REGISTERED CHAIUTY NUMBER: SC043033
Triistees, Re
ort and
.Unaudited Finan¢ial Slat¢MelllLF.or'fhLXo￿￿￿Tr￿r.th.1Q25
J S Mackic & Co Ltd
8 Douglas StrL%t
Harnilton
tanarkghire
ML3 OBP

'klcare In The
.omniuoify
Contents ot'tlie ￿'inAnCIal St*tcnicnts
For The Y r Ended 31 March 2025
Page
Ref¢ren¢e And Admlnlstr8llve Dctalls
Chalrperson'l Report
Tru8tees' Report
Independent ExAmlnerls Report
Statsment of Flnanelal Actlvldes
Balance Sheet
Notes to the FlnanelY41 Statements
10 to 17
Detalled Statemenl of FlnanclAI Actlvllle8
18 to 19

eln
om
unl
TRUSTEES
PRtNCIPAL ADDRESS
Whitehill Community Centre
9 Hunter Road
Whitehill
Hamllton
ML3 OLH
REGISTERED CHARITY
NUMBER
SC043033
INDF.PENDENT EXAMINF.R J S Mackie & Co Ltd
8 Douglas Strect
Harnilton
Lanarkshi
ML3 OBP
P&ge I

re
hali"
ers
Aftcr th¢ ncar closurc of Whitchill N¢ighbourhood Ccntrc last ycllr Childcarc in thc Community continucs to
work towards our three-year business plan to include w)ssible new premis¢s with a new business plan due
out this year.
ChildLare Services
Out of School Care (OSC), has expanded and now has a waiting ]ist and schools that we do not havc the
capacity to pick up from as yet. Any future premiges will look to take this into account.
Nursery have continued to develop our outside space for the nur8ery giving the children more space and
introducing gr¢¢n space, which h&s a rang¢ of benefits for th¢ children. They can now spcnd more titne
oiitdoors, enabling thein to increase thc number of activities and cxpcrien¢es they havc. which aligns With
Care Insp¢ctornte and Scottish Govcrnmcnt guidancc and may attract morc busincss and funding for our
5¢rvi¢¢.
Mobilc Crcihc ihc mobilc crcchc scrvicL continucs to slowly incrcMc. Thcrc is Still somc unLCrtaiiity
around how far demand will build up.
Training Centre we continue to seek further timding for the Ihining Centre and develop a Childcare
Training Academy rnodel.
Page ?

deare l Tho
uni
Tlie ttustees present their report with the financi81 statements of the charity for the year ended
31 March 2025. The trustees have adopted the provisions of Accounting and Reporting, by Charitie8:
Statement of Recummended Practice applicable lo churities preparing their accounls in accurdance with th¢
Financial Rc.￿rting Standard applicablL iJ] thL UK und Republic uf IrLland (FRS 102) (effebtivc l January
2019}.
OWECTIVES AND ACTIVITIES
Objectlves and alms
OUT aims
WoTk closely with par¢nts/carcrs and encourdgPC tli¢ dcvLI()pincnt of thciT child.
To pi'ovidc a safc, sccurc cnvironmcnt for childrcn trj participatc in sclf-diwctcd play.
To encoiira&Ne and develop new skills
We aini lo nidke ihc niosl ofour oul¥id¢ ¥pac¢, togeiher wilh local place8 of inleresl
To cn%urc all LhildLare staff arc qualifjcd to a high sland&rd.
Our objectiveq
To thke A￿oUnt of each child'4 individual needs, respecting their own routines and interests.
To encourage Lhildr¢n't> partiLipation in all urcas of th¢ iurri¢ulum
lislcning to what childrcn havc to say and valuing their rights.
To develop each child's individual skills and knowledge, encouraging them to reach their full potential.
TL) work as partncrs with parent￿Carer8 in ￿1 open and honest way, respecting th￿ they are experL8 in thcir
own children,
To IidvL an involvcmL'nt with thc IoLal cummunity and lo (cuLh IhL' childrLn lo rcsp(%¢ ihLiT bU￿vund1ng% and
cnvironmcnt
To maintain safe working procedure.s amongst staff and children
to U8e outdoor spaces to enable the children to experience risk and survival ski115 in a controlled
environmenl.
To support SVQ training, lo &'v¢lop skills and Confidcncc in aspects of Lhilikare.
P￿ie 3

