REGISTERED CHARITY NUMBER: 11)01962
8nd
tstements for the Year End
Unaudited FiRanci
The Cata
st Ch&ritAble Trust

The C t I st Charitable Trust
Conten
for the Year
FinanciAI Statements
tem
er 2025
Page
Report of the Trus*es
I to2
Independent Examin¢T'$ Report
Statement olFinan¢ial Activities
Balance Sheet
Notes to the Financial Stht¢ments
6t09
Detailed Statement of Finaneial Activities
10

The C9
st CbArit
Trust
ort of the'l'rkn$tees
h YeAr F.n
30Se
tÈrn
er 2025
The Trust¢¢s present their reTK>rt and the financial staiements of the ¢harity for the year ended 30 sev￿Mber 2024. The
trustees hawe adopted the provisiotts of th¢ Stat¢illent of R¢Gommcnded Practicc ISORPI "Accouiiiing and Reponing by
CharEties" (FRS 102} in preparing the annuaj report and financial statcments of the charity.
The financial staternents have been prepared in &cordance with the accounting policies set out in notes to the financial
statements and comply with the charity's governing d￿￿TRen[ the Charities Act 201 l and Accounting and Reporting by
Charities.. Ststement of Recommended Practi¢e ISORP} applicable to charities preparing Iheir financial statements in
accordance with the Financial Reporting Standard appIl￿ble in the UK and Republic of Ireland (FRS102) (effective I
January 20191.
REFERENCE AND ADMINISTRATIVE DETAIiS
Registered Chgrity nujnber
1001962
Princip41 address
Dairy Farni Office
Semer
Tp5wich
Suffolk
IP7 6RA
Trnstees
C P Course
J K Buckle
Mrs L C Somerset
G Wesiwood
resigned 1.5.25
aproiDted 1.5.25
IndepevdeTht examiner
Hard¢astle Burton LLP
I,ak¢ I louse
Markct Hill
Royston
Hertfordshire
SG8 9JI4
Solicitors
L.Ilisons
Headgate Court
Head Street
Colchester COI INP
Bankers
Barclays Bank pl¢
Princ£s Street
Ipswich
Suffolk
IPI IPB
STRUCTLR[ GOVERNANCE AND MANAGEMENT
Coverning doeument
The Charity is governed by a Deed of Trust dated 5 December 1990 as amended by supplemeTrtal deed 12th November
2002.
Page I

The Catal st Chgritable Trust
ortofth
Emded 30 S
S'I'RVCTURF., GOVERNANCE AND MANAGEMENT
Recruitment #nd appointment of new trustees
Trllstees are app)inted in a¢cordance H'ith provisions set out in the chaTity'S Trust Deed. DetaTled arrnngements are
described in the Statement of Practice. No twstees were appointed or reappointed during the year to 30 September 2025.
The Chief Executive Officer is James Kennedy Buckle.
The irllstees are involved in the day io day managing of the Trust.
Risk manfigement
The Trustees have exarnined the major strategic and oper#tional risks which the Charity faces and confim that systems
are in pla¢¢ to lessen these risk5.
OBJEcfivES AYD ACTIVITIES
Objeetive5 and #ims
The objectlVe5 Of the Trust are to support or promote su¢h charitable purposes ￿ ihe Trustees determine. This generally
in¢ludes grants to Parochial Church Councils and countryside bodies.
The Trust relies wholly on donations from individuals. No remllneration 15 paid to the Trust¢¢$ and no expcnses
reimbursed.
Public beDefit
The tTUStees have had due regard for the Charity Commsssion's published guidance on publtc benefjt.
ACHIEVEMENT AND PERFORMANCE
ChAritable activities
A total of £1 1.500 (2024 - £13,000} of grants were made to a vari¢ty of charitable OTganis2tiong or project5. Details of
grants paid are detailed sn note 4.
FINANCIAL REVIEW
Reserves policy
Tt is the policy of the Trust to maintain unrestricted funds sufficient to cover administration costs and to respond to
requests for gifts which arise froin time io tim¢. Unrestri¢ted re5tTve5 Qf £22,087 12024 £2,522) remain at the year
end.
29 April 2026
Approved by order of the iK)ard of trugiees on ..-................. .
and signed on it5 behalf by..
J K Buckle
rustee
Page 2

