Rc
ort of the Directors and
Unadited Financial StatemeDts for Year Ended 31st March 2025
SUICIDE AWARCNFSS
CIIARITY NUMII*;R: XII 9()481

SUICIDE AWAREI NESS
riINANCIAL sTATEmE￿Ts
FOR"fHF. Yli AR ENDF.D 31 MARCII 2025
CONTENTS
Page
Reference and Administrative Information
Annual Trustees Report
(including the Statement of Directors Responsibilities in respect of
Financial Statements)
ststement of Accounting Policies
Statement of Financial activiles (incorporating the income and expenditure
accounts)
Balance Sheet
10
Notes lo FSnan¢lal statements
siJ])I)I,I:MTr'NI'ARY INFORMATION
N()T C()VlI IIED BY THE Ilbl)OR'I' 014 ACCOUNTANTS
Detailed Statement of Financial Activites
14

SUICIDE AWARE
ss
MATr*'AGEMTr.NT COMMITTLI Tr. TNFORMATION
FOR THE YEAR EliDED31 MARC.H 2025
MANACEMF.NT COMMITTF.F. INFO￿TrIATIoN
COMMITTEE..
Tommy Holland- Chair
TIM AINvood- Vice Chair
Déborah Kelly- Secretary
Eslhgr Melghan - Treasury
Margargl Walsh - Member
Conor Doran - Member
Gralnn8 Wood5 - Member
REGISTERED OFFICE..
209 Falls Ro30
Belfast
Co Anlrimn
8T126F8
REGISTERED CHARITY NUMBER:
XR 99481
ACCOUNTANTS..
Tomans Accounlancy SeNlces Ltd
Unil HF9, Twin Spirès Complex
Howard 8ulklings
155 Northumbérland Slreel
8ella$i
Anlrim
B T13 2JF
Page 1

SISICIDE AWARENESS
REPORT OF TRUSTF.E8 JLYD F'INANCIAL STATEMENTS
FOR THE YEAR ENDED 31,ST MARCH 2025
nual Re
ort
The Tntsw. %vho are also thL dirL¢lors for the purF<iSCS of company laiv, havL pleasure in
pfesonling their annual repDrt together with fjnancial 8lalern&nl$ of Iho charity fof year ended
31 st March 2025 whith are f11so Prepared lo m881 Ihè requlrements for a dire¢iors' report arKI
accounts. for c.ompanies Act 2006 purp05es.Tr8 Tnjslees confirrn that Ihe finanical statements
comply with the iequiremenls of cliari1￿8 Act (Ncrthern Irel8ftd} 2008 Bnd Acrnunting and
preparing their ¥¢¢ounls In accordance ￿th Ihg Flnanlc81 Ropvrting Stdndard applicabl• In tho
UK and Republlc ol Iraland IFRS 1021 laffoctlve 1s1 Jawary 20151
R•l•r•nc• & Admlnl$tratlv• D•talls
Reforenco and admlnlslrative details are shown In ltte schedule ol membèrs ants profe$$ional
Advlsor5 on Pasc 1 al financi818latements.
Tho charfly is limiled by guarantee not having a $h8o capital
Plans for Fuluro Perlods
Tho ¢hanry wlll conllnue Ic pruvlde 4116•rvlL¥S currenlty In operatlon Into Ihe for$eeabl? future
Olreciofs and Trusloo8
The dlreclors of thu choiilable comnp8ny are Il'8 Irusl888 lor purpo$0 of chariiy law.
A¢¢ountant5
The Brt¢unloThls. Torngn A¢counlAncy Se￿1￿9 Ltd. hava Indbcaled th61r￿Illngne$fj lo Gonlinutr
In offlco In a¢coran4hnce wlh the provislons ol Secliort 485 01 Companlos Act 2006.
Stru¢tur•, Gov•man¢• & P•lan4g•mgnt
Govorning Oocumoni
I he charily is a company Ilmltod by guaranlee and does not havo a 8haf• capltal. 111$ 8 ¢omp8ny
incorporated undgr Companles Aci 2006. 11 is a charlty reglslered with Chgdllos Comml$skin INII.
The charily18 managed and under control of the Board OfTn￿leas.
Obléctlvm and A¢livit•8
Obl•ctlve8 .
Maln Actlvlto•:
Go￿rnIng Documont
The above report has ￿en prepared ln accordan￿ with the sped81 provisions rclthing to Gmall ￿Mpan18s
vAlhln part 15 01 Companles AGI 2006.
Pa9e 2

