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|theyear ended 31st October2025||||||
|---|---|---|---|---|---|
|||Unrestricted|Restricted|Total|Total|
||Notes|Funds|Funds|2025|2024|
|lncomingResources||||||
|Donations including membershipfees||20||20|430|
|Grants|2|||||
|Receiptsfromfundraisingactivities|||||814|
|Activitiesforgenerating funds|3|||||
|Grossreceiptsfrom othercharitable activities|4|||||
|lnterestreceived||13||13|13|
|Total incoming resources||33||33|t,257|
|Resources Expensed||||||
|Expensesforfundraising activities||400||400|1,108|
|Payments relating directlytocharitable activities||||||
|Governance costs: lndependentExamination||||||
|TotalResources exPenses||400||400|1,108|
|Netincoming/(outgoing)resourcesfor the year||(357)||(367)|149|
|Totalfunds brought forward||L,297||t,297|1,148|
|Totalfundscarriedforward||930||930|L,297|





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||Unrestricted|Restricted|Total|Total|
|---|---|---|---|---|
||Funds|Funds|2025|2024|
|Cash Funds|||||
|Cashand bankbalances-startof theyear|7,297||L,297|!,748|
|Surplus/(deficit) shown on receipts andpaymentsaccount|(367)||(367l,|749|
|Cashand bankbalances-end oftheyear||||L,297|
|Liabilities|||||





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