REGISTERED CklARITY ￿lumBER.. 1028736
REPORT OF THE TRUSTEES Af%iD
UNAUDITED FINlfilQCIP.L CTATEMEtyITC FOR TI-,
iirp,Pi fNDID.11 Nlarcli 20L5
FOR
hlunLer Fle31py Limitp.d
450 Warririglon Road
CdlchiLtII
Warringtpn
Cliesi Ill-e
WA3 5QX

WHEELCHAIR FUND
CONTENTS OF THE FINANCIAL STATEMENTS
for Ihp Year Elided 31 Marcli 2025
Page
Repoi-L of tl)e Ti-usiees
Inrlependent Ex4miner's report

WHEELCHAIR FUND
REPORTOF THE I-RUSIEES
for the Year Inded 31 March 2025
riie trustees pi'esenl their report iwiih the financièl statements lor the chr)rity for th& year ended
3 1 March 2025. The accounts have been prepared in accordance with the accounting policie5 set out in note I
lo tlie accouiits and comply iwith the chai'ilies govei.ning docuiiient, tlie Companies Act 2006 and the Statement of
Recummended Pr3clice api)Iical)le lo chai'ilies pi'eparing rheir accounts in accordance with the fina ncial repoi'ting
slai)dard FRJ102
PEFERENCE AND P.DMINISI RATIIIE DEIAILS
I￿rIn￿nN￿l￿1)I F?J?fi1111pr
reRlei/ Clii..
WJli.4 5CIX
S I RUCTURE, GOvIP.I￿ANcf o. I￿,All1 GEWIEII-
Govprning Docuriient
The chai ity Is coiili-olled by its govei niiig docuiiieii L, ti decd Oi LI-USL, and coilStItULeJ 01 i uiiincoi PDlJted ch-. rit'i.
TliÈ ti'ustees liave a duly to Identily dncl review Il)e rislc5 to wl'ilili ilie cliarily is exposed and lo ensure
appropriate controls are in plBce lo provide reasonable assurance against fraud and error.
OBJECTIVES AND ACTIVITIES
Objectives and 3im5
The charity's main objective 15 the relief ol persons who are disabled.
ON BEHALF OFTHE BOARD..
Mrs E Fairhurst - Trustee
Mrs B Pownall - Trustee
Mrs S Finch - Trustee
Dale..
Page I

l1￿0EpENDENT EXAMINER'S REPORT TO THE TRUSTEE5 OF
IVHEILCHAIR FUND
for the Ye4r Ended 31 fvlarch 2025
I repori lo rl)e Irustees on my examination of the accounts ol rhe above ch3rity I the Trust") for the year ended )1103/2025
Respective repoiisibiliiies of trustee5 and exan7inei.
s tho cl)arily's Ii'LJ5tees. you are responsible for the prepiraiioii of rhe accoufits in accordance voith the
reriuii'prrieiiis ol the Charities Act 2011 I the Act")
I i-epori In re£peci ol niy e4ami1121ion ol rhe Trust'5 accoijnts carried oul under seition 145 ol IlTre 2011 Act
50 W31-riiiElnn RoLi
Culcheili
rringron
WA3 iai.,
P3Ee 2

WHEELCHAIR FUND
STATEMENT OF FI[￿ANCIAL AcfiiJiTIES
for the Year Ended 31 March 2025
2025
Total
funds
2024
Total
funds
Unrestricted
funds
Restricted
funds
Notes
INCOMING RESOURCES
Incoming resources from generated fund5
Jolunt3rii income
Activities for generating lunds
Iiivestment income
Inr.oming resnLirres from charitaljle activities
41
70,403
254
70,403
254
68,005
179
otal Inroinii)g resnui-rp
7n fi57
riEfoi.IRCi r'"p:,'4o-. r,.
C05t5 Ot genercltiiig
rill p,r
S7.944
l.iove:'n.-nce crJJ
2,-A2C)
nill i eiourres expL'iioleti
IIfrI I1￿Col¢ll￿r_llO￿i-G-01NG hESORLES
6,3 ?7
6,327
15,?71
Gi 11 ¢1 i%ivi s bLLvieeri iurids
I￿et incoming/loutgoiiigl reoources
6,821
6,421
J5,gll
RECO1￿CILIA I lo1￿ OF FUNDS
Total fund5 bi'ought forw3Yd
26.204
26.204
41,475
TOIAL FUNDS CARRIED FORWARD
19,877
19,877
26,204
Page 3

