REG￿ERED CHARrrY NUMBEIL. 1014284
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL ￿ATEmE￿fS FOR THE YEAR ENDED 30 SEFfEMBER 2024
FOR
THE PARKHOUSE AWARD

THE PARKHOUSE AWARD
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 30 SEwfEMBER 2024
The ttustees pttsent their rep)rt with the financial slatements of the charity for the year enda 30 Sepfrmber 2024. The
In￿te¢S have adopted the provisions of A¢￿)Unting and RetK)rting by Chariti&s". S￿ement of Recommended Practice
appli¢able lo ¢harilies prqwlng their acwunts in accordance with the Financial Rep)rting Standard applicable in the
UK and Republic of Ireland IFRS 102) (effe£tive l January 2019).
0KJEcf￿Es AND AcfMTIES
Objetdves and aim5
The Parkhouse Award is a biennial International Chamber Music Comixtltion for pian(Fbased string ensembles fiom
duos to piano quartets.
Its pur[K￿e is to assist one y(Ain8 ensemble to cstsbli5h itself on the musical s(%ne by pmviding recitals at prestigious
concert halls in England and Wales over a period of two yew5. The competilion 15 judged by a panel of inlernationalty
recognised adjudicators. There is no ca8h wize.
The Parkhouse Award was fornied in memory of the outstsndin8 pianist David ParkIMX￿. It a150 celebTale5 the la*
Eileen Parkhouse, the founder of the Award and its la* PresidenL Their contribution to the wforni8nce of chamber
music in Britain and abroad with The Music Group of London (of which they were founder members). and their
teaching at the Royal College of Music in Londo￿ were an inspiration lo coun¢le5s audiences and studen
ACHIEVEMENT AND PERFORMANCE
Ch¥rltsbk activities
Concerts opp)rtuniti&s for the 2023 winners during the year included the North York M(M Chamber Music F￿tiVal,
at Wigmore Hall before which they were interviewed live on Radio 3 '1n Tune.. the Banste&l Arts Festival Society and
for Richmond Music s￿Iety. Preparations were made for the 2025 LX)mpetition held in April 2025.
P￿rd of Trustees
The￿ were no changcs to the lwd of ttuslces in the ycar.
FINANCIAL REVIEW
Financial position
The results for the year and the ￿￿rent level of resC￿eS are wnSIder￿ by the trustees to be satisfactory for the charity's
CA)mmitments and future obligations.
Prin¢ipal funding 8our¢¢s
The trustees wish to express their thanks to The Tertis Foundaion and to The Adrian Swire Charitable Tn￿ for their
continued and generous supp)rt The tn￿eeS would also like kn thank all the individual donors to the chwity. The
rA)ntinued supp)rt of all groups is essential for the continuation of the award.
Rwryes policy
The charity holds reserves so that it can meet its commilments as they fall due in the short and medium tern and so that
it aqn wntinue its charitable work.
STRu￿uRE, GOVERNANCE AND MANAGEMENr
Governing document
The charity is controlled by its governing documenL a deed of tru51 and constitirtes an uninwrnted charity.
The deed is dated l Augiisl 1990 and w&$ amended by supplementsry deeds dated 7 S¢pt¢mber 1991 and 24
October 1991.
REFERENCE AND ADMINISniATIVE DETAIiS
Reglstered Charity number
1014284
Princi￿1 address
I Church Tetrace
Richmond
Surrey
TWIO 6SE

THE PARKHOUSE AWARD
REPORT OF THE TRusfEES
FOR THE YEAR EIWED 30 SEFTEMBER 2024
Trustees
K Hunter OBE. Cbirnjan
N parkhOu￿ FRCS
R Pathuse
J Unwin
P Willan Hon RCM FCMA
B G Smith CBE
R Cohen
J Hob50n KC
Inde￿dent Euminer
Bi7Nav
86 Hi8h Street
Carshalton
SM5 3AE
Treasurer
Fraser Keen B.Se. FCA- T1￿$U￿r
Carpenter Kcen LLP
Chartettd Accountants
I Church Teffac¢
Richmond
Surrey
TWIO 6SE
Administrator
Gwenncth Bransby.Zthry MA
GBZ Management
Hamilton Ccthge
WaterlLK) Ro
Cranbr(K)k
Kent
TN17 3JJ
Approved by order of the ixwd of tri￿te￿ on 18 June 2025 and si8ned on its l￿f by:
K Hunter OBE. Chairman. Tn

