Youth Ffit Club Ltd (A company Ilmlied by guarantee) Stfitement of Finftnclal Aetlvltles for the year ended 31 Marcl12024 Unrestricted Funds Reslrieted Funds 2024 2023 Income and Eypondlture Incomlng Resourees Grants & Sundry Income 2,629 34,873 37,502 Total In¢oming Resour¢e$ 2,629 34,873 37,502 Resources Expended ManaBement & Administratioii Total Re$oyrces Expended 225 32,626 32,851 225 32,626 32,851 Not lacoming l (Outgoing) Resource8 2,404 2,247 4,651 BalanF¢5 brouglit forivard ) April 2023 2,404 2,247 4,651 Balanees carried forward 31 March 2024 10 2,404 2,247 4,651 The above amouiits relat¢ to continuiiig operations of the Gompany. The company lias iio recognised gains aiid losses other thun those included in ihe results above and (herefore no separate statement of total Ognised gains and losses has b¢¢ii preseiited, Tliere is i)0 diff¢r¢nce b¢hve¢n the ii¢t incoining resources for tlie year stated above and tlieir historical cost equivalents.
Youlh Flrst Club Ltd (A company limlted by £uAr8ntec) Balallce sheet as at 31 MAreh 2024 2024 2023 Notes Current a55ets Debtors Casli at bank and in liand 1,750 12,462 14,212 Cui'rent Ilabillties Other credlioss Accruals 8.468 .093 9.S61 Net current assels1(Ilibllities) 4,651 Total assets less eurrent liabilities 4,651 Reserves Unreslricted Restricted io 2.404 2,247 4,651 Pagc 6