REGISTERED CHARITY NUMBER: 1028924
F THE TftUSTE￿ AND
ut4AVlXtEP. FINANCI4L&IaTEMEi¥rs
OR ThE YEAR ENDED 31 JULY.2021
YG
Bhje R(￿81 Aox>untkn9
4xthntants and Ta¥ Advtsers
8 Twisieton C￿rt
Pnw Hdl
DA12EN

ST IIARYS UNDER F
PiAYGROUP
NT
QYLS.QF THE HNAN¢.IAL STATEMENTS
FOR THE YEAR ENt)ED
LY
Pag•
Rgport ot th• TnMt•
1 10 2
Indop•ndwrt E¥•mlne¢• Roport
Stat•rn•nt of Fln•n¢l•b AdlvN
Bal•ne• Sh••t
Ntst￿ to th• Fln•nGl•l Ststwrw
6 to 10
D•l•ll•d Stat•M￿ ol Fln•ncl•l *x¢lvl¢l••
11

YaRYS UNDER FIVES PLAYGROUP
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 JULY 2021
Thè tru$1•88 Wtsent the¢f reFQrt ￿1th Ihe finan(ial statemen15 of thè chanty for th8 year ended 31 Juty 2021. The
trust89s havg adopted Ihe wovtstsjis of A(xyxJntry ￿ Ret*Jthig by Ch8nts"es'. Ststernenl of Re¢omrnended Practice
applicable lo chgntKg$ preparin9 Iheir aCc￿nts in •c￿rd&n￿ with ts financial Rep)W St￿d￿d appl¢8bl8 in the
UK and ReputAk of Ireland IFRS 1021 leffrfiNe 1 JaNary 20191.
OBJECTIVES AND ACTivrriES
Objecti¥u •nd 8lms
In setting obiectwes and Fdanning the 8L#fvllks, tho TrtSleBs have gkn caraful consklornoon to Ihe Charty
Commission's gèner￿ on t¢ntfil aTrJ in p8rtwlar to ts sut¢4ementwy Wb1￿ benefrt guidance on
advancing 8thJeAb"on and on Iee*harg￿g.
Tho obj'ect5 forwhKh the Chanty is establisw *•:_
To enha￿ and ed[￿ ¢4 d*Wren primarty undw tha• ty 9￿￿￿1n9 paronts to
understsnd and provide lorthe neads 01tha￿ through c£ffirwnAI gr(NJps ty.
al offeriThg approprt&lè rday, ed(￿t￿￿ 8ThJ faolrf*s. f8mity lèamiry arKI exiend8d hrJJrs wps. togethw ￿th th8
rfght ol par8nts to take respwblty lor to Inm)￿ gdlvli*s ol such gr¢KtyJs. ￿￿rfng that such
groups off8r Opportuni￿e6 for all chldren tt1oir raco. (Al￿1￿), rdb3k)n. means ol abthty,"
bl èncouraghs tho study of BuGh need8 of chi&lren Ihtyi lthlleo. and womting PUt41c kntmt In an(J recOgn￿on ol
