REGk8TEREO CHARITY NUMBER.. 8C002866
Roport TnMtsg1 and
Urtaudlt•d Fln•nth*l 51at•m•nts forth• Yur Endod 31 M￿h 2022
Con*nn Fd• Bhanlgh
CarnptrAryll ste￿￿rt MacLennan & Co
Ch4rte￿ AcrA)untanls
Unit 3, Broom Place
Highland
IV51 9HL

Cgmann Fei¥ Bhamlgh
Cont•nts of the FlnarKio18tatsmentg
forthe Year End8(131 M•rth 2022
Report ofthg Tnmts••
1 to 3
Inthpondenl Ex•n￿n8￿1 Report
st•t•rn•nt tsf Flnanelal Acll¥lil
B•l•DGfj gh••t
Nots• to th• Flnu¢l•l Stal•rywnts
7 to 12
D•t•lhd Ststam•nt of Fkn•nel•l A¢tlvll10•
13

Gomann FelN Bharralgh
Report of th• Trnstee8
forthe Y•arEnded 31 March 2022
Tha trustees pres8nt thdr report wth the finanGlal st*ements of the charity fDr the year ended 31 Mard) 2022 Thè
tru3tee8 have adopted the provish)ns of Aeeounting and Reporting by Charit￿8.. Ststomont of Recommendèd Practre
applicabk to chant*s prepariTh9 their accounts in acxyjrdance wth the Financial RewrtirYJ Standard aoicabk in the
UK and Republic of Ireland IFRS 1021 leffecti¥e 1 January 20191.
OBJECTIVES AND ACTIVITI&8
ObJecUves and alm*
The ct)lecti￿3 of the Fei8 shall bè.
To promote interest, edUGall￿ and p8rtiupation In the tradition81 fflusic, language curture ol the
GaidheattaL*d, and paiticularfy those of the Islands of Barra and Vatersay and surrouThYing s￿8 85 defined
by the Fei$ Committee.
To plan, prtgramme arrange activit*s on its own iniliatNe, or with other loc41 mu&eal, art8 and
educatbjnal societie$ and organisalions.
To plan. pro9ramm8 pie5eni a) annual turtK)n res￿Val structsjred to hshli9ht the m￿￿1¢￿1, culural and
gducatk?n obiectNe8 of lh¢ F¢i¥.
PubllG b?nefflt
The lulfilmenl of the ch8rty'8 objectiws rg8uIt8 in wblic benefit 10 the rowdents of Bsrna, Vatersay and tho wthr
suffounding 8ré8.
ACHIEVEMENT AND PERFORMANCE
Charltabkn actlblts•
Durlrg th¢ ye?r. Feis 8harraBh re¢4￿Mn9 and Te8tA￿'n9 ovents gftar the natiC￿81 bthdown ￿ K44rd1 2020.
Even16 th¥1 took place through the year w*re on a SMal￿r &r21e ￿lItt addillonal 88fety Measu￿8. Fiddle, acrortllon dnd
chanwr lessons continued online for pupils throughout the y¢ar. In &dditDn to thi¥ we h08ted a four w¢•k btginnern
•ntar online in May 2021 to prowdo an Opp￿rtuN￿Y fer n•w pupll8 lo tske up th• Instwrrent.
In May 2021. we 0150 hosted clar8ach workJh4)i with Janet Horbi8¢n. lftstead of the week Fe16 Wo look
prEcau￿unary appro8¢h 8nd host•d gpeaalist ￿rkshopS in FkYd*, AcAX)rdion, Chgrt•f. Piping and Dandng throughout
July These worf(8h¢JpB were ￿11 gttendeA and enjoyed by local children as w811 a5 childrBn vlsiting Ba￿a aTrd V8ternay.
An outside w1￿h In Caslebay 8quare in July 2021 eoncluded the Summer event$. In Dewrkner 2021 Feis Bh2rraigh
succ*8sfulty reeaive¢J Tr¥oir funding 8nd offérèd gurtor and 8inging Dnllne and In p8r80n.