INDEPENDE￿ EXAMINER'S REPORT TO THE TRusfEFS OF
THE PARKHOUSE AWARD
Independent examiner's report to the t￿￿tee$ of The Parkhouse Award
I rew)rt to the charity trustees on my examin&ion of the accounts of The Parkhouse Award (the Trust) for the year ¢nd¢d
30 S¢ptembtt 2024.
Responslblllllu and basts of rI￿rt
As the charity tnLStees of the Tntst you are rw71 Jle for the rKeparation of the aco)unts in accordance with the
requiTements of the ChaTitie5 Ad 2011 Cthe ACV).
I rewjrt in restKrt of my examination of the TnW's ac¢(Mmts carried out under kntion 145 of the Act and in Carrying out
my examination I have followed all applicable Directions given by the Charity Commission under Section 145{5Xb) of
the Aa.
Independent ex*minerfs ststement
I have completed my e￿InatIon. I confirn) that no m*rial mattas have wme to my attention in ¢onnpxtion with the
examination giving me cause to believe that in any material resp￿1.
acwunting records were not kept in rw ofthe Tn￿t as required by Sedion 130 of the ACL or
the accounts do not ac￿rd with those records. or
the accounts do not comply with the applicable requirements concerning the f(xYn and contrnt of accounts set out
in the Charilies (Accounts and Reprts) Regulwions 21x18 other than any requirement that the a￿Unts give
true and fair view which is not a mall¢r cA)ftLsidered as part of an independent e￿2M1n81l0n.
I have no wncems and have come N) other malteTS An connection with the examination kn whi¢h atkntion should
be drawn in this reprt in order to enable a proper understsnding of the accounts to be reacheit
Richard Morgan
BizNav
Charteffd Accounlants
86 High Street
Carshalton
sU￿¢Y
SM5 3AE
18 June 2025

THE PARKHOUSE AWARD
STATEMENT OF FINANCIAL AcrtvrriES
FOR THE YEAR ENDED 30 SEFfEMBER 2024
2024
2023
UnrestriL%ed Totsl
INCOME AND ENDOWME￿ FROM
Donations and legacies
25.105
748
Other trading activities
Inv¢sthient inorme
262
2.799
1763
1,680
Total
28.166
5.191
EXPENDITURE ON
Charitsble artfvltles
Fundrnising and pron￿1
Management of cycles
16th cycle (2021)
17th cycle (2023)
18th cycle (2025)
8252
8.252
14,183
19.205
14,406
3,950
3.989
Totsl
30,554
45,629
NET INCOMFJIEXPENDrruRE)
(2J88)
(40.438)
RECONCIUATJON OF FUNDS
Totsl fimds brought fonyard
111.948
152J86
TOTAL FUNDS CARRIED FORWARD
109.560
111,948
The tK*s forni part of thcsc finmciaj sLqtrments

THE PARKHOUSE AWARD
BALiNCE SHEET
30 SEFfEMBER 2024
2024
Unrestricted
2023
Tota]
Nolts
CURRE￿ A&SETS
Debtors
478
110,533
268
I l3.130
iii.oii
I l3,398
CREDrroRS
Amounts falling due within one year
(J.451)
(1,450)
NET CURRE￿ ASSETS
109560
111.948
TOTAL ASSEIS LE&S CURRENr
LIABILITIES
109560
111,948
NET A&SETS
109.560
111,948
io
109,560
111.948
TOTAL FUNDS
109.560
111.948
The financial Statements were apprDved by the Board of Tn￿eeS and authorised for issue on 18 June 2025 and we
signed on Its behalf by:
K Hunter OBE- ChairnMI-
The no*s forni part of thcse financlal ststanents

THE PARKHOUSE AWARD
NOTES TO THE FINANCIAL STATEME
FOR THE YEAR ENDED 30 SEvfEMBER 2024
AccouNfiNG POLlCtES
sts of plyring the fmancial st*tements
The financial siakments of the ¢harity. which is a publi¢ benefft entity under FRS 102, have been prepared in
with the Charitie5 SORP (FRS 102) 'Acc4)unting and Rep)rting by Charities: Statement of
Re￿MMended Practice applicable to charities prqjaring their accounts in accor￿ with the Financial
Ryrting Standard applithle in the UK and Republic of Ireland (FRS 102) (effective l January 2019),,
Financial Rewting Standard 102 The Financial Rwting Standard applicable in the UK and Rybli¢ of
Ireland, and the Charities Ad 2011. The financial staements have been prepared under the historical LX)St
convention.
Ineome
All income is rec4)gnised in the Stalement of Financial Aetivilies once the Charity entitlem￿1 to the fiu)ds. it
is pn)bknle thal the inwme will be received and the amount can be mcasured reliabty.
Expendlture
Liabilities are recwised as expenditure as as thae is a leg81 or ¢onstn￿ve obli8ati(M r￿illIng the
¢harity to that exwditur< it is probable that a transfer of e¢￿￿)Mi¢ benefits will be required in selllement and
the amount of the obligation can be M￿sUred reliabty. Ex￿IditiUe is accounted for on an a¢cnth]s basis and has
been classified under headings that aggregate all c05t rclthj kn the category. WheTe LX15ts cannot be di￿llY
attributed to particular healings they have all￿ated to aCti￿tICS on a basis rThsistfflt with the use of
Taxation
The charity is exempt from tax on its Charitabk activities.
Fund aceounting
Unr¢stricted fimds can b¢ used in &cord￿ with the Chari￿le objectives at the di￿lon of th¢ trustees.
Restricted funds can only be used for prticular ￿5￿]e1¢d purp)ses within the obj&ts of the Charity. Restrictions
aTise when sp¢cified by the th)nor or when filluls are ￿lSed for parti¢u]ar rcstricted puT￿SeS.
Further explanation of the nature and PUTP)s¢ ofeach fill￿ is included in the notes to the fuwKial statements.
DONATIONS AND LEGACILS
2024
2023
25,105
748
Unrestri¢ted th)nations of £25,105 {2024 £748) were received during the year and these contribute to meeting the
chwity's objectives and aims ovff the next few years.
Page 6
continued...

