Financial history SAFE REGENERATION LTD

Charity number: 1168372
Charity reporting is up to date (54 days late)
" role="img"> Text alternative for this canvas graphic is in the data table below.

Financial period end date

Income / Expenditure 31/03/2019 31/03/2020 31/03/2021 31/03/2022 31/03/2023
Total gross income £333.93k £1.42m £491.49k £558.63k £533.87k
Total expenditure £417.62k £1.33m £521.91k £677.59k £548.20k
Income from government contracts £92.13k N/A N/A N/A £80.00k
Income from government grants £5.59k £645.96k £429.35k £365.76k £256.40k
Income - Donations and legacies N/A £51.56k N/A £380.76k £0
Income - Other trading activities N/A £162.70k N/A £0 £0
Income - Charitable activities N/A £202.00k N/A £177.87k £120.86k
Income - Endowments N/A £0 N/A £0 £0
Income - Investment N/A £0 N/A £0 £0
Income - Other N/A £0 N/A £0 £0
Income - Legacies N/A £0 N/A £0 £0
Expenditure - Charitable activities N/A £1.10m N/A £677.59k £548.20k
Expenditure - Raising funds N/A £1.82k N/A £0 £0
Expenditure - Governance N/A £0 N/A £0 £4.86k
Expenditure - Grants institution N/A £0 N/A £0 £22.50k
Expenditure - Investment management N/A £0 N/A £0 £0
Expenditure - Other N/A £224.87k N/A £0 £0