dear
nThe
muni
FINANCIAL REVIEW
Financlal position
Childcarc In Th¢ Community's financial pcrforniancc thi8 year rc8ultcd in thc turnoycr of thc
orgaiiisation incrcasing once again enabling us to sustain a small profit,
This enables the organisation lo ineet the demands ()f the contiiiued increases in pcnsions and national
insuranL'e contributions. puy struC￿rth dnd huurly rates as well as the inLrease demand on the organisations
othcr ovLrhLads and Tur￿1n¥ cost5 to ensure our f￿an¥la1 sustsinability.
Childcare In The c.ommunity continues to develop the childcaTC scrvices tri meet the demand of service iiscrs
to eilsui'e the financial viability and the future ot.the organisation.
ur conlinued partnership wilh South Lanarkshir¢ Council in providing nursery provision for the 2 lo 5 year
old childr¢n has hugely contributed towardq the incomc generated in this financial year foi. the organisalion.
Thc purchasc of thc mini-buts has cn#bl¢d us to cxtcnd our childcaL' S¢lVl¢LS Out with tho local coininunity
which again ha.s in¢rctLscd dcrnand and rcsulicd in additional incomc in ihis financial ycar.
Tlic Mobile Creclie Service whilst the demand has increased durinEi this f￿ancIal year it is an area that the
Board will prioritilie to idenlify iiew opporlunilie% and developmenl?i lo en8Lire ilb buLce?ib and 8ustaindbility.
Thc Training Acudcmy &gain, during thi¥ pcriod hu(1 limitcd scop¢ for new incomc gcncratcd.
Thercfore, the Board will continuc to explorc Ènd identify crcativc and flcxiblc opportunities to enablc thc
Training Academy to improve on its financial position to eThqure it continues to contribute to the
orgaiiisation'8 flliancial viability.
Diirii]g Ihi4 fin&￿e1a1 yeai. C'hild¢are In The Communily has been able to secure exteriial funding from'.-
South Ltuwk.81)irc CounLiI P&rtiLipatory Grunt
South Lanarkshire Council Playscheinc Grant
South Lanarkshire Council Voluntary Organisation (ifdnl
Hugh FTrLs¢r Foundalion
Rosy & Liddell
JH Civil EnginL'6ring
Cash For Kid8
The external fundins enables us to continue to irnpmve (Jur .service delivery and help buy much needed
equipment and re.%ource4. This yearf% funding will enable new developinenls to include the Summer Holiduy
Cunip providing n¢w opportuniti¢s und cxpbiiini¥s for thc. ¢hildrin in our surviLtiS,
FUTURE PLANS
The Board will closely monitor and review the fmancial position implementing any changFe5 #nd new
developmen1% io meet the demand and exigencies of our service lo en%ure ihe financial viability of the
organisalion.
Wc will continuc to work with partners to explore and idcntity new opp()rtunities' fur our LhildLarc scrviLCS
and training acddcmy to gcncratc ncw incom¢ to continuc thc suc¢¢ss of thc organisation dnd its
sustainability.
We will continue lo be crealive and innovative in our delivery of provision and ensure we maximise oiir
flexibility of our scrviccs to mcct thc needs of parents and carcTS.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The charity is controlled by its governing document is now registered with OSCR as a Scottish
Charitable Incoryxlrated Organisation.
Risk management
Tki¢ Irustils hilVC a duty to id¢ntify and rLvicw the ri¥ks to whiLh tlic charity is L'xposcd and to cn5urL
approprialc controls arc in placc to providL rcasonablc at>surancc against fraud and crror.
Page 4

hildear
ste
Approved by ordff of the board of trustees on 8 September 2025 and signed on its behalfby:
Pagc 5