SIJIC.IDF AWARENESS
RF.PORT OF TRIIS'I'b:E.S AP¥D FINAh'CllAL STATEMF.wrs
"OR TIIE YEAR LNDD:I) 31
T MARCH 2025
TrusteLs' Annu￿1 Re
rt
Rg$ervag Pollcy
Unreslocled lunds are needed lo provide lunds whlth can be applied lo specific proloct3 and lo
enable these pro1￿lS lo be undertaken al short nolSce and lo cover the runnlng costs of the
Charity for a limited period, shouky Ih6ro bè a slgnifieanl shorrfal in projected Income.
Ac¢ounlants
A resolullon 10 re-appdnl the a¢￿untan1S, Toman Accountancy SeThlce8 Lld. wlll be proposed al
ihe Annu4]l General Meeling
Small company gxgmptlon
Thls roport has been prepared In occordanco with th• 6peclal provi8lon8 for Small companlos
under Part 16 01 Compan1$8 Act 2006.
Ropsonslbllll•s ol thè Tr￿8t••*
Tlie Trusiees, whu <ifv d150 the diroetOf8 lor the purp08e6 of company law, are rosponslblg
lor proparirrfJ Ihè Tru8lees Repaort and tha Flnèncbal slalemen16 in accordanctr the
applicable law und rcgulalions
Company Law requi￿$ Ihe dire¢lor5 to prepBr¢ financral s18lemenls lor each financial year.
The Iruslecs prosenl Iheir reporl arid Ihv fiiiunLial slalernenls ol lh8 charity for the yoar 8nded
31st Marcli 2025. The Trustees confimi that Ihey ￿mplY wllh Ihe wulremontg of Ihe ChBri1108
Aci (Nonhern Irelandl 2008 and the Accounling and Reporting by Charill¥s'. Slalemcnl ol
rcc¢mmondod Praclice whlch opplles lo ¢horilic8 prcparing Iheii accounts In accordunce wlh
ihe l.'Inan¢ial Reporting S18ndard aFf>licable In UK and Republlc ol Iroland IFRS 102) ellecti
161 January 2015.
Under compony law Ihe TnJ31eeJ mu%1 nnl approve the finandal 51alemenls unles9 they are
5alisfie¢J that they givts a Iruo and fair vlew ol Ihe stale ol affalrs of tho compary and ollhe 8urplu¥
or deficit of tho cornpany for that period. In Preparing Ih05e financy81 slblem•nl8, Ihe directo￿ ¥re
requlred lo,.
88lecl suitable a¢counbng policitrs 8nO Ihcn apply them con6h8tenl￿',
- observe the methods and prirtC4pl¢s In tho Charilles SORP IFRS 1021
makè ludgemenl$ and ¢$lbmalos IhBI aro reasonable and prudenl.,
prepa￿ Ilie financlal stalom¢nls on the going concern b8sls unless tt 1$ knapproprfg19
lo pre¥um¥ Ilial the compony wll conllnue In bugnes5.
The Trustees are respon5iblE lor kciping adequ81È accounting record5 Ihal are Suffic￿nI Ir& show
and explaln the company's transactions and disclose wlh reasonable accuracy at any time the finanaal
posilion ol t1￿ ¢ompany and enable them lo eiisure that the financi81 slalemenls compty with th&
Corripanies Act 2006. They are also reSponsi￿e for safeguarding the assels of the company and hence
lor tsklng reasonablg steps for Ihe prevention and deteclion ol IraL>d and other irregularitios.
By order of tho Trustoes:
Trt￿l00
Dat•:
Page 3