such needs ITr th8 local argas.
cl knBtlgthg and a(Iherfng to or¥J ot¥oris fA Iho Pr&SknI Leomkng AllarKe.
ACHIEVEMENT AND PERFORMANCE
Rovlow of A¢tlvlti•¥ and khi•vwngnl•
During the year the charity reThv8d gr8nts totaling E171.495 121Y20 - £189,3401 from Kont cO￿ty c￿r￿1 In rgspect ol
it$ Corg activity. 109olhor wrth fee ￿Orne from wrents 8mtyjnh.ro to t26.&￿5 12020 - £23.69SI aftd ¢)bl•r inrA)m8 from
fundraising, interest, donations and further ￿￿ne totslllng £%O1202O £1,454).
Th8r8 w88 8180 An 8m¢wt 01£98212020. £12.Wl grants HMRC. kn this y•ar.
ExFerKlilur8 on corg fund acbviliès amowrtfjd kn £179.041 12020 - £194.0471 was mointy attntATrtAbla to $8laT
pald to Stsff and rent ol premkns. A lurther £32,629 12020 - £32.6291 wa$ Ir￿￿[T￿l on resth¢aed ￿nd acfvities. There
W88 8 d•fit* fe* Ihe yg8r of £4,33812020 d•fK*t t19,7(￿1.
STRUCTURE. GOVERMANCE ANO MANAGEMENT
Governlng docum•
Th? ¢harty Is ￿n¢rolled by it8 gov•mM)g drwrrnnl, a ¢J*J oflru8t and Unin￿r¥&ITatets cwty.
Orgartlsatlon41 Structrxg
Th? pdty and genernl Man￿ment ol th¢ tharity diectgd by ivs M￿￿?[￿1 Commlltso. a8 Sot tyjt In tho
onstibjt'on datsd 181h Octo1￿ 1993 land an*ThJod on 15th 0(#obeT 2rM)81.
The Committee (ory)ns•s thè ¢th￿￿￿On, Ireaswer and souolary and al loa81 other ¢(￿mI￿o0 mornbars. 60% 01
the comnlttee must Indude rorents of chldrnn at th8 Ccffimiitee ￿*￿b￿S •rg ebthd at the AGM and serve for
1 year laThJ lor a M￿muM ol 10 are rtreknded aach y••r.
REFERENCE AND ADMINk8TRATIVE DETAILS
R8glstsr•d ¢h8rlty numbor
1028924
PrlnGlp•l addro58
Th8 Recreation GfouThJ
ON London Road
Stonè
Kent
DA9 90Q
Trust•89
Mrs J M Kemp TreasJrer Irew8d 25.3.T21
Ms E 8Lttchei Ireslgnod 2.12.21)
C Brou9hlon Ir9S9ned 2.12.211
K NotTnan Iresiqned 2.12.211
K Oawes Iresun8d 2.12.211
S Fikri lappointed 2.12.211
L Goo￿￿on lappointad 2.12211
S MoonÈy lappointed 2.12.21
C Ikc*3w laFpoinlad 20.1.221
P￿￿1

