REGisfERED CHARrrY NUMBER: 11114284
REPORT OF THE TRUSTEES AND
UNAUDrrED FINANCIAL STATEMEN15 FOR THE YEAR ENDED 30 SEPTEMBER 2025
FOR
THE PARKHOUSE AWARD

THE PARKHOUSE AWARD
REPORT OFTHE TRUSTEES
FOR THE YEAR ENDED 30 SEPTEMBER21125
The Irustees present their rtport with the fLttancia] 5t*¢m¢nts of the ch8xtty for the year ended 30 Scptcmber 2025. The
In]$te¢s hay¢ adopted the ptt)visions of Aceourtting and Rew)rting by Chariiies.. Staiemeni of ReCoMmer￿ed Practiee
appli¢oble to chwities preparing their accounts in 4c¢ordanw with the Financi￿ Reportin8 Standard #ppli¢abl¢ in the
UK and Republic of Irelarbd IFRS 1021 {effective l January 2019).
OWEcfivES AND AcfMTIES
Objtctlvej •nd alm$
The Parkhouse Award 15 8 biennial Internation￿ Chamber Music com￿ltIOn for piano-b&4ed strin8 ensembles frorn
duos w piano quartets.
Its purp)se is to aS31St on¢ youn8 ensemble to establish It￿[r on th¢ musical $￿Tre by pnividing recitsls at prestigious
concert halls in En8land and Wales over a period of two years. The competition is judged by 4 panel of internationally
reco8nised adJ￿ie￿or$. Th¢r¢ is no cash pri7e.
The Parkhouse Award w&$ fomed in memory of the outsthndin8 pianist David ParkhousE. It also cel¢bra1¢5 the la¢e
Eil¢en p8rk￿Y5t, the founder of the Award and its late Presidenl. Their wntribulion to the perfom)ance of chamber
music in Brithin ond ¥broad with The Music Group of London lof which Ih¢y were founder members), and their
teaching at the Royd College of Music in London, wer¢ ￿ inspirniion to countless audiences Ar￿ students.
ACHIEVEMENTS AND PERFORMAJ¥CE
ChArll*ble •¢tlvltleJ
Activities in th¢ year included conc¢rts for ihe 2023 comp¢tition winners and the 2025 competition which w&$ held in
April 2025. In Addition work undertaken on the fuiure direction of the eharity #rtd the fomii of fv¢ure compelition
and concerts offered to the witthers.
Board of Trugleeg
Durin& the year K Hunter OBE resign￿ 8$ Chaimlan find R Cohen was apwjinted chai￿8n of the Board of TnLqtees.
FINAIYCIAL REVIEW
FlniThrl*l ￿81160￿
The results for th¢ y¢ar and the cunent level of reserves ar¢ eon$ider¢d by th¢ trustees to be 5atisfAclory for the charity's
commitments aThd futur¢ obligations.
Prlnelpal fundlng gourees
The trustees wish to express their thnks to Th¢ Tertis Foundation and to The Adrian Swire Charitable Trust for their
Continued and ￿enerouS suppon. The trustees would also like to thank all the individual donots to the charity. The
continued 3UpN￿ of 411 groups is essential for the Conlinu￿10n of the award.
Rejerves policy
The charity holds res¢rve5 $0 that it CAn med its eommitments Ls they f￿1 due in the short and medium tem? and so that
it Can Continue its ¢haritable work.
STRucfuR& GOVERNANCE AND MANAGEMEJ¥T
Governlng doeumenl
Th¢ charity is conirolled by its governln8 doeurn¢nt. ¥ d¢¢d of trust and consiiiu*s an Unincorp￿hted charity.
The t￿￿t dttd is dated l August 1990 and amended by supplementsry deeds dded 7 September 1991 and 24
October 1991.
REFERENCE AND ADMINISTrATIVE DETAILS
Reglstered CTh*rlty number
1014284
Principal 8ddr
I Church Tc
Richmond
TWIO 6SE
Page I