8UTCJDE AWARF.NFSS
FINANCJAL STATEIMENTS
FOR THE Yf%,AR Tr.￿'DED 31ST MARCH 2025
STATEMENT OF ACCOUNTINC. POLICIES
Accounting convention and Basis of Accounting
The financial siatcmcnts have been prepared under tlic hi.storical cost convcntion.
These fmancial slalcmcnt.s have been prepar¢d in accordancc with Accounting and
Ileporting by Chrfirilics: Stnt¢mcnt of Rccommended Practicc applicablc to charitics preparing
thcir accr)unt8 tlie financial Rcporting Standard whicli applies to UK and Ilepiiblic o£lrcland
a-.RS 102) (cffcctivL 1st J1￿U￿rY 2015) - (Charitics SORP (FRS 102)), and the Companies
Act 2006.
R¢coneiliitioii wlth previous Generally Aecepttd Aecounting Practice
Inpreparing thc accounts, thc 'frusl¢es hdve considLfLd whcdier in applying thc accounting
policies required by fRS 102 and tlic Cliarities SORP I.'RS 102, th¢ rc.stateinent of
comparativc itcms wus r¢quired. No rcstatcmcnts were required
Incomè Recognltlon
Jncome is rccogniscd whcii ihe Lharity ha5 thc cntitlcmcnt to the funds. any pcrfornianLe
conditions lillatslied lo th¥ ilLm(s) nt. inc()me114lV¢ be¢n met, it is probable the inconie will be
r¥¢¢ivcd and tlic atiiount mea5uI-ed reliably.
Interest Recelvabl•
Tntcrest on the funds hcld whcn rcccivuble uiid ihe amount can be me&sured reliably. this is
normally upon notitlLation ofihc intorcst paid cir payabl¥ by the bank.
Resources Expended
All ¢xpendilur¢ is accoiintcd for on an Accruals basis and is classifed under hcadings that
aggre8atc all Losts related to that catcgnry.
I"'undraistng costs include th¢ costs of advcrtising.. pruduuing publications, printing and Inailing
runaraising malcrial and statycosts in thcs¢ arcas.
Costs of charitablc activite5 include direct cxpcnditurc incurred through opcrational aclivities.
Ciovernance costs represent the costs associated to thc govcrn¥inLe drrangcmenLs of the charily
vhicli rLlate lo lh¥ gen¢ral runninb? of tlic cl)(wity as opposed to tliose Losts associated with
rundraising or charitable activity
Flxed Assets
All tangible fixed assets are recorded at cost
Page 4

SU ICII)F, AWARENESS
FIN￿NcIAL S'R'ATEIMENTS
FOR TI.IE YEAR ENDED 31s"r illARCH 2025
STATEMENT OF ACCOUNTING POLICIES
Continued
Dopreclatlon
Depreciation is calculatéd to write off the Cosl oi fixed assets over their estimated useful lives
at the following rates..
Computer equipment
250/• reducing balance
Rapatrs and renewalg
All repairs and renewals are written off as inwrred
Debtors and Prepaymgnts
Trade deblors and other debtors are re¢ognised al Ihe selllement amount due after any discount
offered.
Prepaymenls 2rè valued at the amount prepaid net of any discounts due,
Credltors and Provision8
Creditors and provlsions are recognised where the charity has a present obllgalion resulting from
a pa51 event Ihal will probalè result in the transfer of funds lo a third party and the amount due lo
settle the obligation can be measure relaibly
Flnanclal instrurnènts
The charity only has financial instruments and financial liablitlos of a klnd that qualify as a
baslc financial instrument. Basic financlal instruments are 5nilially recognised at transaction
value and subsquenlely measure al their seltlèmnl valug with the exception of bank loans
whSch are subsquenlly measured at amortised cost using the effective interest method.
Page 5