FINANCIAL REVIEW
Prlnclpal fundlng •ourc
The chanty prtncipal lunding Source18 iuilion fees and grants
Th8 eharbty re&8Ned Incory* 01£1,WO or greater Trom the fo￿n9 cryani88ticffl$.
£23,236 Fgnean nan Gaidheal188&tstèd by Creative So)tkaThJ. H￿rtIan￿8 and tslandj Ent•ffjse, Comhalrb nan
El*an Si?rl
£1,531 Comhairfe n8n Eiloan Sar
Reserves pollcy
11 1$ tho policy ol th8 eharty that Unrestr￿8￿ funds thich have not been de$vJn8tèd for 8 speofic use ¥hould be
maintained at a levèl equivalent to bemeen three and six month's e￿ndrtUre. The Ex8￿tiVe Committee consthrj Ihal
reserve8 at this level will en8ure th81, in the event of a sBnifiL¥nt drop in funding, they will b• ab￿ to Continue the
charity's wrrent Aebvths while w$￿erAtIOn 1$y￿en lo ways In addrtional fund8 rnay be ralsed.
Wilh rttstynce to the balanca sh8et at 31 Marth 2022, th• charity retained Un￿￿tri￿￿ fuTrJB of £41,836 12021
É43,87310l which free reserves £40,28612021- £41,7￿1.
Gokng ¢onwm
After making 8ppropnat• ènquines. the tru$tee8 have a reasonable expectalon that the ¢harily ha5 adequate resource¥
to continue In operational exk%tence for Ibe breseeable futu￿. For thi8 reason they continu8 to adopt th¢ going ￿¢¥M
baBi8 in preparing fin4nu81 ststements.
FUTURE PLAPIS
Oiherpl8nn•Y future d?￿lopmEntS Ml already mentiffièd
Winter cèilidh sessions usiry Skype t¢ link up wth oth9r gTOU
Devdopment of partnership5 to deliver luitv)n and help with adrninistralion
More efficAenl biling systems to help pa￿￿t$ and attain a m¢)0 regular inojmè
Prov￿& opportunities forour pupils to play tO￿lher in music sessions. at ￿lIIdhS and local esEnts
DeVel0prn￿t of ¢JramA cJa18ach and step danc* classes
Pagè 1

Cominn F•ls Bharralgh
Report ofth Tru$tsg•
fortho Y•ar ErKled 31 March 2022
STRUCTURE, GOVERNANCE AND M4NAGEMENT
Governing docuffl•nt
Comann Fels Bharraigh ¢5 a separately constituted unincorporated organi8ats.on that is set up to provhde a range of
community benefits to the I￿and8 of Bsrra and Vstèrsay The oryanisab'on wa9 first constituted in 1984.
Recrultment and appoln¢m¢nl of newtru8lee•
The management of the charity B the r88Wlslbility of the Tru&t88s who are èLgCted and undw the tems of Ihe
TNst deed.
Org*nlBalonal stru¢tur•
It is rnanaged by its Exeewbve Committee who are re3pon3ible for rts rnanagem8nt, administrdtwjn and contrd. Th8 day
lo day runniry 1$ the re8ponsibilrty of its 8dmini8tTator Members of the Exe￿tAl* Corrrfnrtt•é meet on a rg3uLwr ba515
and one.third of its members are subject lo reappoinlment gt its Annual Geneffjl ￿¥ting.
K•y man•gom•nl MM￿•￿tIon
The Iwtetss ar• the key m8n8gemÈnl PèTBonnèl olthe charrty.
As stated in not8 to th¢ accoLmts, totsl tutor fees and adm1nratr8til￿ fees pAid to tru8ta88 W88 £1.186 12021
£3,815) ThLg amount was paid to tnjstaa, D Jthnst0￿ (r￿￿)no4 2110%221.