Inde
endent F.saminer's Re
rttotheT
'I'he Calal t CharitAble Trnst
ees of
I report on the accounts for th¢ year ended 30 September 2025, which are set out on pages fouT to nine.
Responsibilities And basis Of r¢port
As the charit5 5 trustees you are responsible for the PTcpaTation of the accounts in actordwice with the requiretn¢nt5 of
the Charities Act 2011 {'the Act'}.
I hav¢ examined your ¢haTity'5 account5 as reqllired under Sect￿On 145 ofthe Charities Aci 2011 I'the Act'}. In carrying
out my examinaiion I have followed ihe DiTe¢tions given by the Charity Commission under section 145151{b) of th¢
2011 Act.
My role is to state whether any material matters have Come to my attention giving me cause to believe..
that a¢counting records w¢re not kept as required by section 130 of the Act,. or
that the accounts do not accord with those r¢¢ord5,' or
thai the accounts do not ¢omply with the accounting requirements of the Act,. or
that there is further infonnation ne¢d¢d for a pr()per ulldersianding of th¢ accounts.
Independent examiner's st*tement
I have ¢ompleted my examination and have no ¢orKerns in respect of the matters 111 to {41 listed aiK)ve and, in
connection with following the Dire¢tions of tli¢ Charity Corntnission I have found no matters that require drawing to
your attention.
K Johnson ACA CTA
Hardcastle Burton LLP
Lak¢ House
Market Hill
Royston
Hertfordshire
SG8 9JN
Dat¢..
2 !uly.2026
Page 3

The Cat*1 st Chari
#ble Trust
Statement Of bin
for the Y
d30Se
ial Activities
iember 20
30.9.25
Unresti'icted
fund
30.9.24
Total
funds
Note5
INCOMING RESOURCES
Incon]ing re50urce5 from generated fun(ts
Voluntary income
31,525
15.225
RESOURCES EXPENDED
Cbaritable actii'ities
Support and promotion
11,960
13,450
NET INCOMING RESOURCES
19,565
1.775
RECOIYCILIATION OF FUNDS
TotAI fuiids brought forwArd
2.522
747
TOTAL FUNDS CAKRIED FORWARD
22.087
2,522
The notes forni part of these finan¢ial statements
Page 4

harÉtable Trust
Balance Shte
30.9.25
Unrestricted
fund
30.9.24
Total
funds
Notes
CURRENT ASSETS
Cash in hand
22.417
2,722
CREDITORS
Amounts fallang due within on¢ year
(330)
{200}
NET CURRENT ASSETS
22.087
2.522
TOTAL ASSETS LESS CURRENT
LIABILITIES
22,087
2,522
ASSETS
22,087
2.522
FUNDS
Utjrestricted thnds
22,087
2,522
TOTAL FUNDS
22,087
2,522
Th¢ finatlcial statements were approved by ihe Board of Trustees on .....29.Ap.ril 2026
beh￿f by..
- and W¢Te signed on its
uckie-Trusiee
The not¢s forn) part of these financial staiements
Page 5

The Catal st Chxritable Trust
Note5
for the
the FinaneiAI State
r Ended 30 Se
te
ACCOUNTING POLICIES
B951$ of preparlng the finAncial St￿teMentS
The Catalyst ChaTitable Trust is a charity registered it) the United Kingdorn. The address of the principal oifice
is given tn the charity iiiformation OTr page l of these financial statemenis. The nature of the charity's operaiions
and principal activities are to support or promote Such charitable purposes as the Trustees in their absolute
dtscretion deterinine.
The charity coll5titutes a public benefit entity as defined by FRS 102. The financial st3tement5 have bee
prepared in accordance with Accounting and Reporting by Charities.. Statement of Recomm¢nded Practice
applicable to chaTities preparing their accounts in ac¢ordanc¢ with the Financial Reporting Standard applicable
in the UK and Republic of Ireland (FRS 102X¢ffective l January 20191, the Charitses Art 2011 artd UK
Generally A¢¢epi¢d Practice.
Accounting eonvention
Incoming resources
All incoming Tesour¢es are included on the Staiement of Financial A¢iiviiies when the charity is legall), entitled
to the income, it is probable that the incom¢ will b¢ received alld the amount ¢2n be quant&fJed with r¢2sonable
accurdcy.
Encolnittg resollrces from t&x reclaims are included ai ihe same time as the gift.
Re50urce$ eipended
Expenditur¢ is accounted for on an accruals basis and has been classified under headings that aggregat¢ all Cost
related to the category. Where costs cannot be directly attributed to particular headings they have been allocated
tts activities on a basi5 consistent with the use of resource5.
Grdnts offered subject to Conditions which have not been met at the year end date are noted as a commitment but
not accrued as expenditUTe.
Taxatlon
The ¢harity is exempt from tax on its charitable activities.
Fund aetounting
Unr¢stri¢ted fvnds can be used in accordance with the charitable obje¢tive5 at the dis¢retion of the trustees.
Restricted funds ¢an only be used for particular restricted purposes within the obje¢tg of the chatity. Restriction5
arise when specified by ihe donor or when funds are raised for particular resrricted purposes.
VOLUNTARY INCOME
30.9.25
30.9.24
Donations
Gift aid
25.000
6,525
11.600
3,625
31,5?5
15,225
In 2025 and 2024 incoJn¢ fiom donations was attributable to unrestricted funds.
Page 6

