LIFE A￿fER
TATEMENT OF FINANCIAL ACTIVITE
FOR I'IIE YEAR TO 31st MARCII 2023
Notes
Llnrestricted
Funds
Restricted
Funds
Total
2023
Total
2022
INCOME
Donations
Charitable activities
11,272
11272
9.174
Total
11,272
11,272
9,174
EXPENDITRE
Charitable activities
Other
15,992
15.992
15,992
15,992
2,590
2.590
Net incomelexpenditure
4,720
4,720
6,584
Balance at I st April 2022
10.801
6,081
10,801
6,081
4217
10,801
All of the activities of the Company are classed as continuing.

LIFE AFTER
BALANCE SIIEET
AS AT 31st MARCH 2023
2023
2(Y22
FIXED ASSETS
Offie equipment
1,738
1,738
1,738
1,738
CURRENT ASSETS
C&sh at bank
4,343
9,063
CURRENT LIABILITIES
ACc￿￿lS
6,081
10.801
REPRESENTD BY
Unrestricted fimds
Restricted funds
6,081
10,80I
6,081
10.801
For the year ended 31 st March 2023 th¢ charity w&8 entitled to exemption from audit under
section 477 of the Companies Act 2006 relating to small companies
Truste¢, resEM)nsibilities:
The members have not required the charity to obtain an audit of its ac¢ounts for
the year in question in accordance with section 476" and
The tn￿tee$ acknowledge their responsibilities for complying with the requirements of the Act
with respect to accounting records and the preparation of accounts
These accounts were approved by the charity on the 22nd January 2024 and signed on their
behalf by liobert Bradley

LIFE AFfER
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR TO 31st MAR
H 2023
. ACCOUNTING POLICY
The Flnanclal Statements are prepared on the cash basis.
2.Other Expentlure
2023
2022
Advertising
Bank Charges
Equipment hlre
Family covid 19 packs
Counsellor fees
Insurances
Motor expenses
Meeting expenses
Stationery, printing and p05ta8e
Accountanry
Subscriptions
Sundries
1,132
95
165
62
230
763
471
4,051
5,549
174
144
174
202
15.992
497
185
26
120
173
369
2,590