Wldgr n•iwoert
The charity is a momber of Felsean nan Ga￿￿001. an InW•ndent Umbrel￿ ￿￿o￿atiOn olthe Fei8 *Th)ve￿Onl
REFERÉNCE AND ADMINIsTRAT￿E DETAILS
Regl•tsr•d Ch•Aty number
scr￿3858
Indopenlenl Examiner
Cafflpbell Stewart m￿Lennan & Co
Chart•red Attwntant4
Unit 3. 8room Place
PDrtree
Highland
IV519HL
STATEMENT OF TRUSTEES. RESPONSIBILmE8
The trustees are responsitl¢ for pwanng the Report of thè Tr￿1￿8 and the finantitil statements in accord¥nce with
applIca￿e law and United ￿￿dern AC￿￿nb.n9 Sl8nd8rds Iuniterl ￿ngdoM Gener81ty AC￿pted Ac£ounting Pra(#ir￿I.
Page 2

Comann Fei8 Bharral
Rèport of the Trustees
for the Y•ar Ended 31 M8r¢h 2022
STATEMENT OF TrUSTEES' RESPONSIBILITIES- contlnuéd
The law applrAble to charites In Sctstland, Ihe Charttses and Trust8è Investtmnt (Scotlandl Act 2005. Charities
£counts ISCO￿￿{1) Regulali¢)ns 2006 las an%ndèdl and the lx0￿510ns ol the ¢hariV$ constitution. requiras the
Irusl•¢o to prepBr¢ fingncial statam8nts for each finan¢lal year whch oive a tru& and faK vw ol the slatè ol affalr5 01
the charity and of the incoming reg)uice5 and application ol resources, Sncludlw Ihe income arxl expendttyr6, of the
¢harty for Ihat perio¢. In preparing t￿$6 fin8n&al staternenLs, tre trustees are required to
sekct suita￿¢ accounting p(Aidas and th8n 8ppty th8rn (￿siSt8n1y.
obsgrv8 tho method5 and principl8s In the Charfty SORP.,
make ludgernents 85timat&s Ihat are reasonab￿ arsd prudont-,
prepare the financial 5tstgm8nt5 on the going conc8m basls Un￿5? It Is inapryoprfats to presume that the Gharlty WHI
continue In bJslne¥.
The trustses are re8pon$lbb for k4&plry propgr accounNng records which dlsclDS8 wtth roasonabl¢ 0CfYJTaw at any
tim• th8 flnanual posltlon of the charfty and to enable Ihgm lo en8ure that th8 finandd slal&m8nt5 comply with Ihe
CharS1ies and Tnjstee Investmènt Iscouandl Act 2005, Charitios Accounts (Scollandl Regulations 2006 las
arnèndfjdl and Ihg provlsSons of the ¢h8dVs conslitut#Jn. They are aL%o rgsponsibb lor safeguarding the assets of lh8
harty and hence foT lakini ra8sonable stops for Ihe pr6vention and d8lection of fraud at)d other i¢r¢wlarrti86.
order of11)è btrdid o! IIL>I¥oJs U¥1
rov6d b
C2
and 6ign•d on tt• bah*lf by.
Page 3

Indèpendent Examinerf8 Report to Iho Tru$tfjes ol
Comann Feis Bharrabgh
I report the actounts ftsrthé year ended 31 Marth 2022 set 0￿0￿ pa9es fivè to tsvelve.
Respective ￿PonsfO111tlos tsf tru•ts¢$ and •xaminèr
The tharrtls tnjsiees are ￿sponSible for the preparats.on of the a￿UniS In aoxrdw¢x ¥bith the terms ol the Chanti¢s
8ryJ Trustee Investment (Scotlandl Ad 2005 and the Charities Acujunts Iscodandl Regulatson8 188 am•nd8dl.
Thè eh8rbtyg trust¢es conshler that thè audit requirern8nt of Regulation 1011 Ila) lo Icl of the Accounts Regulations does
Trot appty. It i8 my responsi￿lIty to examine Ihe a[￿￿ts as r4uifed uTrJer See*"on 44(1 Ilcl of the Act 8nd to 8tst&
whether pa)ticukgrrnatter3 h8Va o)nk to my attenlbon.