THE PARKHOUSE AWARD
NOTES TO THE FINANCIAL sfATEMENTS- eoollnued
FOR THE YEAR ENDED 30 SEYfEMBER 2024
2024
2023
ricket & prOgra￿e sales
Enty fee5 and other ino)me
262
1,930
833
262
2,763
INVEsfMENT INCOME
2024
2023
Inteffst on investments
1,680
CHAIUTABLE AcnvrfiES COS15
Direcl
Fundraising and pro￿1100
Management of cycles
17th cycle (2023)
18th cycle (2025)
480
8252
14.406
3,466
26,604
TRusfEFS' REMUNERATION AND BENEFfis
There were no ts7￿, TemunerntM)n or other benefits the year ended 30 Sepiember 2024 nor for the year
ended 30 Sep*mt*r 2023.
Tn￿tels, expenses
were no truste¢s' expenses paid for the year endol 30 S¢ptember 2024 nor for the year ¢nded
30 SeptembK 2023.
COMPARATEVES FOR THE ￿ATEME￿r OF FINANCIAL AcfiviTIES
Unrestricted
funds
INCOME AND ENIK)WMEIYTS FROM
Donations and legacies
748
Ckher trading activiti&8
Investment inLX)me
2,763
1,680
5,191
EXPENDTniRE ON
Charitsble 8¢tivides
Managemeni of cycles
16th cycle (2021)
17th cycle (2023)
8252
14,183
19.205
3,989
Total
45,629
Page 7
continued...

THE PARKHOUSE AWARD
NOTES TO THE FINANCIAL ￿ATEMENTs- continued
FOR THE YEAR EIYDED 30 SEFfEMBER 2024
COMPARATIVES FOR THE STATEME￿ OF FINANCIAL AThTIES. Continued
NET INCOMEIffjXPENDrruRE)
{40.438)
RECONCILIATION OF FUNDS
Total funds bn)ught foTward
152J86
TOTAL FUNDS CARRIED FORWARD
111.948
DEwfoRS: AMouNfs FALLING DUE W￿llIN ONE YEAR
2024
2023
Other debtors (VAT)
478
268
CREDITORS: Amou￿ FALLING DUE I￿[HIN ONE YEAR
2024
2023
Other Creditors
1,451
1.450
io.
MOVEME￿ IN FUNDS
Net
At
.1023
At
30.9.24
in funds
Unrestrleted
111.948
(2J88)
109.560
111948
(1388)
109560
Net movemenl in funds. included in the akne aff as fo]kn￿.
28.166
(30.554)
(2.388)
28.166
(30.554)
{2J88)
Page 8
continued..

THE PARKHOUSE AWARD
NOTES TO THE FINANCIAL STATEMEiYfs. conlinued
FOR THE YEAR ENDED 30 SEFTEMBER 2024
io.
MOVEMEKf IN FUNDS- contiwued
Compar*lfves for move4n¢nt in funds
Net
movement
in fillKIs
At
1.10.22
At
30.9.23
Unr¢8trfcted fvnds
152J86
(40.438)
111,948
TOTAL FUNDS
152386
(40,438)
111,948
Comparalive net movement in fimd4 included in the aiM)ve are as follows:
Incoming
Resources Movement
in funds
Unres¢rkted fillMIs
General fund
5.191
(45,629)
(40,438)
5.191
(45.629)
(40,438)
A Current year 12 months and prioryear 12 months combined Fx)sition is a5 follows:
Net
movement
in funds
At
1.10.22
At
30.9.24
UDrestricted funds
GeneTrl fiu)d
152.386
(41826)
109,560
TOTAL FUNDS
152J86
(42,826)
109.560
A current year 12 months and prior year 12 months combined net movement in fimds, included in the alx)ve are
as follows:
Incoming Resources
Movement
Unrnstrlcl¢d funds
33J57
(76,183)
(42,826)
TOTAL FUNDS
33J57
(76.183)
{42.826)
Page 9
continued...

THE PARKHOUSE AWARD
NOTES TO THE FINANCIAL ￿ATEmENTS. eontinued
FOR THE YEAR ENDED 30 SEvfEMBER 2024
ii.
RELATED PARTY DISClnSURES
Thae were no related paty tranwlions for the year ended 30 S¢ptember2024.
Page 10