ILde endent Eyiminerls Re
he Tri
I rL'port on the aLcounts for th¢ year ended I l March 2025 sct out on pages %evcn to slventecn.
Respective responsibilities of trustees and ex#miner
The charity's tn￿te¢S ait responsible for the preparation of the accounts in accordanc¢ with the temis of the
chI￿LIAeS l￿d T￿stee Inve5tnicnt (Scotland) Act 2005 and the C,harities Account8 (Scotland) Regulations
2006 (as amended). The charity's trustees consider that the audit requirement of Regulation 10( I ){a) tu (c) uf
thL' ALLounts Rbgulatioiis (k)es not apply. It is iny responsibility to cxaminc the accounts &8 requircd undcr
Section 44(1)(c} of the Act and to stafr whether partAcular n]atters bave come to my attention.
Basls of the Independent exgmlner's report
My examinalion w&% carried oul in accordance with Regulation I l of the Charities Account8 (Scotland)
Regulalions 2006. An cxaminaiion inLlude8 a review of the acLounting ircords kept by the Lharity and a
coinparison of tk accounts presented with those records. It also includes considcration of any unusual iterns
or disclosurcs in the accounts, and s¢cking ¢xplanation5 from you as trustces conccrning any such matt¢rs.
The proc¢dur¢s und¢rtakcn do not provide all the ¢vid¢nce that would b¢ required in an audit, And
cons¢qucnily I do nol audil opinion on the view g)iv¢n by the d(￿UnIS.
Independent examlner's itatcmcnt
In connection wilh iny cxainination, no mattcr has come to my attention .
( l) which gives me reasonable cause to believe that, in any material respec( the requirements
to k¢LT) ￿COUntIng r¢Lord8 in aLLordance with Sc￿lon 44(1)(a) of diL 2{￿5 Alt and RL'gulation 4 of thL'
2006 Accounts Regulations; and
to prepare accounts which accord with the accounting records and to Comply with Rcgulation ll of the
2006 Accounts Rebiulalions
have nol bL￿n rnLt; or
(2) to which. in my opinion, attention should be drawn in order to enable a proper Lmderstanding of the
accounts to be reached.
J S Mackic & Co Ltd
8 Douglas Street
Hamilton
Lanatl(.shire
ML30BP
Page 6

CbLldea 'e In The
ommuni
2025
Tolal
funds
2024
Tutal
fiJnd8
Unrcstri¢t¢d Rcstrictcd
fimds
funds
Notcs
INCOME AND ENDOWMENTS FROM
Donations and legacies
941
8,946
9.887
23.861
Charitable Actlvltles
Childcarc
381,691
381,691
349,743
Other ts?ding activities
Investment income
4,423
360
4,423
360
3,883
Total
387.415
8.946
396J61
377,487
EXPENDITURE ON
Raising funds
326
326
352
Charithble aetlvltlcs
Childcare
3SO,758
J,845
354,603
353.792
Ciovcniance co&ls
9221
9221
6,283
Total
360,305
3,845
364,150
360.427
NETTNCOME
27,110
5,101
32.211
17.060
RECOIYCILIATION OF FUNDS
Total funds brought forward
243J60
2221
245,$8J
228,521
TOTAL FUNDS CARRIED FORWARD
27Tr.470
7J22
277.792
245,581
The notes forni part of these financial staiemenls
Page 7

Ilde
InTh
2025
Total
funds
2024
Total
funds
Unresrtricted Restricted
funds
fi￿ds.
Notes
FIXED ASSETS
Tangible assets
14524
14,524
18,666
CURRENT ASSETS
Debtors
Cash at bank and in hand
9,593
265,230
9,593
272,S52
5,701
238,064
7,322
274,823
7,322
281145
243,765
CREDITORS
Amounts falling due wiihin one year
{1&877)
(1&877)
(16.850)
NET CURRENT ASSETS
255,946
7J22
263,268
226,915
TOTAL ASSETS CURREiYr
LIABILITIES
270,470
7,322
277,792
245,581
NET ASSETS
270,470
7J22
277,792
245,581
The noles fonn part of these financial stalemenls
Page 8
continuc(L..

mllni
FUNDS
UnrLstt'ictcd funds:
Gcncral fund
South Lanarkshirc Council
Centrica
10
270,470
240,1&)
1,200
2.000
270.470
243.360
Restricted funds:
Cash for Kids
Hugh Fraser Foundation
South Lanakrshire Council Voluntary
Org&nisation
H Civil Engineering
IJOl
3,00
1,721
2.221
iJoo
7J22
1221
TOTAL FUNDS
277.792
245,581
The financial stateiDcnts were approved by the Board of Trustc¢s and authorised for issuc on
8 September 2025 and were signed on its behalf by:
The notes (Drnl part of these financial blatemenls
Page 9