st
hxritsble
in
for the Ytar Ended
ent
continued
CHARITABLE ACTIVITIES COSTS
Grant funding
of activities Support Costs
(See ttote 41
Totals
Support and promotion
11,500
460
11,960
In 2025 and 2024 all expenditure was attribllteble to unrestricted fi￿ds.
The charity io¢urr¢d no staff cost5 during the year {2024- £nil).
GRANfs PA YABI.E
30.9.25
30.9.24
Support and promotion
11.500
13,000
30.9.25
30.9.24
Friends of Bildeston Surgery
Lindsey PCC
Whatfield PCC
Nedging PCC
Elmsett PCC
Chelsw'orth PCC
Monks Eleigh PCC
Stmcr PCC
Bildeston PCC
Naughion PCC
Raydon PCC
Success After Stroke
Monks Eleigh Communiry Shop
5th Hadleigh St Mary's Guides
St Edinundsbury Cathedra
Bildeston Bow15 Club
1000
500
500
1000
500
500
500
1000
1000
500
500
500
500
1000
500
500
500
1000
1000
500
500
5000
500
1000
2000
2000
11,500
13,000
TRusfEES' REMUNERATION AND BENEFITS
Tru$tees' expenses
There were no trustees. expense5 paid for the year ended 30 September 2025 nor for the year ended
30 September 2024.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
30.9,25
30.9.24
Oth¢r ¢reditors
330
200
Page 7

The Catal t Chari
Iyotes io ihe Flnancla
for the Year
inue
tefflber 2025
MOVEMENT IP4 FUNDS
Net movement
in fi]nds
AI 1.10.24
At 30.9.25
Unrestricted funds
G¢rteral fund
2,522
19,565
22,087
TOTAL FUNDS
2,522
19.565
22,087
Net movement in funds, in¢lllded in the above are as follows..
Incoming
resource5
Resources
expended
Movement in
funds
Umrtstricted fund$
General fund
31,525
{11.960)
19,565
TOTAL FUNDS
31,525
111.9601
19,565
Cornpar#tives for movement in funds
Nel movement
in funds
AI 1.10.23
At 30.9.24
Uttrestrieted Funds
Genera] fund
747
1,775
2.522
TOTAL FUNDS
747
1,775
2,522
Comparativ¢ net movement in funds, in¢luded in the above are as follows..
Incoming
resources
Resollrces
expended
Movement in
funds
Unrestricted fund$
General fund
15,225
(13,450)
1,775
TOTAL FUNDS
15.225
{13,450)
1,775
A Current year 12 months and prior year 12 months ¢ombin¢d position is as follows:
Net movement
n fund5
At 1.10.23
At 30.9.25
Unre$iricted fuNd$
GeneTal fllnd
747
21,340
22.087
TOTAL FUNDS
747
21,340
22,087
Page %

I'he Catal st
ritable Trust
Note5 to th¢ Fiiianciol Statem¢nts- coiittiiued
for the Y
r Ended 30 Se t¢rnber 2025
MOVEMENT IN FUYDS- continued
A current year 12 monthg and prior year 12 months ¢ombin¢d net mov¢m¢nt in fund5. included in th¢ above arc
as follow5.'
Incoming
Tesources
Resources
expellded
Movement i
fi]nds
Unrestricted funds
Generaj fijnd
46,750
(25.410}
21,340
TOTAL FU'NDS
46,750
(25,410)
21.340
RELATED PARTY DISCLOSURES
Donations re¢eived of £25,000 {2024_ £11.6001 were r¢¢eiYed frorn th¢ Trustees
Page 9

The Catal 5t Chari
le Trust
Detailed Statement of Financial Activiti
for the Year Ended 30 Se tember 202
30.9.25
30.9.24
INCOMING RESOURCES
Volunt#ry Income
DoDation5
Gift aid
25,001)
6,525
11.600
3.625
31.525
15,225
TotAI incoming resources
31.525
15,225
RESOURCES EXPENDED
Charltable actiiitie5
Grants to Institutions
11,500
13,000
Support C05t$
FinAnce
Accountancy
460
450
TotAI Ye50urce5 expend¢d
11,960
13.450
Net illeome
19,565
1.775
This page does not fom part of the statutory financial State￿entS
Page 10