Ba$1• ofthe Indèpend9ntex•rnino￿1 repcrft
My eK8minatlDn carned out in acmrd8n¢o with Regulat￿ 11 ol the charit￿5 Accounts Iscotlarndl RegulBtions
2m6 An examination induc*s 8 thiew ol the 8cwunlirvJ re¢ord$ kept by the chaThty and a ccmpari80n of the accounts
present￿ wth trose reLY)rds. 11 also indudes GDnsiderabon of any Ltnusual Item8 or d18d08u￿S Sn the ac£ount8, and
Seeking explanat￿n$ frorn y￿j as trustees concerning any sueh matteryJ The pncèdurns undertaken do rot prDvide al
Ihe evidÈnr* thw *tsuld be required in an aL*1ft, conBgquently I do not expr&g8 an yudlt Lyin1c￿ on ￿ view gwen by
Ihe altounts
IndopondontexamlneY• Itatsrnert
In conneG*on wlh my examinalion, no matter ha8 comg lo my attention .'
111 glves mg realonabk c8u8e lo tre1￿? Ihjt. in ony material [￿[￿Cl, the req￿reMen
to kèèp ac£ounbng ￿CordS In a￿￿lance wlth sect1￿ 4411Xal ol the 2005 Ad and RegUlatIc￿ 4 of the 2￿
ounis Regu1ation•'. and
to prepare accounts ¥4*ich ac￿r￿ accounllry recordj and lo 0￿pIY wrth ReGLlation 8 of tre 2fy)8
AcLount8 RegulaUon8
not twn m?t, or
121 to thich. In rny opinlon, att•ntlon ghtyJ￿ b? drawn in order B prttw underslaTrJing of the a￿￿)untI to be
reathed.
Comptell st￿art M*L8nnan & Lo
Chartered Accountants
Unit 3. Breom Plac4
Portree
HlghlaThd
IV519HL
Date..
Page 4

Cornann Fels Bharrnlgh
ststementof Flnanclal Ac￿vIt￿&
forthe Year Ended 31 March 2022
3113122
Totsl
fiJnd5
3113121
Total
nd
UnrestriLted
fvThJs
Restrithd
funds
INCCthIE AND ENDOWMENT8 FROM
Donatio￿ ￿9￿188
14.608
14.608
10.423
Charltablg acti¥itss
PrDmob"on of nlwesl, aducalion and particyalon
oIGaelic Iradicional music, lawuaoe and Culture
on the Idand3 of BatTa & Valer8ay.
3.130
10,181
13.291
12,590
Totsl
17,738
10,161
27.8
23,013
ExpeNDrruRE ON
Rai&ng funds
Charltsble •¢llvltle•
Pfomolion of Inlttesl, education and path'potion
of Gaelic tr8drtion81 mu8i¢.18nguaoa and cjjiiure
on Ihg Ilar*8 ol Barm & Valersay.
19,769
7.287
27.056
17,057
Tot41
19,775
7,287
27.062
17,057
NET INCQMEiiexpENDITUREI
12,0371
2.874
837
5,956
RECONCIUAnON OF FUND8
Tctal fvnds brought foThYgrd
43,873
41.848
85,721
79.765
TOTAL FUNDS CARRIED FORWARD
41.8
44,722
86,558
85,721
The notesfLYm part of these finanaal statenwnls
PagE S

Comann F¢18 Bh*rd9h
Balance Shgét
31 Idar¢h 2022
3113122
Totsl
funds
3113121
Tot
funds
UnrestriGted
funds
ReslrKt¢d
funds
Ncles
FIXED ASSETS
Tawible assets
1.550
2.087
CURRENT ASSETS
Debtcrfs
Cash at bank
650
42,012
650
88.106
1.05Q
,905
48,094
42.662
46,094
88.756
95,955
CREDITORS
Amounts falllng due vllhln rx)e year
12,3761
11.3721
13,7481
112,3211
NET GURRENT ASSETS
40,286
44.722
85,008
83.634
TOTAL A8SEfs LESS CURREKf LIABILmE¥
41,836
44,722
88,558
85,721
NET ASSETS
41.836
86,558
85.721
FUN08
Vnre5trktèd fuftds
Restrlcled funds
41.838
44.722
43,873
41,848
TOTAL FUND$
86,558
85,721
taiem¢nts were approved by the Boord of TNst••$ and authorf58d ts I￿u8
and were slgned on Its b•haWby'.