The
ACCOUNTING POLICIES
BY4sis of preparing the financial statemenls
The finan¢ial slatemenls of the charity, whiLh is a public benefit entity u￿ler FRS 102, have been
prepared in accordance with the Charilies SORP (FRS 102) 'Accounting and Reporting by Charities..
Statement of Recommended Prdctice applicable to charili&s preparing their accounLs in accordance
with the Fin4inLial Reporting Standard appliLable in the UK and RepubliL of Ireland (FRS 102)
(effective l January 2019),, binancial Reporting Standard 102 'The binancial Reporting Standard
appjicable in tli¢ UK and Rcpublic of Ireland, and the Clwities and Tn)stee Invesinient (Scotland) Act
2005. Tlie financial Statements have been pi'epared under the hi.storical cost convention.
Inconic
All inLuii)L is rLLogmisLd in ihL StatLIMLnl uf FinanLi<il ALliviliLb onLL thL Lhurity hds cntiilcinLnt lo
thc fund&. it is probablc that thc incomc will bc r￿Cly¢d and th¢ amount can bc mcasurcd rcliably.
Expendlture
LiabilAlie¥ are recognised as expendilure as soon as there is a le881 or conslructive obligalion
Lommirtliig thc uh￿'ity tu tliat cxpcnditurc, it is probablc that a transfer of L'LonomiL bLncfits will bc
required in settlement and the amount of th¢ obligation Can be measurcd reliably. Expenditure is
accounted for on an accruals basis and has bccn classified undcr headings Ilmt aggregatc all cost
relaled to the category. Wliere costs cannot be directly attributed to particular headings they have
been alloLaled to aclivilles on a basis LOiiSii+l¢iii with th¢ use ol. rc¥uurces.
Tanglble flled &$sets
r)cprcciation is provided at the following annual rdtes in order to writc off each asset over ils
estimated usetiil lite.
Play and nursery equipment
Motor V¥hiclcs
otyicc cquipmcnt
2(P/o on cosl
250/0 on rcduLing balanc
25 % on cost
Taxatlon
The charity is exempt from tax on ils charitable activities.
Fund 4ccountlng
UnrebtriltL￿ fund￿5 lrtin ￿(d in ac¢ordanL¢ with th¢ charitabl¥ objr¢tiv¢ti at th¥ dib¢rLtion of th¥
trustccs
Restricted funds can only be used for particular restricted purposes within the objects of the charity.
Re$lricLions arise when %pecified by the donor or wh¢n funds ate railed for particular reslricled
piirposcs.
Furthcr cxplanation of the nature and purpose of each fund is included in the notes to the financial
statements.
Hlre purchase and legslng commltments
Rcntsls paid undcr oplrnting I¢￿3 are charged to the Statcment of Financial Activitics on a str&ight
linc basis ovcr th¢ pcriod of thc Icasc.
Penslvn costs and other post-retlrement beneflts
The charity operates a defined contribuiion pension .scheme. Contributions payable lo ihe charity'8
pension qcheme are Charged io Ihe Slalemenl of Financial AcliviliGs in the peri￿ lo which they
rclatc.
Pag¥ 10
continucd.-

ildcAre In T
uni
OTHER TRADING ACTIVITIES
2025
TotAI
funds
2024
Total
funds
UnrestriLtcd
funds
Rcstrictcd
funds
Fundraislng events
TraAnin8
277
4,146
277
4,146
1,874
2,009
4,423
4,423
3,883
INVESTMENT INCOME
2025
TotAI
fund$
2024
Total
funds
UnrcstTiCtcd Rcstricted
funds
funds
Deposit account intcrcst
360
360
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for thv year ended 31 March 2025 nor for the
ycar Lnded 31 Marcli 2024.
Trustee8' exptnsei
There were no trustees, eX￿nSe$ Paid for the year ended 31 March 2025 nor for the year ended
31 March 2024.
STAFF COSTS
2025
2024
Wages and salaries
Social SLLUTity cos
Other pension Losts
287,029
14J26
3,960
279,058
13,473
4,2_13
305J15
296,764
The average monthly number of employees during the year was as follows:
2025
27
2024
29
Service Provision
No employtts r¢ceived ¢inoluma]ts in ex¢¢ss of £60,OIN).
Pagcll
continuLd..