SUICIDE AWARINCSS
FINANCIAL STATEMENTS
FOR THF. YEAII LI NDED 31ST MARCH 2025
STATF.MF.NT OF ACCOUNTING POI.ICIF.S
Coiitiniied
Fund accountlng
Unrestricted funds comprise donations and other income th2t 8re available for the use at the
Trustees, discretion in furtherance of the objectives of the Charity.
Designated funds may be used as unrestricted funds sel aside by the twstees for
specific future purposes
Restricted funds represent Income received which is subject to specific purpose5, the use of
which Is restricted to that area or purpose
The Income received from funders depends on the charlty meetlng detailed criteria on the expenses
plans.
Grants given under such conditions are also subject to them belng obtained for in connectlon
with Ihe further8nce 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 speclfies that the grantldonation must only be
used in future accounting periods,. of the donor has imposed conditions which must be met before
the charity has unconditional entitlement.
Income from charitable aclivites includes income received under contract or where entitlement
to grant funding Is sublect to specific performance conditions is recognised as earned as the
related goodslservices are provided.
Grant income included In this category provides funding to support funding aclivies and Is
recognised where there is entitlement, certainty of receipt and the amount can be measure
reliably.
Income is deferred when.. feesl performance related grants are recelved in advance of Ihe
performancelevent to whlch they relate.
Reserves Policy
Unrestricted funds are needed to provide funds which can be applied to specific projects and to
enable these projects lo be undertaken at short notice and to cover the runnlng costs of thg
Charity for a limited period, should there be a significant shortfall in projected Income.
The Trustees consider il prudent that unrestricted reserves should be sufficent10 8void the
necessity of realising fixed assets held for the Charitys use.
Page 8

SUICIDE AWARENESS
CTIARITY NUMIIER: XR 99481
INCOME AND F.xPF￿'DITUR￿ ACCOUNT
FOR I'HE YEAR ENDED 31 MARCF12025
INCOME
248,028
Administrative Expenses
277,572
OPERATING DEFICIT and DEFICIT
ORDINARY ACTIVITIES BEFORE
TAXATION
29,544
Tax on deflcit on ordinary activities
DEFICIT FOR THE FINANCIAL YEAR
29,544
CONTINUING OPERATIONS
None ol the Charity's Activities were acquired or discontinu8d durlng the current year or previous
period.
TOTAL RECOGNISED GAINS AND LOSSES
The charity has no recognised gains or losses other than the deficit for the current year.
Page 7

SUICIDE AWARF.NESS
INCOME Af4D EI XPEINDITURE ACCOUNT
FOR THF. YLAR E,NDED31 MARCH 2025
2025
2024
Noie
INCOME
Rcsricted l.'unds - Grants RLLeived
Unr¢striLted fiinds - Gcneraied fiinds
195,835 188,766
52.193
68,234
TOTAL INCOME
248,028 257,000
2025
2024
EXPb'.NUITURE
Wages
Wuges (.8ubcontracted) - Crisis mana&)emenl
Rates & water
In%urancc
J,iglil & heat
1elephone
Printiiig, Poslagc, Pliotocopying & Stationery
Marketing & distributi()n
Equipmenl rcpairslrLnewals & Iicalthlsafely
14oiisehold & Clcaning
Projccl Cosls 2nd rnat¢ridl4
Lounselling
Therapists
Siindry
rinancc Assi%lanl
upcrvision
ReccpiionlAdministralion
Training & l)evelopmcnt
Prolcssional fee% & subscriptions
Accouniancy
l.lospitality
rf Travcl
13ank chivges
Donatioiis
Depreciation
100,400
19.740
68,515
20,320
656
1,178
4,112
4,313
2,370
3,364
7,765
1,278
4,110
5,633
1,096
12,069
9,237
2,520
32,222
51,836
22,743
27,601
48,564
2n,185
330
2,400
1,200
16,922
2,600
1,200
2,000
3,212
1,750
1,445
1,247
855
360
19
2,160
1,962
1,292
1,296
649
446
25
TOTAL Tr;XPENDITURE
277,572 237,625
SURPLUSI(DEFICID FOR THE YEAR
29,544
19,375
Page 8

SUICIDI AWARENESS
BALANCE SFIF.F.T AS AT 31 MARCH 2025
2025
2024
Note
FIXED ASSETS
Tangibl¥' ciSS¢ts
56
75
CURRENT Assf,TS
Sundry dcbiors and prcpayment
Cash at bank"
55
2,878
225,040 253,422
225,151 256,375
L'UIIRENT LIABTLITIF.S
Credilors (Amounts falling due within onc ycar)
9,776
11,456
9,776
11,456
NET A&i,%EI TS
215,375 ?44,9]9
RF.PRF.STr:N'I'ED BY:
Reserves balancc brought forward as at l Api'il 2024
Surplus/(dcfLCit) for the year
244,919 225,544
2(),544
19,375
Reserves balance carricd forward as at 31 M4wch 2025
215,375 244,919
Chairperson
Committee Member
Dated:
25
li
Page 9