on
Th8 notes form part of theeo finandal statamonts
Page 6

Comann Fols BhaTralgh
Note5 to tho Flnanclal Stat8rnsnts
lor the Year Ended 31 PlarGh 2022
ACCOUNTING POLICIES
Ba818 of preparing th• fln¥n¢ial Statsments
finartial slaten*n15 of lh8 tharity. which 15 a public tsÈnefit entrty under FRS 102, have been prepered in
aC￿￿an1% wrth the Chanbe3 SORP IFRS 1021 'A(o)unting and Reportin9 by Chanttes. Ststement of
Recommended Practic8 applic*Jle lo charitb8& praparing Ihalr accounts in acCOrdar￿ with the Finanry
RÈportlng Standard applicable in the UK and Republic of Irdand IFRS 1021 leffectNe 1 January 2019Y. Finano8J
Reporttiig Standard 102 The Finanoal Reporbng Standard applicable in the UK and Repthlic of Irgland, and the
Ch8rit*s and TnJ$tg8 Inv•$tmenl {s￿￿endI A¢# 20D5. Tr finanual SI8te￿￿nts h8v• been prepared under the
historical LX)St (XJnv¢nlon.
Incomo
All Inccme is recognSsed In the St8temant of Fnanaal Acbviti8s On￿ Ihe charity has er*lement to Ihe fuTrYa. I
8 probabl¢ thal the ints)me will be received and Ihe amtrunt can be meawjred rèliab
Expendbture
Liabilities are rewgnised a8 oxp¢nditure ao soon a8 th?￿ 18 a lèg81 or ry)n$lructDie obligalion ¢ommrtb'ng the
tharity to that eynditure, rt 18 probabl8 that a transfer of èconomlc benefft8 wll bè requI￿d In settlement arYJ
the amount ol the obligation can be n*asuffjd reliably Expenditure 18 8ccounted for on a¢cru818 baBis and
has b*n cla8sified under h8adings th91 Bggr8gato all eost related 10 thé ealegory crAts ￿n01 b8
tjirectly attnbuted 10 partlcular headlng8 they have téen allocated to 8ctivilie8 on a basig conJi$lent ￿1th tht use
ol resourc¢J.
Tanglble flxed i••ets
Depwci8lion is provided at the follow9 ¥nnu81 rat•6 In ordor to off •ith 1$8•t C￿r its •stlmat•d u8eful
Mu*eal In61rumonts & Uniforrns
Offi￿ equipment
Computer equipm?nt
33% on redueing balanc
25% on r•ducing balance
25% on straight line
T•xatJon
The charity 1$ exempt from tax on its charitgblè
Fund *ccounllng
Gèn8ral fuMs are unrestrrbd fund8 are ¥¥wl8b18 for u8• gt the dig¢y8tson of the TnJ•le•8 In fvrth¢¢ane•
rthe goneral Obiectsv&8 of charfty and whlch havo not teen deggnateth for other PLKposes.
Re8trictèd funds aTe fund$ which are to ba us•d in accordan￿ wlh SFeufic re5tricton$ Imposed by donors or
whith have been r8Hed by the charity fDI POrtiuJl8f PUIPg$gs. costs of raising and adminlstenn9 8uch
are charged against the 8Frtlfic lund. Tl* #nd u$4 01 oach r881th1 fvnd li lot out In notes to thé financial
stalernerts
A d•signal•d lurélo Ih•t part ef thè ehanty8 unr•stricted fvndy that Iho tharity trus¢ees hw decthd to eamart
CT de$orKqte. for o partlcAJlar pulp0￿.
Further e¥plan8bDn ofthe nature and purpose oy ea¢h fund Is Induded inth• notés to t1￿ flnancLql statements.
TRUSTEES. REMUNERATION AND BENEFrr8
Durirs the year, om trLLslee 12021 four) retstived tutor fees 8mounling lo £1.168 12021 £3,815) urvjer the
authority ol chaiityg consIrtut￿n which allM such ￿yMentS to ba made.