THE PARKHOUSE AWARD
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 30 SEvfEMBER 2025
Trnste
K Hun*rOBE {resi8n¢d 18.6.25)
N Parkhouse FRCS
R PaTkhous¢
J Unwin
P Willan Hott RCM FCMA
B G Srnith CBE
Rcohen - C1wimion
J Hobson KC
IDdependent Ex•tnlther
Richard Morgan
BizN•v
Chartered A¢counl8rtts
86 HI￿ Sirttt
CarSh&l￿n
Surrey
SM3 3AE
Treuurer
Fras¢r Kttn B.Sc, FCA- Treasurer
Cwter Keen LLP
Chartered Awountants
I Church Terwe
Richmond
Surrey
TW106SE
AdmlnSJtrator
Gw¢nneth Brnnsby-Z¥hary MA
GBL Managem¢n¢
Hamilion Cot¢88e
Waterloo Rotd
Cranbtvc4o
Kent
TN17 3JJ
Approved by orderof the board of trustees on 25 June 2026 and signed on its behalf by:
R Cohen . ChaIrm￿- Tn￿1¢£

INDEPENDE￿ EXAMINER'S REPORTTO THE TRUSTEES OF
THE PARKHOUSE AWARD
Independent ¢xamlneWs report to the trustvs of The P*rkhouse Aw*rd
I rewrt to the £harity trLL5t¢¢s on my ex8miTh*ion of th¢ accounts of The Pgrkh(*LS¢ Aw4rd (the Tnjst) for the yur ¢nd
30 September 2025.
Responsibilititj and basis of report
As the ¢harity tn]stees of the Tn￿t you are re5pon5ible for th¢ preparation of the accounts in attordatKe with the
rquirements of the Charities Act 2011 I'the ACVI.
I reF￿ in respe￿ of my examination of the Trust's ￿OUnts ¢8rried out Lmder Sectlort 145 of the ALI and in c8rryitt8 out
my txaminati¢)n I have followed all applicable Directions given by th¢ Charity Commission und¢r Seciion 145(5Xb) of
the Ad.
IDdeptndent exgminer'j slatement
I have comple*d njy ¢x4mination. I confimi that no materia] matters have Come to my attention in coijnKlion with the
examin*ion giving me cause to beli¢ve that in any material resp￿1..
accounting records were not kept in respect of the Tn￿1 as required by S¢¢tion 130 of the ACL or
the ￿cOUntS th) nol aecord wi¢h those records: or
¢h¢ acwwils do nol comply with the applicable requirements concerning the forni and content of occounts set out
in th¢ C.hJTili¢S (Accounts and Reports) R¢gulation$ 2008 other than any rwuirement th￿ the accounts 8ive 4
true and f&ir view which is not a matter consid¢r¢d ￿ part of an independent exarnination.
I h4v¢ no concems and have come a¢ross no other mallers in eonnwtlOD Wth the examination to which attention Jhould
be drnwn in this rewrt in order to ¢nabl¢ 4 proper understandin8 of the Ac¢ounts to be reached.
Richard Mor
BizNav
Chhrtered A¢¢ountants
86 High Street
carsh￿10n
Surr¢y
5M5 3AE
25 Jwie 2026
Pagc 3

THE PARKHOUSE AWARD
BALANCE SHEET
Jil SEvfEMBER 2025
2025
2024
Totsl
fijnds
Unre5triLtsI
fund5
Debtors
C&sh at bank
421
87,080
478
110,533
87JOI
Iii,oii
CREDITORS
Arnountg falling due within on¢ year
(1,512)
(1,451)
NET CURRENf ASSETS
85.989
109,560
TOTAL ASSETS CURRENT
LIABILITIES
85,989
109,560
NET ASSETS
85.989
109,560
FUNDS
Unrestrided fimds
io
85,989
109,560
TOTAL FUNDS
85,989
109,560
The r]naneial statemen
signoj on tts behalf by..
were approved by the Board of Trustees and authorised for issue on 25 June 2026 and were
R Cohen . Chaimian- Trustee
The not¢5 foTrn P¥rt of th¢s¢ financial stalements