SUICIDE AWARENESS
BALANCE SHEET
AS AT 31STL M ARCH 2025
2025
2024
FIXED ASSIITS
'I'angible a.$8els
56
75
CURRF,NT ASSF.TS
r)Lbtors
C&sh ai bank
55
2,878
225.040 253,422
225.095 256,300
CURRENT LIABILITIES
Creditors (Amounts falling due wiihin one year)
9.776
11,456
9,776
11,456
NET CURRENT ASSETSI(I,IABILITIF,S)
215,319 244,844
TO'fAL ASSETS LESS CURRF.NT LIAIIILITILS
215.375 244,919
Creditors: amounts falling qlue aftcr morL' than one yellr
TOTAL NTr.T ASSII rsi(LT ABILITIES)
215,375 244,919
Rli li SLRVIS
Reserves balance brought forward as al l April 2024
244,919 225,544
Restricted Surplusl(d¢ficit) for thc ycar
29,544
19,375
Reserves balance carried forwiwa as &lt 31 MurLh 2025
21S,375 244,919
APPROVED BY THE COMMITTEE:
CHAIRPERSON
COMMITTEE IMEIMBER
DATE
DATE
Page 10

SUICIDF. AWARFN
tsLTF.8 Tn'l'llb..
EQry TIIE Y&AII F.M)Tr".
I. ¥.NC041fE RECEJVED
Rtsiricltd Unr¢51r(Etrd
2025
2024
I)ONAYIONS &.$Po￿$0Rs1UTrS
25J92
25,3ty2
CAFCY Douaii
Jwt Gi¥inA
3,963
3.963
17.453
27.054
800
200
j.wi
Cli￿¢￿$T￿￿¢
Truvi￿lI Lid- AtsrimhdLn
luEh LJ)V
Sloy
Pulrt¢k Metlride
Roilin WAlJh DLwiion
&M C4TnpbrU noriill.'Vll
Anthmy McLo Donndoll
HJA I￿11-spoIl￿rIl1ip
Alhert S1¢(rfnznunity. Sw.Jor¥bip
VI￿¢ Cahi-
KtsIhrw￿1er. SwTrbor5hlp
Aiio Oinup- S￿1￿1￿hlP
Crawfoiilb Swr.
C.'M Curttsn- SkK)n501sIup
2W
?,6ft0
2.48
5,500
1,0
40ts
Jo
250
250
25rJ
250
1.00
7,680
2.fj¥8
I,U3U
4(K)
2JO
2JU
2Y)
1.000
[ l)Dnthte- lTritt& ALTh¢ M¢K¢¢srr
7?.0
2¥0
l.J69
A Pciiilar'fdfi
11 M¢k¢¢vty
I1￿￿ Flox'ftuji
INC04Mfr.' IV510%I CUhRrrABLE ACTM'nF.s
Jle*lr5¢l*d UnTei¢rici<d
Fundb
2015
101
IIIIA PUNI)tN(i
LIIISL7
LIELVASYL Try caiiN'r.ll.nrNI)TNLI
illu Ll)i-fLRY fiJNr)
LIIAC'KIE RIVI:.R CO
liK(IUNLIWORk
rNI IA)rrrsRY FIIN'I)fNfi
904
?JA
2J.700
20.NO
2Q,OOQ
2th)
2Jth)
J.146
248.02B 257 000
I.TAliGIIILE FJXiD A&Srn
P14y Arr
4ulpmeDt
&v
IAnd
Buildlnx5
l.'omputrr
r￿￿1pM¢
C05r
Jljil April 2024
i.soo
AOdiuc<L
IXspvk415
As ag Jlit 2025
1.5
DEp￿￿TIo
A% 11 151 April 202
ryv fur yor
disp05I1
As ￿ 315l MirL'lI 2025
1.444
Nei￿okYA￿C 3151 Marth 2025
56
J6
Nct ￿D￿Value 31st M3rth 2024
75
75