ca
COMPARATIVES FOR I'HE STATEMENT OF FINANCIAL ACTIVITIES
Unrcstrictcd Rcstrtctcd
funds
funds
Total
fl￿dS
IliCOME AND ENDOWMENTS FRC)M
Donations and legacies
3,2CK
20.661
23.861
Charltsble activides
Childcarc
349,743
349,743
Othcr tradingi activilics
3.883
3,883
TotAI
356,826
20,661
377,487
EXPENDITURE ON
Raisiiig funds
352
352
Charhtable aftlvllles
Childcare
330,645
23,147
353,792
Govcrnancc cost8
6,283
6,283
Total
337,280
23.147
360,427
NET INCOMEI(EXPENDITURE)
19,546
(2,486)
17.060
RFCO]YCILIATION OF FUNDS
Tvtal fundb bwught forwaril
223.814
4.707
228.521
TOTAL FUL¥DS CARRIED
FORWARD
243,360
2,221
245,5111
Page 12
ontinucd...

dca
om
un
TANGIBLE FIXED ASSETS
Play and
nursery
cquipmcnt
Motor
vel)icles
Office
equipment
Totals
COST
At l April 2024
AddAtions
16J18
22,795
10.019
667
49,132
667
At 31 Ma￿h 2025
16,318
22,795
10,686
49,799
DEPRECIATION
At l April 2024
Charge for yw.
15,755
5.699
4374
9,012
394
30,466
4,809
At 31 March 2025
15,896
9.973
9.406
35,275
NET BOOK VALUE
At 31 March 2025
422
12,822
1.28l)
14,524
At 31 March 2024
563
17,096
1,007
18,666
DEBTORS: AMOUNTS FALLIIYG DUE WITHIN OIYE YEAR
2025
2024
Trade debtors
Prep¢iyments
7,770
1.823
6,227
(526)
9,593
5.701
CREDITURS: AMOUNTS FALLINC DUE WITHIN ONE YEAR
2025
2024
Trade creditorA
Other creditors
139
18,7311
,8X6
14,964
18177
16,850
Page 13
contAnue(L..

ildca
In The
ommuni
10. MOVEMENTIN FUNDS
Nct
movement
in funds
At
3113125
At 114124
Unrestrlcted thnds
General fvnd
South Lanarkshire Coiincil
Centrica
240,160
1,200
2,ODO
30,3JO
(1,2011)
(2,IM)O)
270,470
243 J60
27,110
270,470
Restricted funds
Ca4h for Kids
Hugh fra￿r Foundation
South Lanakrshire Council Volunlary
Organisatioii
J H Civil Fngineering
IJOI
3,000
1JOI
3.000
2,221
(500)
iJoo
1.721
lJOO
2221
5,101
7a22
TOTAL Furyi)s
245.581
32,211
277,792
Nct movcmcnt in funds, includcd in the abovc arc as follows:
Incornin
resvur¢¢s
Resourc08
expended
Movement
in funds
Unrestrlcted funds
Gcncral fund
South L&narkshire Council
Playschcmc
c￿trI
386,475
500
440
(356,165)
(1,700)
(440)
{2,(KKI)
30JI0
(1,2llO)
(2,IM)O)
387,415
(360J05)
27,110
Restrlcted funds
Lash tor Kids
Hugh Fruscr Foundation
South L￿nukr>ihll￿. Council Volunlary
Organisation
J H Civil Eli
1,925
3,000
(624)
1,301
3,000
2321
iJoo
(2,721)
(500)
iJo
in￿ring
(5110)
8,946
(3,845)
5.101
TOTAL FUTrIDS
396J61
(364,150)
32,211
Page 14
continued...

care I
uni
10. MOVEMENT IN FUNDS- eonlinued
ComparAtives for movement in funds
Net
movement
in ￿ndS
At
3113124
At 114ll3
Unrestricted lunds
(ieneral fvnd
Souih Lanark8hir¢ Council
CcntriLa
223,814
16,346
1,200
2,000
240,160
1,200
2,ono
223.814
19,546
243,360
Restrlcled funds
Big Lottery - L',omrnunity Mains Grant
South Lanakrshire Council Voluntary
Oryanisation
4,707
(4.707)
2,221
2,221
4.707
(2,486)
2,221
TOTAL FUNDS
2211,521
17,060
24.5,581
Comparativc nct movcrnent in funds, included in the abovc arc as follows:
Incoming
resource8
Resources
expended
Movement
in funds
Unrestrietcd funds
Genei'al fund
South Lanarkshire CounLil
Centrica
353.626
1,21YJ
2.000
(337,280)
16,346
1,20
2,0(K)
356,826
(337,280)
19.546
Restyicled funds
Big Lottery - Community Mains Grant
SLC Playscheme
The Roberts'on Trust
Hugh Frascr Foundation
South LanakrshiTC Council Voluntary
Organisation
{4,707)
(440)
{ i o.(K)o)
(8,000)
(4.707)
10,o(x)
8,0(K)
2,221
2,221
20,661
(23,147)
(2,48C))
TOTAL FUNDS
377,487
(360,427)
17.060
Pag¢ 15
Lontinued...