ST MARfs UNDER FNES PLAYGROUP
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 JULY 2021
REFERENCE AND ADMIN15TIIATNE D￿AlLs
Ind•p•nd•nt Examln•r
Blue Rock&l Accounting
A¢Gountat¥ts and Tax AthfLw5
8 Twsleton Cwrt
PrK)ry HS11
Dartford
Kent
LIA12EN
RESERVES
Reserv8s for Ihe core fijnd are m¥nlasnod at a bv*] tj f￿T￿l ￿1￿18 b) m88t to day costs and aftor taklng
into accwnt cont17gendes 8nd thI￿re ttThrnitrr*nts.
Aprxoved by ordbroflhe LThrd oflru5t888 (￿....--.-...----....-..-....... and SW on hs by..
S Rkri- Trust4e
PagE 2

INDEPEIIDENT EXAIA
REPORT TO THE TRUSTEES
UMOER FIVES PLAYGR(XIP
Independent examlnerS report tothe trust•es of St IAwy's UnderFÉves Haygroup
I rèport to th• chanty trttstè89 ¢)n my axarninal￿ ol the aclxwits of St Matys Under FNes (th• TIL￿tI for I
year ended 31 Juty 2021.
R•8ponsiblili•s •NJ b￿1$ ol roport
As the charity trustees of the Trust you we re￿￿1￿ rrfWat￿ of the in acts)rdant* with
requirefflents ol Ihe Chantstss Ad 2011 (Yhe Acr).
I r8port in respect of my exarr*Tration of th8 Tru￿5 carrnd out ur¥Jw 145 of the Art and in earrying out
rny examinatiC￿ I have fdkjwed am aw)lth Direth(¥ts gwen by Ihe Charty C(ThY&wn uTrJer section 1495llbl of
1nd•pènd•￿ 9Xan￿n•￿8 stat•m•nt
I have completed my 8xaminab"on. I confirn) Ihat rKJ matarial mallws havo corno to attenbjn in o)MO¢tN)n wilh the
examinalion gfving me Cause to bdiève that any mat8ro1
ae£ounbng rocords were not kepl in r8spedoftheTNst as rwuwed ty secl*Jn 130 dtha Aet L
lh& kc¢*unts do not xtord th￿ fecords,
the 8c£ounts do not tnmpty wth thts wulrem8nt8 ujntsmry Ihe form and oMtsnt of ac￿UnIs 68t
out in the Charith•s IAtYAunts Rwrtsl Rewkgb"crt)$ 2(XJ8 than any r8qthrem&)t Ih8t the axounts give
• tsye fair view IJ nLrt a mutter as wt ￿ an ttmml￿tk)n.
I have no concems and hav& auoss Th) otrw matters kn I￿nnec￿ wrth the examinaoon to whkfi 8ltentlon shouh
b8 drawn in this rerKyi in order to en8bk8 a prrw und&rstandir¥ a(rxrtJrbts lo bg r9acW.
E Duda
ACCA
81ue Ro¢ktrt Aca)unts"rrfd
Accountants Tax Advl
8 Twislèton C￿rt
Priory HAI
D8rrford
Keni
DA12EN
Dat•." May 2022
Page 3

ST MARYS UNDER FIVES PLAYGR(XJP
STATEMENTOF HNANCIAL AcnvrrES
FOR THE YEAR ENtÉ0 31 JULY 2021
3117121
Tolal
funds
31n120
Total
nds
nds
INCOME AND ENOOVNENTS FROM
D(￿8th0n$ arKI leg8L¥es
171.494
171.495
169,339
Cther tradivJ 8ctivlt18S
Investment incom8
Olher income
27M55
27.855
25.149
7,982
12.480
Total
207J31
207,332
206,976
EXPENDITURE ON
Cfvaritab￿ actrviti•s
Dknect Challt*Ao Acl1¥￿$
179.CI11
32.629
211,670
223.233
3.443
179.041
32.629
211,670
226,676
NEf INCOMEIIEXPENDMIRE)
2829)
132.6281
14.338
119,TOOI
RECONCIUATION OF FUNDS
Total fvnds l>rougM fonwd
37.
503.913
523,613
TOTAL FUNDS CARRIED FORWARD
433.352
499.57S
503.913

ST MARYS UNOER FIVES PLAYGROUP
BALANCE SHEET
31 JULY 2021
311T121
Total
funds
3117120
Totsl
funds
lund
fl￿d$
FIXED A88ET3
T8nglble assets
fj.146
432,170
438.316
471,374
CURRENT ASSETS
Debtors
Cash al bank and in hand
12.355
48.952
12,355
50.134
12.355
37,461
1.182
61.307
1,182
62.489
49,818
CREDITORS
Amounts f4llng du• *ilhln ono
{1.2XI)
{1.2301
117.2771
NET CURRENT ASSETS
.077
1.182
61.259
32,539
TOTALA88eT8 LES8 CURRENT UABILmE8
66223
499.575
503,913
NEf ASSErs
433.352
499,575
503.913
FUNDS
Unreslrlctsd bJnd8
Re8trf¢ted funds
10
66.223
433,352
37,933
465.980
TOTAL FUNDS
499.575
503,913
The financ4 8ts18ments •pty￿ed of Trystee8 WKI wthorw for on
S Flkrf- Trust88

