REGISTERED COMPANY NUMBER: SC043457 (Scotland)
RECISTERED CHARITY NUMBER: OOIWI
Trys
U4•wdlt¢d FIn*￿￿al_s1*1eM¢￿ts
For The Ye8r E•dwJ 31* Octfjbw 1021
J S Mackic & Co Ltd
8 tknugjas SirL
IAnark&'hi
ML3 OBP

Conltnts of the Tr7naDclxl Stsiernents
Fgr I'ht Ytgr bnd¢d 3151 U¢iobtr 2U21
Report tsfltst TTWtttJ
Indtptndtttt Examlry¢r'$ Report
SIAlement •fFknatt¢lal Adlvlt
B*l*rte¢ Shtrt
Note5 to the FinAD¢l*l Statements
6 to 13
D¢tIll￿ Slitemo*t of Flth•nrl*J Artlvllks
14 10 15

B¢porl of Ih.¢.TrystQ¢5
ForThe Voar Endod 31st Odober 2021
Th¢ trustrts who a￿ also of the chaTily for the pu4K￿ ofthe CAxnpatiies Ad 2Wkn. preseni thcir rewi wtth the
rin2nei21 giaiements of ihe ch2ri1y for Ihe year 31￿ Oclotr*r 2021. The tnJsiee5 have adopied the provisions or
AccounliTU4 and RePDrtln￿ by ChaTilies.' S&iemethi of ReCommet¥J￿ Prndice applicable ￿ chariljes prcparinb their ae£outti%
in acwrthce wilh the Fitiaticial Re￿￿1￿6 S&wA8¥d applicable in thc UK attd Rq￿lIC of Ireland IFRS 1021 (effcdive I
Jartuw 20191.
STRUCTURE. GOVERNANCE AND MANAGEMENr
Gov¢rnlng document
The charity L5 conlrollcd by its governing dL￿u￿ a thcd oftswl ar¥J conailu*S a limiityj company. limiityj by guarantee.
d¢fJn¢d by the CompaDieS Acl 21￿.
REFERENCE AND ADMINi%fRATIVE DETAIIS
R¢gt5t¢r¢d CompAny nyD)b¢r
SC043457 IScviJan(Jl
R¢gisi¢red Ch*rlty numb¢r
UY41
Registered
Unil 40, Founthin Elusir￿ Ccntrc
Elli% sir¥￿.1
Coaibrid&
L¥naTk%hire
ML5 3AA
TriiA¢ee4
Ctsnipuny SL'LfLthry
Ind¢
rndent F4Agmlner
J S Mackie & Co Ltd
8 DouBlos S¢rL
Hamilion
Lttnarkshire
ML3 OBP
Approved by ord¢r of the tx)ordof tru5¢e¢son 15th July 2022 aThJ wd on its bchalf by..

IDthJp.jMleDt EAarninePs Report to th¢ Trntfe5_ol
Dcaf Smpicu iaTrirk5hi
l Tewrt on the accounts forthe year¢nda 31￿ 2021 set out on pages th[￿ ￿ thir￿UL
Respective re5ponsibilitles of trnstees *thd ey*tykner
The chariiy's Irusic¢s are rcsponsiblc for thc PT¢Pgraiion of thc a¢￿U￿￿ in accord￿ wÉth th¢ tLYTtLS of thc Charitics and
Trus1¢¢ IJ]vcxtmLryJI IS¢oilandl Act 21K)5 atld thL. Charities Aecounls (Scoilandl Regulations 21X)6 las amcndedl. The charily's
m￿¢¢$ considcr that thc awtil requ￿￿eTht of Rcguialion I￿1xa) lo (c) of thc Accounts Reguiaiions doBs I￿( apply. It is my
rcsponsibility lo examine the accO￿ts requirtyj Sedion 44(IX¢) of Aci and ￿ sthte wh¢th¢r parti¢ular nwtter5
have comc lo my attcniion.
of the Independent ex4mineVs Teport
My cxdminaiivn Larried in aL¢or(lat)te with ReBulaiM￿ I l of the Charities ACCO￿ IScot]andl Rcgulations 2￿)6.
An ¥Aamination ¢n¢lud¢s a r¢v¢¢w of thc x¢oynling r¢¢ords kw by th¢ ¢h4Tity and o w)wari50D of thc 8¢¢ounls PTC5cntcd
with th0sC T￿ords. It alw in¢lud¢s consid¢￿tIon of w wh￿$v47 tt¢ms or dis¢losurt5 in th¢ a¢¢ouots. and secking
cxplllnuiions from you as trusttts conc¢rniThg any such mallcr5. Thc pr￿l￿r¢S Und￿￿cTr do PTovidc all thc evidence
thai would be required in an audiL artd Conseq￿￿1]Y I do expr￿ 8n audit ryinion on the view given by the accounts.
Independent exAmIne￿5 ststement
In conn¢clion with my exuminaiion, no m¥tt&Yh•s¢om¢ w myowi¢Mm'.
111 which givtt me ttasonabk ¢awe ￿ ￿lieVe thaL in any materi&l re4)ttL the rwbrcmertts
lo keep acc(A]ntin8 recorth in aCc(￿￿nCe with 44IIXa) of t￿ 2(MJ5 Act ond Regulation 4 of the 2(K)6
Accounis ReBulRiions: and
10 pr¢pnrL ocEouni$ whi¢h 4¢¢0rd with the wnd to ¢omply with Rcgutati¢Jn 8 of Ihe 2￿6 Accounts
Re8ulalions
Th)1 bxn mct; or
121 to which. in my opinion. altcntion should dTawn order to Lwblc a prrpy understat)din8 of th¢ o¢¢ounts to
rtsched.
CIMA
J5M￿k1e&e0L
X DouglJ% Str¢¢t
Hamilion
Lanarkshire
ML3 OBP
15th July 2022
Pa￿2