Tru*te•B' exp￿8￿4
TIEre were no trLWte8s' expenses paid for the yaar end>J 31 Marth 2022 nor for the yettr ènded
31 Marth 2021.
Page 7

Com&nn Fo1$ BharTaluh
Nots• to the Flnan¢ial Stai•rn•nts- Con￿nUed
forthe Year Ended 31 M•rch 2022
QOMPARATIVES FOR THE STATEMEp￿ OF FIPIANCIAL ACTkvmES
Unrestrthd
fund$
Restricted
fkThJ8
Total
funds
INCOME AND ENDOIMIENTS FROM
Donations and l?98C4¢¥
10,423
10,423
Ch¥r*abl• a￿¥￿e9
Promoticn of interes( educats'on 8nd
partiopation of Gaalrtradilional musi
language and Cultu￿ on the Df Barr8
& Vat6r39y.
2,411
10,179
12.590
Totsl
12,834
10.179
23,013
ExpeNOITURE ON
ChJrttabl8 aCtlvltlo1
Promolim of Interest, eduealion and
pwtiopHtion d Gaelic traditional mu6Ic,
lanqua9¢ and euttur• on Iho of 8arra
& Vat*r89y.
11.328
5,731
17,057
NET WCOME
4,44
RECONCILIATION OF FUND8
Tgt*l fund• brought lorward
AS prewouBty reported
ior year adju8tmerit
39,365
37,400
76,785
3,000
Ai Mlatsd
42,365
37,4C
79.785
TOTAL FUNDS CARRIED FORWARD
43.673
41,848
85.721
EXTeiiNAL SCRUTINY
31.03.22
31.03.21
AmtyJnt8 p&d to Inthp•Tra8nt Examiner in respe￿ ol..
Indop•nd8nt examlnatlon
Aw)unts prep9rgtlc￿ and oth8reerwc¢8
1,188
1,188
1,280
1,280
2.378
2.520
Page 8

Comann Fel$ 8hortlgh
Ngt88 to the Flnan¢l•l Ststem•nts - continued
forthe Year Endgd 31 Illarch 2022
TANGIBLE FIXED ASSETS
Musical
InslrurrEnt8
& Uniforms
Office
equipment
Cornput8r
equiFwnent
TotaL8
C03T
At 1 April 2021
AdditK)ns
39,280
222
44,314
2￿
At 31 March 2022
39,5
430
44,538
DEPRECIATION
At 1 April 2021
Charge for year
37.228
750
4,569
430
42.227
At 31 Mareh 2022
37,978
4,578
430
42,9&3
NET BOOK VALUE
At 31 March 2022
1,524
28
1,550
At 31 Mwch 2021
2,052
35
2,087
OEBTORS.. AMOUNTS FALUNG DUE w￿MIN ONE YEAR
3113122
3113r21
Otherdebtors
650
CREDITORS: Af•K)UNT8 FALLING DUE IMTHIN ONE YEAR
31nQ2
3113121
Othercrndito
3,748
12,321
MOVEMENT IN FUNDS
Net
movement
in fvfid8
Transfe
bBh%e8n
funds
At 1.4.21
31.3.22
Unro•trfctsd fund•
Gonoral fvnd
t*s&nated rn￿1¢ 04uipment
DeJ4nated office équipment
40.392
3,446
35
11,2781
17501
191
1.172
11,1721
40,2e8
1.524
26
43,873
12.0371
41,836
R••trl¢tèd fund•
Teènage weekend
Media IDllow on da85
40th Anniversary celobrallon
Treoir Music4an Programrne
Goo¢Jwill payrmnts
838
420
39,0&5
838
420
39.085
4.379
4,379
11.505
1,505
41,848
2,874
44,722
TOTAL FUNDS
85,721
837
88,558
Page 9

Com&nn F•ls 6hanlgh
Nots8 to th• Fin•ncthl Stst8rn•nts-eontinued
lorth• Y•arEnd8d 31 ftsrch 2022
MOVEMepTr IN FUNDS- ¢ontlnu•d
Nel movement in funds. ind(h1ed in the above are as fo11ow3'.