SUICIDE AWARENESS
NOI"Es'ro THF. FINANCLAL sfATETrfbN
FOR TIXX YEAR Fili DF,D 31ST fvIARC1I 2025
3. r+,XPF.NDITIIRTr;
Rostrictcd Unrestricted
Exp¢nses
Expénses
2025
2024
EXPkNDII'URL OIY CIIARITABI.F. AC.TtVlTIF,S
Wages
Cri515 Managcmcnl
PoslRg¥, Photocopying & Stationery
ftrk¢tin8 & prinling
LquipinLnl K'pdifs & maintenance & Il¢ftlthlSaf¢ty
HousLhold & Cl¢anins
PrvgrammL c(X8L£
Professiontsl fees & .subscripiiolls
Loun.selling
Therapists
Sundry
Admin A.SSlS147ni. Iiinancc
Reeeplion & Admtnistration
%upervi.gion
8iaff'l'raii)ing
I lospilaliry
Siaff 'l'ravel
l)onations
Depreciation
Pric>r Year Adjtsstmcnt (PY A)
95.929
1 (),740
1,096
12.069
95.929
19,740
1,096
12,069
9.237
66,996
20J20
2J70
3a64
7,765
9,237
2,520
32.222
3,?12
34,561
15,543
32,222
. 27,602 .,
2,160
48J64
20.185
330
2.400
16,922
1200
17,275
7,200
51,¥36
2?,743
2,600
2.600
720
2,000
480
1,200
2,000
1,445
1,247
360
19
1.628
1,445
1,293
1,296
446
25
25
1,247
360
19
1,628
1.17,276
100,571
257,847
223,063
RLstrieted IlnrestrlLted
F.xpense%
Ypenses
2025
2(124
4. SI,'PPOR'I' COS"I'S & GOVF.RNANC.L C.OS'I'8
T¢lephLinu
Lighl & hcat
RalL's & ivaler
In5urdnLc
5,633
4,110
5.633
4,110
4,314
4,113
656
1,178
1,806
649
1,278
1,750
1,278
1,750
855
Ilk)nk chargLs
12,771
855
13,626
12,716
TOTAL INCOME ON CHARITABLE AcfiviTFS
170,047
101,426
271,473 235,779
Page 12

8inmF. AWARF.NF.%S
nTF.8 T() THF. VINAJ('1*11, 4n',ITF.
R THb. V).AR F
02
S. DF.BTOILS & PREnAYIMEI)TS: AIMOUP4TS FALLING DUE wrrHtN ONF. YF,AR
2025
2024
fjroundwork
DellL%i City Council
Plbl bundinb,
bticitsl.8e£uTiry & other
Wil OQS
250
1,628
55
ss
O. BILNK AND CASII
2028
2024
Elank Accouni No 1- 193 Ar¢oun¢
Ilunk Acc(>uni No 2- 003 Acco1￿1
175,874
49.166
207.432
253.422
7. ACCRUAI£
202S
2024
PAYÈ
Nrr PAY
21
9SS
A¢¢rnJ15'. A¢¢wntyvwYF 31.03.??
Rai•s
H•bl & L￿111
Prknw, Pos1ifj0 & Stolknnery
Cotsns8Kln¢
Thori1￿￿1
ProJocico•ll
TrnvT*l &
llnk knloreol& charoes
HMRC. PAYC. IMllI 121
1,806
J36
325
187
3200
740
900
5,070
840
460
88
107
1.763
PrL'v￿￿ fundiiJB r(rc¢ived
cr.NlIR•L￿vUd 21r22 trtrt ruL'IloA lo ll12Jl
I nHory Ivi¢c￿vod 21R2 1o1th1tss 10 221231
9.77()
. &IIAR Y cosrs MYT) EIMOLUIMENTS
2U25
2034
ToiAI $inff COSLg follows
Jnd wlJri¢y. kcy ll?dnA¥LmLlli VL'N>nnEI
WJ8es slllllnt5. Cn5is rnuny¥omoni
Cmploycr XYUTIIY LUS1s- kl'y rrianagemcThi p￿r￿nn¢1
mploycr 5{KI￿ 5CCUriry ¢OSts- Emploitynertt A:.loivanct
95.929
60.141
9,471
15,0001
6.S19
Is.oco)
100.400
67.660
9. RESF.RITh
2025
2024
Rttsersrs balar.¢e ￿￿u8￿1 lorwL'd ay JL l April 2024
SUrplu￿(deraC1lI for the ye4r
Prior Ycor Adjusinienl
243291
29,544
,623
22S.544
17.747
RL*r¥L's bylaiLCL for%vard as at 31 Mur¢h 2025
215375
243291
Pap13