Sts$¢￿ent ofFIDanci*l A¢tlvltles
ForTht Ytar Ertdtd 31si Odober 2021
2021
Total
fuads
2020
Total
fun
INCOME AND ENDOWMENTS FROM
Donation% and Icwies
25
23,02S
56,407
Other tslldiThg activities
83h40
132.938
Toi41
89.665
10(665
189.345
EXPENDITURE ON
Raising fund5
5U42
69.955
Ch#rlt*ble gctllltles
Ch8ritable A¢tiviii¢s
63.151
YS942
79,093
87,932
Tot*1
J IS193
19.900
13&093
157.887
NET INC0MEJ￿XP￿NDITURE)
(W28)
(L9fy1)
(28,428)
31.458
RECONCILIATION OF FUNDS
Tolal funds brought fonvard
167819
37368
205.m
176.237
TOTAL FUNDS CARRIED FORWARD
142281
34J68
176,649
207,695

B*knts¢e Sheet
31st Ortobtr 2021
2021
2020
Totsl
funds
Totgl
funds
No
FIXED ASSETS
Tanbiible d4%el
2,971
CURRENT ASSETS
Debtors
Cash al bank arvj in hthd
31*57
117.732
31 J57
J$2,1(N)
18.099
190,297
149J89
183,957
208,396
CREDITORS
Amowb15 folling duc within yeNr
io
(12.792)
{12.7921
16290)
NET CURRENT A&Sm
13ATr7
171,165
202.IV
'I'OTAL A.%8LTS LE&8 CURRENT
LIABILITIES
I39.￿7
17JJ95
205.077
NET ￿￿￿ET8
IYJ027
173J95
205.077
FUNDS
Unresiricl¢d futm
Resiricted fund•
139,027
34J68
167,8
37.268
TOTAL FUNDS
173J95
205.077
The chllritable comp8ny i¥ ¢n¢itle4J to cxtyirn frorn Wmlit Section 477 of the c{Anr•nÉ￿ Ad 2WJ6 for thc ycar cndcd
3 Isi Oclobcr 2021.
The members have not Yequired the ¢omwy io ￿￿1n an I￿411 of its finarKial swements for the yellT ended
31st (kiolxr 2021 in x¢ord•rK¢ with &ClI￿ 476 of Ihe Companie5 kn 2(￿.
Th¢ trus1￿ #cknowlcdgc Ihcir rc5P)TL81bilities for
¢JL*uring that ih¢ GharitRbl¢ cryy key accountin8 rttorth ¢¢*￿]Y with &ctions 386 and 387 of th¢
CoinpJnic4 21K)6
preparing firtancial %laierncnls which givc a and fair viuv orth¢ smie of Blhir5 ofthc charitable cotnpany us ui
th¢ £rMi of 1￿Ch financial ycar of it5 SUTplus or ¢kfKii for ￿ch financial year in accotdance wtth th¢ rcquiTmLnts
of Sections 394 and 395 and which othrn¥l￿ comply wilh thc of the CompAni¢s Aa 2￿& relaiing ts)
rinanci81 sthi¢tn¢nt& 50 faT &sapplt¢abie ￿ thechari¢xblecompany.
{bl
ontinucd...