ST MARY% UNDER RVES PLAYGROUP
NOTES TO THE RNANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2021
ACCOUNTING POUCIES
Basls of th• flnandal slat•monts
Th8 finan(¥81 statsrr*nts of thè charrty, whth is a wbk b￿effl entity undw FRS 102, h8V8 t*en w8par8d in
accordance with If* Chthtss SORP IFRS 1021 'AcowntyrKJ and R8m"f¥J by Chartb'es." Statem¥nt or
Recorm)ended Pra￿Ce lo chanbes wepamg tr*ir acmjnts In ar¥xydanrA wlh the
Reporting Stsndard a￿l￿able in UK and Repubk of IrdaThY IFRS 1021 leffective 1 January 20191,. F￿a￿￿?1
Repo￿ng StsThJard 102 Tr Fin￿81 Repr*ts'r¥J sa￿lard aprAth8 ￿ th8 UK and Republic ol Ireland. and the
Charitse$ A¢t 2011. Th& finafic4a slater￿ts have b8en und8rthe historKa cost collvent¥)n.
Incom•
AJI incorn8 Is rec￿nknd In tho Ststsrn8nt of Flnandal Aclvlkn orKe thfr L*arlty h8$ 8nlJlwngnt to Ihe frJnd5, tt
Is probable thatthe *ryll t• •vJ tho b* ffwwfod roWty.
Ex￿n￿ltur*
Li8bilities are rwTh88d 88 èxp*thurn a# ￿nn aa th•r• is a *al commltbNd tho
charity to that oxpendilur&. it i8 proba￿ that a transler of eo)rKynK bwgffts ￿11 be rewirgd in s8tilement and
the amount OF th• Obligatir￿ can b• moasur•d ro1iatAy. Exwiditufo 6 accountod for on an accruals basN and
h88 been d8ssffjod und¢r heading¥ Ih8t a99reg8te 811 ojst rdated to the category. Where costs Cllnnot be
direcuy attn.￿led to pth"cuLqr head￿95 Ibey have been a￿01•y to a¢￿￿￿.9$ on a basis Cons￿1￿nt with Ihg u¥9
ol r9$our￿.
Tang￿• fflxod A￿•ts
08prfeAatit￿ L8 wovljod at the ralvs In oth to wriltr dl oath asset fJ4or Its esumthd u8efi
Improv•m•nts tts wop•rty
Equlpment
5% on eosl
25% rffl Lx951
Fund a¢countSn9
Unrgsldcted fuThJs ￿ bo used kn ￿0rda￿t thè Lthathat48 8t tha dkLYOtknn d th8 1rusto•s.
R98trktwJ (wds onty be fLY rgstrk*od F•XF•xes wlthkn ot*d8 01 the chadty. Restrklons
arisé when sp8cffj￿ by th• dcwor 14￿¢d for parwor rosln"¢t¢d wrp)s&s.
Furthf expLgnaiKffj ofthe nabjre and wrp)a• ol frJnd is I￿￿J•d In th• not•s t* th• finanthal gtatsm&nts.
OTHER TRADNG ACTMTIES
3117r21
311Tf20
Fundrnisiryj evonts
Fees
58Q
23.695
874
26,￿5
27.855
25,149
INVESTMENT INCO
31nr21
311Tf20
D8POSrt ac￿nt In18re8t
P¥6
fX)niinuod...

