37. Trust fund information
In relation to the trust fund, the annual financial report is to include, separately for each class of trust, a statement of ¾
(a) the amounts brought forward on 1 July;
(b) the amounts received during the financial year;
(c) the purpose for which the money was held or received;
(d) the amounts paid out during the financial year; and
(e) the closing balance at 30 June.