Balance Sheer- continued
31st October 2021
These financia] statem￿ts hve been prepared in ￿t￿dan￿ with th¢ FKDVISI(￿ appli¢abk to charitable companies subje¢t
to th¢ Small Gornpani¢s r¢gitD¢.
Thc financiaj statenKnts were 8prKoved by th BrAfd o(TnL$￿ auIknri￿ r(K i&sue ¢)th 15th July 2022 WKi wcrc signed
on its ithlf by..
The th)te5 forni part of fjnancial sw*men¢s
Pa8e 5

Deaf Servke5 Lan8rkshire
Notesto the Finyncial StattmeDts
ForTh¢ Y￿r ETrd¢d 31$t Odobcr 2021
NOTES
F.lectricity ¢￿t4. fvll electrictybill was not receivduThtil Febnw ￿1 hrnce Ihe rethced COSL
WHSMITHS. soufEK & MORRISONS - Fuud5 at¢ ￿ill to aL*tvilies w¢r¢ pul on hold dy¢ to Iithown
Tuk¥. Th¢s¢ aclivili¢s atr ¢¥p￿te¢] lo bc delivcred in 2021.
NLC 18 19 ftsnd was not fully the IT Yole thot fidfilltd a*platwl aNI NLC of thi5.
ACCOUNTING POLICIES
Bxsls of preparlnx tht Iln*thtl*l 5t*teme#ts
TliL fil￿17claI SthlLmLnts of IIK. LhdTithbk' whith is • wblir ￿nEfIt cntiiy undcr FRS 102. have been
prLyJrcd in accordance with th Choriiies SORP IFRS 102) 'AccwJiing atKi Re￿￿ill￿ by churi11￿." StaLJncnl ur
Rccoinmendcd Praclicc applKabie ts) Charities prqbsnn8 Iheir aCcO￿ts in ¥LW(kn wilh th¢ Financial Rel￿1n8
Stdndard applicabl¢ irt the UK and Rqwblic of Ir¢knd IFRS 1021 {effe¢tive l January 20191.. Fin8nct&l Re￿rtirtg
Stsndtyrd 102 Thc Filw￿la] Rcw)rtin8 Slandord applicoblc in tlK UK and Rcpublit of Ir¢lortd' and th¢ CompAni¢5
Aci 2(K)6. Thc fItw￿l￿[ sthtem¢t)ts hov¢ pr¢wd hi4￿rical cosl convcnlion.
Income
All ineoTne is TeeoBllised in thc Sw¢m¢ni of Fin￿￿1•1 Acuwii¢s onct the cheriry h&4 entitlement to th¢ fun(Ls. it is
pro￿ble that thc income will bc received gnd 8mrAmi can ￿]￿ly.
Expondltur¢
Liabklitl¢s arc rttognbxd os expendittre as 88 thu¢ is • i¢yl (* Obli￿tIOn committinB the charity
ihat cxpcndi¢urc, li is probable that a tr￿$[¢￿ Or¢¢0￿MI¢ b¢n¢fits will bc rcquird in sciilcmcni and ihe 8rnI)unt
of the obli8llion be measured rcliably. ExrKTh4iture is account￿ for on an a¢¢n￿lS basis and has been cl&%sifi¢d
undcr headin¥¥ Ihai a8gre8aie all cost r¢iaied 10 Ibe ¢a*g¢)ry. Whcrc costs canrmm be direcily aiiribuied ￿ particulfir
heftdings Iky have Ixen th1k￿ed 10 actiTrritiesw a bLsts c(wIs￿l with the useof It5￿[C￿.
D¢prccialion is Provided at the followin88nn￿l rni¢s ity o¥d¢r ￿ wrtc otf each 85¥et over ity ¢Mimate4 useful lifc.
TAxatlon
The charity is ex¢mN from corpmtion ￿ ott 1tsch8ritab1e￿IVl1ie&
Fund aceounllni
UnT¥Etri¢l¢d funds Can be used with thc cbaritabte (4'ectivgsg1 th¢ dis¢￿10[1 of thc iru51ce&
Ro%triclcd fund5 only be used for particular restric￿1 within the object5 tsf thc rlwily. Rcslriaions
arisc when specified by the doN)ror whu) arc raised forp811￿18rty￿riG￿J PU￿OSC5.
Furthw¢xplgnalion of the nfyture tsTklpupLW of cKh fimd is irKltykd in E)Dtcs to thc finarKial 51atun¢n¢8.
Hlre purclwe le*sI￿g eommhmtnts
Rcnlals paid 0￿41¢￿8 I¢￿ char8al to of FinarKtal Activitk* ort a sts4ighi linc basis over
thc pcriud of the le&%e.
Pen51on cost$ #nd tsther pDst-retirement btnellts
Thc ch8ntsblc company o]mtts a defincd wntribulion Fo￿lon Kknne. Contritrfrtions payablc to thc clwritabl¢
Compan￿9 petk8iOrt Scheme aTr • to thc Statrmutt OfFina￿lI1 Activitics in to whtch tw r¢lato
Page 6
coniinued...