WHEELCFIAIR FUND
BALAIWCE SHEET
as at 31 Marth 2025
2025
2024
Uiireslricled Restricted
liinds
funds
Total
flind5
Total
fLinds
jole5
FIXED ASSETS
Tangible assets
CURRENI f4SSETS
C3sli at ban1<
21,20Q
ann
ilier Debioi'<
300
205
ci
46,2(14
ivI14L rLJI4u
Tlie lii)ai)rial striletriiei'ils wprp api)rrJvec5 by thp Board ol Trusteps on
L8I*ILS
3nd INere sipned oli
Trustee
TrtJ5tee
Page 4

',ICLCI-IAltt ruND
NOTES I-O 5141 FIEV1q￿lCI￿L.£TAI-_￿1E1￿].S
for the Year Iijded 3L Mai'ch ?025
Acfou IklTING POLICIFS
Basi. of preparing Ili2 fi5)aiicial Jrat'emerit-
Tlie (ICCOLlni5 hcive l)LJen pi-ei)ol-eii on ari accrLlal.
LIIE Si5.
Accounl.-jiio conveiition
TIIP rlCC(?Linls Iidve ljeeii pi ei)ai-ed in aicoi'daiice tIiLJ CoiTr)Pdiiieg ACL 2006 .11)d tlie Jtdlenieiil of
ACTIVITIES foR GINIEftATING ful￿0￿
2025
?024
Jliop Iiicon)e
70,403
GS.006
IDIVESTMENT INICOftfjE
024
Deposit account interest
254
179
P3Ee S

IIVHEILC14P.IR I.-U[￿o
iuo-rEJ TO'f141 flllANCIAL STAI'EIV1ES￿1-s
for the Yeai. Inde({ -. l Marcli 20 15
TftufTEIS flEMU[￿E{<AT1orll P,ND BEIIEfiTr
Ti)erp iNere no tl'USlee5 remliiièration or otlier l)eiielits lor Ilie year ended 31 Marcli 2025 iior lor rhe
tlie yeai- ei)Ilc.d 31 lthèicli 2024
I i(i%tPPS' PXi?eiisPS
Tliprp iJ.itrre no Iriiftcor, o'.:pcnser ijaid lttr the i1￿3r Lnded I lilit rrli ?0?5 iior lor tlie iJeLir en(led 3 1 fv.4{11-cli 20.?4
T.qILIGIÈLE EII.ELI ASSEf.5
04
2fi,3no,
Npr movenient in lundr included in the aboiie 3re a5 lollow5'.
Incoming
i esources
Resources
expended
Moveinent
in lunJs
Unrestricted funds
Accuinulated fund
70.657
-76.984
-6.327
Restricted funds
Lottery fund
WMBC Gr3nl
TOTAL FUNIDS
70.657
-76,984
-6,327
Page 6

W14EELCHAIR FUND
DETAILED STA I EMENT or FINANCIAL ACTIVITIES
for tl)e Yeay Ended 31 March 2025
2025
2024
INCOMIIVG RISOURCES
Voluntary income
Donations
40
Activities fnr generating fLind.5
liup IIiCI)Ine
70,40.3
68,006
£liop repaiis ancl i-enewals
M3rrfetinE
l.on.%ultaiicii
Banl; Ch.-Irves
Travpl c05tS
Jl Lop voasle LulleLLiui-1 Sei VI￿
Jift% and donations
IOP I'efui
Employmei)t Costs
Depreciation of computer equipinent
1, 105
2,320
43,724
40,817
59,658
57,943
Charitable activitie5
Purchase of wheelchairs
14,999
22,648
Governance cost5
Accountancy
Sundries
2326
2,904
2,326
2,904
Total resources expended
76,984
83,496
Net expenditure
-6,327
-15,271
This page does not form part of the statutoyy financi31 statements