ea
10. MOVEMENT IN FUNDS - continued
A ¢urr¢nt year 12 months and prior year 12 months combined position is as follows..
Net
movcmcnt
in funds
At
3113125
At 114123
Unrestrlcted funds
General fund
223,814
46,656
270,470
Re>•tri¢t¢d funds
Cash for Kids
Big Lottcry - Community Mains Grant
Hu&yh Fraser Foundation
South Lanakr,qhire Coiincil Volunlary
Organisatiun
J H Civil Engineering
1,301
(4,707)
3.IK)O
1,301
4.707
3,0(K)
1,721
1.300
1.721
1,300
4,707
2,615
7,322
TOTAL FUND,S
2211,521
49,271
277,792
A current year 12 month8 and prior year 12 months combined net movement in funds, included in the
above are &$ tollowy:
InLomin
resou￿¢8
RcsourL'
expended
Movcmcnt
in fvnds
Unre51rlcted fundj
Gcncrnl fund
Souih L&narksliiie Council
PlaysLheme
Centrica
740,101
1,700
(693,445)
(1,7CK))
(440)
(2,IKK))
46,656
2,000
744241
(697,585)
46,656
Restricted funds
C&sh for Kid.$
Big LK)tlery - CO￿￿]Unity M¥dins Grant
SLC Playschcme
The Robertson Trust
Hugh Fraser Foundation
South Lanakrshire Council Voluntsry
Organisation
J 14 Civil F..ii
1,925
(624)
(4,707)
(440)
(10,(M)O)
(8,(M)Q)
1,30)
(4,707)
440
10.o(K)
I I,o(x)
3,000
4,442
1,300
5(K)
(2,721)
1,721
1.300
ineering
(500)
29,607
(26,992)
2,615
TOTAL FUNDS
773,848
{724,577)
49,271
Page 16
continucd...

ca
the Fiiiancial Slat¢m¢n
ntin
11. RELATED PARTY DISCLOSURLS
Th¢re were no related party tA￿SactiOnS for the year ended 31 March 2025.
Pagc 17

£biLdcai'e In
mun
2025
2024
INCOME AND ENDOWMENTS
Donatlons and legacles
Cjrants
9,887
23,861
Other tradlng activltles
Fundrnising cvents
Training
277
4,146
1,874
2,009
4.423
3,883
Inve8tment Income
Deposit account intcrcst
360
Chrdrlt&ble actlvllles
Childcarc fc¢s
381,691
349,743
Total Incomlng resourees
396,361
377,487
EXPENDITURE
Other trading oetivilies
Bad debis
326
352
ChYdrlt&ble actlvltles
Wages
Social security
Pensions
Rent
Insuran¢e
Telephon¢
Postage and stationery
Advertising
Sundries
Staff & volunteer travel
Equipmcnt and Matcrials
Cliildren's activitiesloutings
Children's calering
Training Lentre Wages
Subscriptions
Motor expenses
287,029
J4J26
3.960
9,501
2,845
1.042
661
432
¥7¥
2,923
3A92
lJ32
ioJii
111.536
2.479
2.646
279,058
13,473
4,233
9,131)
2,71)4
1,050
710
288
1,482
3,127
3,796
3,787
9,857
12,084
745
4,264
354,493
349,788
This page does not forni part of the statutory fu￿lie1a1 statements
PagL 18

de*re In
ommuni
neial Aetivi
l March 2025
riorTh Year F.nd d
2025
2024
Support costs
Informatlon te¢bnology
Repairs and renewals
110
GovernAnee costs
Accountancy and legal fees
Professional fees
Plant and machinery
Motor vehiclea
Comput¢r equipment
1,140
3272
141
4,274
394
1,2(XJ
2,864
188
336
9,221
10,287
Total rcsourccs expended
364,150
360,427
Net In¢om¢
32,211
17,060
This page does not fonn part of th¢ ststutory flljancial Statemfflts
Pagc 19