'fRIL'fEL) RESTRIL'I'ED
193 Acwunl
003 Account
JNLs &Adjustments PUNDS
INCOMING RCSOURLES
Gfn¢r¥l Donation
19.014
19.014
19.01419.014
Afr'LiY Donbiion
9191
Jus1 Givin¥ l)onlliiun 11,193 11,19311,193 11,193 F￿$h ofsi John 1,360 1.3601,360
ttt Hou¥c
27.054
27.054
720
720
100
loo
LhJriii¢x'lrus11100 800800 100 Lhcr¢¥¢ Huiey 2¥0 2802¥0 280
1.360
27 05427.054
I l%Jnu*. Jl'cts Anne MLTrc¢vtr
720720
Mi¢h¢ll¢ J)oh¢rty
100100
A Pg¢ulw'lr
ooibujl Lon L￿. Aluimhxm
1,360
200
200
R M¢Ke¢vgr
45
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page 16