l%.otoJo_the Statemoots- ¢QD¢lmue
ForThe Ye*r Ended 31s1 (klobtr 2021
(yrHER TRADING ACmqTILS
2020
Intetpreterservilx
Studethi f¢es
76.819
82J
98.545
34,393
83h40
132.938
IYET TNCOMFJ(EXPENDITURE)
Net incomel(ext*ndihJre} is sw¢d oft¢r¢hryingl(¢t¢ditsnBI:
2021
2020
Dcpr¢ciation. owned assets
HIT¢ of plant ar*J machinery
Rent
741
991
553
11277
12J02
TRUSTEES, REMUNERATION AND BENEFITS
Th¢r¢ w¢r¢ no ¢nu*¢s' rcmurKrntion or othu benef￿ for ye*r 31￿ Octokn 2021 for the yejr ended
31sl Ocwber 2020.
Try$t￿, ex￿nI
21)ZJ
2020
TTUStCC5' ¢xrrtns¢s
STAFF COSTS
Thc dvcragc monthly numberof employcc8durin8 theyearwas &8 followJ:
2020
Av¢rng¢ ¢bumb¢r of 5tstrcmploy
No ¢mployec5 re¢eivedenKJluments in ￿¢¢550r £￿.(￿A).
Continu￿1...

De*f Servltts IA•Ark%hlre
Notes to the financAal Stxt¢rn¢Thts- ¢ontinue4
For The Year Ended 315t OttobeT 21121
COMPARATJVFS FOR THE STATEME1￿ OF FINANCIAL Acr1V￿l￿S
Un￿StriCt￿l
futyj
Restriewl
fvtyjs
TotAI
funds
INCOME AND bNDOWMENTS FROM
Donaiions and legacies
27.116
29.291
56.407
Other trading activities
132.938
132.938
Total
IdJ.054
29291
189,345
EXPV.P4DITURE OP4
Rai4ing fund5
51.926
1¥,029
69.955
Chkrltabl¢ A¢thltl
Charitsble Activilie5
53.438
34,494
87,932
Total
105J64
52,51
157.887
NET INCOMEY(EXPEIYDITURE)
(232321
31,458
RECONCILIATION OF FUNDS
Total fun(L4 bmu8hi forward
115.738
00.499
176237
TOTAL FUNDS CARRtgD FORWARD
170.428
37,267
207,695
TANCIBLE FIXED ASSETS
Fixiur¢%
Plani ￿￿j
hinery
Computer
rittit
To¢818
COST
Ai 151 Novcmbcr 2020and 31st ￿¢ber￿21
218
L146
DEPRECIATION
Al Isi Novembgr 2020
Charge for year
126
127
3.122
673
3J75
741
A¢ 31￿ (knoPrtr2021
171
4,116
NET BOOK VALUE
Ai 3151 (ktolKr 2021
137
2.025
At 31st October 2020
182
91
2.698
2,971
Page 8
contitiu&..