THE PARKHOUSE AWARD
STATEMENf OF FINANCIAL AcfiviTIES
FOR THE YEAR ENDED 30 SEPTEMBER 2025
2025
UnTestrid
fillkds
2024
Total
nds
INCOME AND ENDoWME￿fS FROM
Donations ortd le¥￿1¢5
25.(KK
25,105
Other trading activiti&S
Investh)¢nt ineome
2.218
2,028
262
2.799
Totsl
29,246
28,166
EXPENDITURE ON
Chlrltable Artlvltl
Fundraising aThd promotion
Monagement of cycles
16th cycle12021)
17th eycle12023)
18ih cycle12025)
19th ¢ycle (2027)
Future direciion
70)
8.562
1,5Th)
9,643
25,446
405
2.384
8,252
14,406
Other
4,177
3,950
Totll
52,817
30,554
Nrf INCOMFJ(EXPENDITURE)
(23.371)
11388)
RECONCILIATION OF FUNDS
Tothl funds bTOU8ht fotiyard
109.560
111,948
TOTAL FUNDS CARRIED FORWARD
85,989
109,500
The t￿1¢5 forni part of these finan¢iai 5tatement5
Pagc 4

THE PARKHOUSE AWARD
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 311 SEFfEMBER 2025
ACCOUNTINC POLICIFS
Basts of prepArlng the fm#nei*l stAtements
The financial statements of the tharity, which i5 a publi¢ benefit entity under FRS 102. have been prepwed in
accordance with the Charities SORP (FRS 102} 'A¢countin8 artd R4￿rtIng by ChaTiti¢s'. Stat¢meni of
R¢commenda Prn¢ti￿ applicable io charities preparing th¢ir accounts in aC￿rdanCe with th¢ Finoncial
Reporting Standard applicable the UK Jnd Republic of Ireland (FRS IQ21 (effeeiive l January 20191.,
Fin&ncial R¢w)rting StWId￿ 102 The Finatici￿ Reporting Standard applicable in the UK and Republic of
Ir¢land' and the ChaTiti¢s Act 2011. The financial statements have been pjrpared under the historica] cost
convention.
Th¢ financial statements have be¢n prepartd on & 80ing ￿nCern b&4i$.
Imeome
All income is r¢w8nised in the Ststemeni of Financi￿ Afflivities once the charity has entitlement ￿ the ful￿5, it
is prob&ble that the income will be re<*ived the amount can b¢ rn￿$￿￿d reliably.
ExpeNdltur¢
Liabilitiej ar¢ reco￿15¢d as exFtndityr¢ ks soort as there is a l¢g81 or constn]¢tive obligation conunittiD8
¢h￿ty to expendiluTe, it i$ probable that a transf¢r of ¢eothomic benefiis will be rquirtd in settlemeni and
the wnount of th¢ obligotion eon be measured Teliably. EXpendI￿re is accounted for on an accnJ81s basis and has
been ¢lwsified under he￿ing$ that B88re8ate 011 eosi rela*d to the ¢at¢sory. Where Costs cannth be dir¢c¢ly
attribut¢d to particulAr he￿ing$ they h&ve be￿ diocated ￿ a¢tiviti¢$ on a basis consistent with the use of
r¢sour¢es.
TAxAtIoD
The chority is exempt from tsx ott its chwitable activitieg.
Fund •ccoyntlng
Unresiricied funds ¢th be used in acwrdan¢e with th¢ ¢hari¢able objective5 41 the dis¢r¢tion of the tnths.
R¢strided fijnds only b¢ used for particular restric*d purp)ses within the objects of the charity. Restridions
grise when specified by the donor or when funds rnised for particular restricted puryK)s¢$.
Further ¢xplan*ion of the natwe and purpose of each fund is in¢lud¢d itt the notes to the financial 3tal¢m¢nts.
DONATIONS AND LEGACIFS
2025
2024
tk)naii¢)n$
25.(KJO
25,103
Unftstricted donations of £25.1)00 (2024 £25,105) wer¢ received durin8 the year and th¢se eontribuie to meetin8
the Charity's obi¢ctives and aims overthe next few years.
Page 6
continued...