si
T TF.MF,hTS
FQK TFIF. YF.AR F.liDF.D 31%T %L IARrii
GENERAL
FTJND
TOTAL
TOTAL
FIRST TRUST FIiLsfTRUSf DEbt•r￿A(c￿lw
TOTAL
u￿RF.￿r1ucrED REgriucTED 193 AccLbunl
Jyta & Fu￿￿s
INCOMt¥C RFSOURCF.5
GcJerjiDo￿trQo9
CATrGY t>)Iwuoii
Jiisi cJi￿n9
PID￿ Houbo
Chantiu Trnsi
}.￿1￿&1) iAd- ￿￿1t0￿arn
Muuli Lvvcd
Ilthy DM.ItifJll
Pl￿eL hMcBndc Donaiioll
Koiijn w￿1h
,SM LAfflpbell Dmation
Ju[￿1 MihonyL M &Co DoNniion
DIA l.(th- Swnsor.41ip
l￿bert St conJuiuruiy- sponso￿llP
Valué Cibs- SpiL%Drship
Kolorm&%tor. Iponior%hip
LTrLWP. Sponwr>hip
i&r) CLtswfoid%.%par. Sp)nAuIIIip
fm (..urr￿. 4pDnsorthp
?.5.3ty.1
25.392
25)92
19
3.963
17.453
I.AM
200
60?
1.0
7,680
2.48A
5,5V)
i.ojo
19
3.963
3.963
3,963
17.45J
i.bc*)
2M
601
200
601
1.000
7,680
2.488
J,sN)
200
f4)1
7.610
2,4ll
J,Jo(>
1.050
40G
300
250
250
250
250
1.000
7.68Q
2.d88
5.500
i.o)o
4CN)
400
30D
25Q
2JO
2JO
250
1,000
3W
250
2S0
230
250
?.Jo
250
250
250
f41D<kie RIv¢T Cthmm
lifoulldwork
250
12501
LIHSCI.
Tjeifi. il fwtyCoun¢il
lji¥ LoLt¢ry Vund
904
?..1,706
20,VOO
804
904
23.7L
20,000
23,Y06
20.OD
24.706
(1,0001
ibli¢ I(￿th Alltncy
533,7n
1.11.77?.
(1.6281
133.772
370 575
248 028
HLISOUKCTr.S •'.XPKNDbD
95.9?.9
19,740
9J,9?.9
19.740
95,920
19.7dO
It4i¢J & WAier
l.lhht & hclt
'I'ol¢piione
ITrinilli8.1I0sliAr. FI￿1￿¢•P￿￿2 &. StAiionery
d,247
5.63J
?.997
12,Q69
7.233
2,920
137
5.633
1.09G
12,069
7,UJ
l.Q90
12.169
72.23
2,520
2,0
7.233
Hou5ehold& ClcithinB
2.D04
Pmsramm¢
Cuun>vIIuiy,
.12.222
34,J61
291
34,$61
15,54J
17,275
7.200
AO.fi16
20,20J
12.960
2,640
22,713
Athiiin knsiitDnt. FiDin
5￿PeN￿lOn
Rc¢eptirTrr. 12 knlrnsni%iNiii)n
IYtDfg&*lon￿ f¢e¥ & SUb￿nYti￿ra
2.600
48U
2,600
480
41Q
72
1,200
J,212
3212
3.212
1.750
1,443
l.247
2.000
853
J60
1.750
lloxpl￿ty
LqtrTinswl
.Z4Y
1.247
2.fj￿)
108
Rrllth ehar8eS
DonlluoDI
855
855
360
19
728
360
Prior Ye1rAdi￿￿￿e0r
1.62A
1,628
103.054
103.054
108.419
19.675
110422
?.71.471
PaGe t4