Notes to the fin*thclal StatEmen15-
For The Y￿r Ended 31$¢ Octdv 2021
DEBTORS: AMOUNfs FALLING DUE WITHIN ONE YEAR
2021
2020
Trnde dcbtors
SO¢￿1 and otl*r tsx
29J17
l54
14.408
3,691
31157
18.099
10.
CREDITnRS: AMOUP4TS FALLINC. DUE WftHIN ONE YEAR
2(121
2020
VAT
9.70]
731
2J60
3.496
434
2J60
OihLr crcdilor5
Attrued cxpthjsts
12.792
6.2rA)
MOVEMEPry IN FUNDS
Na
Al
iii Ir20
Ai
31111)Ql
in filnds
Unrestrlcted funth
General bjt
167W9
(2&782)
139.1127
Re5¢Tlrted funds
North tAnJrk¥hirc Council
Tc%cu- Hllril ofHearin8
Co-op
North IANrkshire COU￿71 BSL Trainin8
CrnfL4. Ilarpcr MacLeod
WHSMITHS
SEf.Hf.AR
SOUTER
MOKRISONS
North Lwrwkshire CowKil FWMI
SJ74
17.0(K)
2711
726
270
726
11958)
147
147
200
{527>
3¥52
3,552
(3.789)
37.268
(2,9W)
34J68
TOTAL FUNDS
131h82)
173J95
Page 9
conlinlle4L..

tMf:S¢rv.l¢rt1thtt4rkslklr
Plotes to tht fioancial Stat¢mtDts- Continued
For The Year Ended 315t October 2021
MOVEMEf4T IN FUNDS- Contin￿ed
Net TrM>vement in fvN15. irKlutsJ in t￿al￿eare￿* fdlo
ItKo]ning
Resourcc5
Movcmcnl
in funds
Unrestrleted
General fttnd
(IIV47}
{2&782)
RoitA¢ted funds
Nonh Lanarkshtrc Council
North tAn8rkshirc Coyn¢il BSL Trnining
(11.626)
(3,958)
(527)
SJ74
{3,9581
(5271
SEEHEAR
North L4nat*shir¢ C¢)wwil Fw
13.789)
13.7891
{19,9(Kl)
I2.9￿)
TOTAL FUNDS
106,665
(13&347)
131,682)
Comp•radv¢s for movemtmt In funds
Ne¢
mov¢m¢nt
in fvnds
At
At
31110120
Unrestrlrted f￿ndS
CJLnerdl fund
115.738
52.071
167.809
Re51rfcled f￿ndS
BICT LOThERY
North Lanarkshire COW￿17
T¢Ko- Ilard of Ilcarin8
Co•p
North LAnarkshir¢ C￿￿•1 Trainin8
Grcgg5 Foundaiion KeLT Fil
Ctafls-
WHSMITHS
SEEHEAR
SOUTER
MORRISONS
North Lan4LTkshiTe CoLThiI Futml
31,468
16243
131,4681
(4,6171
270
11.4691
11.626
270
726
3.938
1195
9.119
1,134
147
200
12.(MK)
21H)
12,(X)O
3.552
3.552
3.789
3,789
fAI.41F)
(23,2311
37.268
TOTAL FUNDS
176237
28.840
205.077
Pa8t io
conlinued...

De*f Servltts IA•arkshlre
Not￿ tTr the Fin*D¢ial StaterneThts- continuej.
ForTht Ytar Ended 31st Odober 2021
MOVEMENf IN FUNDS- tothtinued
CnMpat#tive TW nw)venwt in in theol*wew¢ &* follo*K'
Incoming
Rc50urces
Movcmcni
in funds
Unrestricted funds
Liencrnl fund
100.054
(107.983)
52,071
Restritted funds
BIG LOTTERY
Nurth LuwkshiT¢ Council
TL￿O- Hardof H¢arin8
cO￿P
North LanaTkshiTe Council BSL TY8inin8
Greggs Foundation Kttp Fit
Cr4fts- H￿r￿r Ma¢Lecd
WHSMTTHS
SF.EHEAR
SOUTER
MORRISONS
North LAn4rk5hireCouKil Pund
(31.468)
{4.017)
(41101
(1,4691
131.468)
14.617)
270
11.469)
750
(1,1341
{193)
2(KJ
18.(KKII
12.000
I,¢M)O
3552
3.552
3.789
3,789
29291
(52.522)
1232311
TOTAL FUNDS
189.345
(160.505)
211.840
Pa8eii
(￿(in￿ed...