THE PARKHOUSE AWARD
N(yrES TO THE FINANCIAL STATEMENTS. CODtinued
FOR THE YEAR ENDED 30 SEPTEMBER 2025
OTHER TRADING ACTIVITILS
2025
2024
Ticket & pro8T8rnme 5ale5
Entry fees and other income
262
707
2218
262
INVESTMENT INCOME
2025
2024
lTh*r¢$t on inve51Tnenls
2,028
CHARITABLE AcTIv￿lFs COSTS
Direct
Costs
Fundrnising And promotion
Mthag¢m¢nt of cycles
16th cycle12021)
17th cycle120231
18th cycle (2025)
19th cycle (2027)
Fu¢ur¢ dirKtion
8,562
1.500
9.643
25,446
405
2,384
TRusfEESI REMUNERATION AND BENEFITS
There were trustee5' remuneration or other benefrts for the year ended 30 September 2025 rKJr for the y
ended 30 September 2024.
Trustees. expens
Th¢r¢ were no ttwste¢s' expenses paid ft)r the yew ¢nd¢d 30 Sept¢mb¢r 2025 nor (or th¢ year ended
30 Septemb¢r 2024.
COMPAIL4TIVES FOR THE STATEMENT OF FINANCIAL ACTIVITJES
Unrestricted
funds
INCOME AND ENDOWMENTS FROM
rkjnations and le8a¢i
25,105
Other trading acliyiiies
Inve5bnent income
262
2,799
Total
28,166
EXPENDITURE ON
Charl¢•ble actlvltks
Fundrai5in8 and promolion
Management of cycle5
17th cycle (2023)
18th cycle (2025)
480
8.252
14,406
3,466
Page 7
continuaj...

THE PARKHOUSE AWARD
NOTES TO THE FINANCIAL STATEMEKfs- eorttlnuwl
FOR THE YEAR ENDED 30 SEPTEMBER 2025
COMPARATIVES FOR THE sfATEMENT OF FINANCIAL ACTivrfiES- CODtlnued
ut￿estriCted
fwids
3.950
Totsl
30,554
NET INCOMEI(EXPENDITURE)
(1388)
RECONCILIATION OF FUNDS
Totsl fimds broughi fon¥¥d
111.948
TOTAL FUNDS CAIiRIED FORWARD
109.560
DEBTORS: AMouNfs FALLING DUE wrrHIN ONE YEAR
2025
2024
Otr¢r debtots {VAT)
421
478
CREDITORS: AMOUNfs FALLING DUE WITHIN ONE YEAR
2025
2024
Other ￿￿1t0
,512
1,451
MOVEMENT IN FUNDS
Net
movement
in funds
At
1.1024
At
30.9.25
Unrestrided fund%
109.560
(23.571)
85,989
T(wfAL FUNDS
109,560
{23.571)
85,989
Net movem￿1 in fiJnds. included in the aErf)v¢ are 8s follows..
IncomLt18
resou￿¢$
Resources
expended
M0￿Ment
in f￿d$
Unrtstrlcted fvnds
General fund
29246
(32.817)
(23,571)
TOTAL FUNDS
29,246
(52,817)
(23.5711
Pa¥¢ 8
continued...

THE PARKHOUSE AWAKD
NOTES TO THE FINANCIAL STATEMENfs- con¢inMe41
FOR THE YEAR ENDED 30 SEPTEMBER 2025
io.
MOVEMENf IN FUNDS- eoRtlTrued
CompAradveg for movemeTh¢ in funds
Net
movement
in funds
Ai
1.10.23
At
30.9.24
Unrestrleted fytsdj
Genernl
111,948
(2,3881
109J60
TOTAL FUNDS
111,948
12.3881
109.$60
Comparativ¢ n¢t movement in funds, incJud¢d in the above are as follow5:
Incoming
resources
Movem¢nl
in fund$
expended
UTrre8trletod
General fiJt)d
28,166
(30.554)
113881
TOTAL FUNDS
28,166
(30,5541
12,388)
A ¢urr¢nt ye& 12 rnont￿ and wioryeaT 12 months combined p)5ition is as follows..
N¢t
At
1.10.23
movemen¢
in fijnds
At
30.9.25
u￿r￿Irl¢t￿ funth
General fund
111,948
125,9591
85,989
TOTAL FUNDS
111.948
125,959)
85.989
A current year 12 month5 and prior year 12 months ￿mbIned net movement in ￿nds. included in the 4boYe are
follows..
Inwming
resource$
Resources
exttnded
Movement
in furtds
Uttrestrkted fundi
Generat Ilmd
57,412
(83,3711
(25,959)
TOTAL FUNDS
57,412
(83,371)
125.959)
continued...

THE PARKHOUSE AWARD
NOTES TO THE FINANCIAL STATEMENTS- ¢oDti￿￿
FOR THE YEAR ENDED 30 SEPTEMBER 2025
RELATED PARTY DISCLOSURES
The]r wer¢ rto r¢lat¢d pany transactions fordK yearended 30 Sept¢mber 2025.
Pa8e 10