Inc4)niry
resDurceB
Resour
•XPorfed
Movement
in fund5
Unrestslcted fund¥
General fund
DesKJnaled muBic wuiwenl
Desgnated Olfi￿ e(yJipment
17,738
{19.0161
17501
191
11,2781
ITS01
191
17,73
119,7751
12,0371
ReBtrfcted fund8
TreoirMu8iryan Ftograrnm?
Goothll payrrent•
10.161
15.7821
11.5051
4,379
11.505)
10.161
17.2871
2,874
TOTAL FUND8
27.899
127,C621
837
Comparn￿¥0$ for mov•mnt In fund¥
PTfjor
ye•r
adju$lm•nt
Nel
¢N¥ement
In fijnds
At
31.3.21
At 1.4.20
Unr••tslct8d fund•
Genergl fvnd
Dosynaled music equipment
D•8vJnatsd offic4 owiprmnl
35.784
3,446
155
3,1￿0
1,628
40,392
3,446
35
11201
39,385
1,508
43.873
Re•blct•d fund•
Teenog• ￿ekend
M8dl8 folryw on dasB
FKJdle group
40th AnAv•r8&ry Ce￿bra￿on
(Joodwill payment?
838
1,520
42
838
420
11,1001
1421
4.085
1.505
35,0
39,085
1.9)5
37,400
4,448
41,848
TOTAL FUNDS
76.765
3.000
5,956
85,721
Comp8rati¥e net rnovemenl in fvnds. Indudtcl in thè above are as followi.
Ino)rning
rns¢JJr(e&
Reaourc•s
•Kpandod
Dwe￿nI
in fund5
Unr••trfct•d fvndB
G•neral ￿nd
tJesEnated Offi￿ equipment
12,834
111,2C61
11201
1.V28
11201
12.834
I11,3￿)
1.508
R￿tr5¢tOd funds
Media follw on dasg
group
40th Anniyernary c*l•bration
Goo¢*4111 paynRnts
11,1001
1421
11,1001
1421
4,085
1,S)5
5.OCVJ
5,179
13,6741
10,179
15,7311
4,448
TOTAL FUNDS
23.013
117,0571
5,956
Po9e 10

Comann Fe15 Bhawrnlyh
Not•$ to Financial Statem8nt8- contlnu8d
rorthe Year Ended 31 March 2022
MOVEMENT IN FUNDS-¢ontinu•d
A Cu[￿nIYear 12 months and pnor year 12 TTh)nlh8 e4mLI￿a posrtion 18 a8 folkM'.
Prior
Net
yaaT
movernent
adiu8trrent
in funds
Transfer8
btheen
fund8
At
31_3.22
At 1.4.20
Unrostriet•d lund$
General tsnd
Oesgnatsd muslc
equirment
Oesignated office
equipmertt
35,764
3,WO
350
1,172
40,286
17501
11,1721
1,524
155
11291
26
39.365
15291
41.8
Ae8trkt•d lund¥
T•enaye wkend
Media follow on d•5S
Fk*Jle gr¢xJp
40th AnnN¢ffj8ry
¢ebbr•tioTh
Trnoir Mugioa
Pr¢gramme
838
83e
420
{1.1001
1421
42
3S,C
4.085
39,0
4,379
4.379
37.400
7,322
44.7
TOTAL FUNDS
76,765
3,000
6,793
8&658
A current year 12 months and prior y88r 12 month8 0)mbhed net mov•mTht In fundy. Ind￿8•d in th• are
as folltrw8.
Inwning
r•¥oure•i
Resourc4s
•xp•nd8d
Movement
In lund5
Unr•itrfetsd fund•
Gener81 fund
0¢8ignated music equipmÈnt
0•5ignaled office ewipnxnt
30,572
130,2rdi
17501
11291
350
17501
11291
30,S72
15291
ft•strfct*d fund•
m￿18 folow on dass
F￿418 orwp
40th AnniverBary ￿￿bra￿On
Treoir Musician Programm
Goc(tr4111 payments
11.11X)I
1421
19151
15,7821
15,1791
11,1001
1421
4.085
4,379
5,000
10,181
5,179
20,340
113,0181
7.322
TOTAL FUNDS
50,912
144,1191
6.793
Tth tharity had the hllowlng restrlctsd funds durlng the year.