Note5 tts tht financial Statements- eoDtinued
ForTht Year Kndtd 31st October 2021
MOVEMEwf Ip4 FUNDS- tontillued
A CUTrent year 12 T1¥)n￿ and pMrye*r 12 nthth%umbitKd p)sibon is¥ follows:
Ncl
mov¢m¢
in futhls
Ai
Ai
Unre5tri¢ted fwTrd¥
Gcnernl fund
115.738
23289
139,027
R¢5trirted funds
BIG LO￿ERy
North Lanark5hire Council
Te￿O- Hard of Hearing
CO-OP
North LanaTkshire CourKil BSL Trninin8
Gr¢ggs Founthiion Kccp Fil
Crafts- Harper MxLccd
IVHSMITHS
SLEIIEAR
SOUTER
MORRISONS
31.468
16243
(31.468)
757
270
(1.469)
(9,1191
270
726
2.195
9.119
1,134
147
200
11,473
11,473
3.552
3,552
.499
(26.1311
34,368
TOTAL FUNDS
176237
(2.842)
173.395
PaEC 12
coniinuL)J...

Notts to the FIna￿l*l Stste.ny.ts-abDti
For The Y￿r Ewded JIM O¢fr)ber 2021
ii.
MOVEMENT IN FUNDS-
A current ytAr 12 TNXbths aY*l w yw 12 combined net in furMl& included iTh the thve are as
follows..
I[￿￿1n8
Movement
expided
Unre5trictcd fuJMIs
Gcnera] fuNt
249.719
(226.4301
23,289
Restrlcted funds
BIG LO￿ERy
Nurth [A￿alkShIre Coun¢tl
Tcgco- &lard of HcarinB
Ctrop
North L4narkshirc Council BSL Training
CJrcb¥% Foundaiiort K¢¢p Fli
CTafts- Hartw Ma¢Laxi
WHSMITHS
SEE14EAR
SOUTb.R
MORRISONS
North L4narkshirt CoutKil FurAI
(31.46gl
116.243)
14NOI
11.4691
19,1191
(31.468)
757
270
11,469)
750
{1,134)
193)
21X)
11.473
18.5271
3.552
3,552
3.789
{3.7B9)
46291
{72.422)
TOTAL FUNDS
296.OJO
(298,852)
12,842)
12.
RKLATED PARTY DISCLOSURLS
There were no relaled party tra1￿(￿ for the y¢ar¢Nk4 31* IXtsbw2021.
Page 13

Dttsli ed St*tettxnt of financial AclivitKs
For Th¢V¢ar Ended 3151 Orlobtr 2021
2020
INCOME AIYD F,NI)OWMENTS
Donatlons and kgacks
r)onaiions
Grdnts
5J76
29291
17215
4.525
HMRCJRS gra
Othcr iDcom¢
&173
302
23025
5&407
Olher tr4din8 aclfvhl
Inierpreier services
Siudtht fe¢&
70,819
6J21
9¥.545
34.393
132.938
Total Incom1￿ resources
I￿665
189.345
EXPENDITURE
Rglsln% dona¢loThs lryacles
TTLL¥tLf%' cxpcn&c
Tnlcry)rL*Lr& I￿¢ tskcr c0518
Tutor fL¢%
R¢pllifS & re¢)ewg1s
Plllnt and machinery
Fixtures ar￿ fillin
COmpu￿r cquIpn￿nL
1.102
53.634
13.085
862
39.677
12,798
45
31
898
673
69.674
Other Ir￿15￿1 •eilvltles
Purchas¢s
281
ChArlt*bk actlvltlu
W&&
ial $￿Ul11Y
Pensions
Koom hir¢
Rcnl
Raw8 and water
InsuTancc
Ele¢triC2ty
Telephone
C8tTied foLW2rd
49.IiM)
2.665
1,4LI
56.967
2,054
553
11.277
252
879
1,843
1.447
75.462
12.102
697
879
4,559
lJ75
710110
Page 14

13rta.Ii ed S_t*e_wgul
For Th¢ Yt•r 31￿ Odob¢r 2021
2021
2020
Ch*rit•ble 4c¢ivities
BT(￿ght forward
Posthgc and sthtiot
TTwning
Rolc M￿1¢1
CotnpulcrC051s
Membership fees
SuDdry & c8tering
SQA custorntscd awmi
Hurd of heurin¥
75,462
1,567
3.338
3.022
808
514
1,052
1,431
738
1.752
79m3
117.932
Total re5OuT¢￿ ex￿nded
135.1193
157,887
Iyrt (txpendllure￿]TrtOTh
IU4281
31,458
Page 15