Te8nag8 weekend - For tho thairty to Wage ath"vrtieg a￿1 outrngs Thè rwnainiryJ b￿an￿ of ths fijnd wl te
expen¢Jed aftef thè yaar end.
Modia folow on da55- Forthè L*arty to spend on a media lolltrw on da$$. To be eypended afterthe year end.
FpJ1￿ group - For thè charity to spènd on group fiddle &e58iDny. The remwning bala1￿ ol Ihk* fvJTKI will tr
•xpen(Jed 8ftèrthe year end.
40th Annlversary ¢¢￿bratiOn - the chaTity'8 4Dkn annNernary c*lebrnb"C￿8. The Cov*-19 pandemic re$utttyJ
in the ￿￿ration having t¢ be poslpored.
Page11

Comann F•ls Bha￿l9h
Notè• tr> thg FinaneK•l Ststsm•nts- eondnu
lorthg Y•ar Ended 31 March Z022
MOVEMENT IN FUNDS-continued
Treoir MusDan - For the thariivs pro9r8rnrn¢ to extend opporknnTtie$ for young people agod O-25 to 8ThJ898 in
musi¢ leaming. The baLgnc* has beon oarried forward and will be expendad after the year end.
Gtiothwdl payments - Goodh%ill payments to the thariW8 tu1￿8 for providing SLPWt and clo5$9$ onlin• to
4tud8nts. fund was fully expendÉd duriro year.
Trnn•l•r• b•tsw•n fund•
Fund8 T￿Ne￿ for capil81 expendlture, have been fully expended In accord8n¢e wilh the ￿tri￿￿)n￿
Irnpogad have been tran8f•n8d lo unre8trided funds. These are attounted for as des￿nat￿ funds in oruer to
tTrek net book value of rélated assets.
AELATEO PARfi DISCLOSURE3
Durirq Y￿r, ono tNitee 12021 fourl ￿Cle¥¢d tutor kes amounting lo £1,168 12021 É3,8151 Ur￿01 the
guthority of ¢harily'5 conslitution which all(M8 8uth psy[￿￿ to b• made.
reslgned a8 a tr￿t•• #nd b•carne th• charitY8 adrninlslrator In September
During th¢ year,
2021.
Durir¥J the Yea￿ f85ty3nad a8 the charitls administrator kn s￿tarbar 2021 be¢9
trustee in March 2022.
ULMMATE CONTROLLING PARTY
Cornann F•18 8harfdgh 18 an unlneorporat•d organ$i•ll￿ and rt govemed by board of trus*aJ.
Page 12

Compnn Fèls 8haTrlgh
Detsiled Stst•m•ntof Financial Actlvttlos
for tho Year Endèd 31 March 2022
3113r22
3113r21
INCOME AND ENDOYIMENTS
DonatloDs •nd 1ogacl•s
Donatsornry
Grants
14,e07
10.418
14,608
10.423
Charttable a¢￿vitie•
Tilltion fe88 aTrJ regtstration
Grants
3,130
10,161
2,411
10,179
11291
12,590
Totsl Incoffllng rt•ourc
27,899
23,013
EXPENDITURE
Oth•r tradlng a¢tlvll*s
Fundrai￿ry expen¥¢¥
Charttabl• aelI￿tI
Tru3lees' tLrtor fe
Ad¥8rtising
TLrtor fee8
Travel And attommodatlon
Sundry
Ewnt
Depn of music iratrument8
1,188
152
17,798
1,￿0
361
595
750
3.815
23
5.153
1S0
22,384
8upport¢o•t•
Ihnagefflont
AiJmini$tr8tor feeb
oirieè e¢yJls
Dapn of offic• equipmant
D8w of computerequipm•nt
1,672
415
2,943
357
12
109
3,421
Go¥arnanc& c￿tr
Aco)unlan
2.376
2,520
Total rnsources 8xpendÈd
27.C*2
17,057
N•t lTh¢om•
837
Thi8 Page Th>t tom) part ofthe ststutory flnandal stat&nerts
Pago 13