sr..hlARYS. UNDER FIV.ES PLAYGROUP
NOTESTO THE FINANCIAL
TATEMEiifs. eontlN•d
FOR ThE YEAR ENDED 31 JULY 2021
TRUSTEES. REMU14ERATION AND BENEFr
Th8rn Were rKs truslg0¥ reMw￿rab0n w cthr t4nefits IJ* yw 31 Juty 2021 ￿ for tho yoar gndad
31 Jdy 2020.
Thw• wer• nts trust••s' •xpens6s p#KI fr#1￿ year enthd 31 W 2021 norfortho yw 31 July 2020.
STAFF COSTS
The avgrago rncrthty nurnberofemFknees ¢JJring IhgJWWas as ftkns:
3117f21
11
3117120
Average fi￿b￿0f ornpbs
No emF4oyett recew onwyuments In excess Of£￿.(￿￿$.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTMTIES
Unre5tri(tsd Restr*￿ed
lund
ds
Tota1
fuTr(Js
INCOME AND ENIX>WMENTS FROII
Ocnations and lagac
189,339
169,339
Other Ira(Jlno athil*s
Itwestrnent InctNnB
Othar Incoma
25.149
25,149
12,480
12,480
Totsl
>J8,976
206,916
EXPENDtruRE ON
Chadtabkn o¢llvltsg•
Dir•cl chattsb￿ Actbvrt
1￿,604
32,629
223,233
Oth8r
3.443
3,443
194.047
32.629
226,676
NET INCOMEIIEXPENDITVREI
12.929
132.6291
119.7DOI
RECONCIUATION OF FUNDS
TotAI fvnd• brougm forward
25.¢Y)4
498,PJ)9
523,613
TOTAL FUNDS CARRIED FORWARD
37.933
465,980
503.913
Page 7
i))ntinued...

UNDER FIVES PLAY.G.￿up
I40T￿s TO THE EINANCIAL STA.TE.MEIITS. Con￿11
FOR THE YEAR ENDED 31 JULY 2021
TANGIBLE FIXED ASSETS
Imp￿¥ements
to
E¢wipment
Totals
COST
At 1 August 2020 31 W 2021
e61.175
4.115
665.290
DEPRECIATION
At 1 August 2020
for
189.801
4,115
193,916
33,058
Al 31 Jubf 2021
222.859
4,115
226.974
NET BOOKVALUE
At 31 July 2021
4*316
438.316
At 31 July 2U20
471,374
471.374
OEBTORS.. AMOUIITS FALUNG DUE wrrH114 ONE YEAR
3117r21
311Tf20
Olhol debt
12.355
12.355
CREDITOR8: ￿0up￿s FALLIIIG DUE WITHW ONE YEAR
3117121
3117120
Taxabon and soual
Oth8r crodltorn
14981
1,726
12661
17,543
1230
17,277
10.
MOVEMENT IN FUNDS
voment
fut)d&
At
31.7.21
At1M20
Unr•8trlct•d fund•
Core funding
37.933
28.Xl
66.223
Rgstrlcted fun
Kent County Counal- Buih*'ng (>ant
Kent County Coundl- EYFS Grant
Kenl Counly Counol- Prnfess￿aI
Dev8lopm8nt Grant
465.667
{32.6281
433.039
132.6281
433,352
TOTAL FUNDS
)3813
14,338
499,575
Pw8

ST MARYS UNDER FIVES PLAYGROUP
IIOTES TO TrtE FINANCIAL STATEMEprfs. continu•d
FOR THE YeAR ENDED 31 JULY 2021
io.
MOVEMENT IN FUNDS-contlnu•d
N6t rr¥)vement in fu￿18. Iidthlod in ts atrm arg as 6)kn￿..
In￿￿j
Res￿￿￿$ Movement
in fvnds
UnrMtrlct•d lunds
CO￿ fvnding
207.&31
{179.0411
28.2
Re$trithd funds
Kent Cc¥Jnty cO￿￿11- Buik1iig Granl
(32.6291
132,6281
TOTAL FUND8
207.332
1211,8701
14,3381
Comp4ratl¥M for mov•rn•nt In fund•
Net
fiKJV8mgnt
l) frjnds
At 1.&19
31.7.20
Unr••trl¢t•d fvnd*
Cor• fundln9
12.929
37,933
ftestrf￿d fund
Kenl County Councll- Buildbng Grnnt
Kgnl County cour￿lI- EYFS Grdnt
Ktnt Ctyjnty Couneil- Prtsfttsbjn
Devek)pmenl Gwt
4982
132.fj291
465.667
498.609
{32.6291
465,980
TOTAL FUNDS
5rJ.613
I19.7￿)
503,913
Coryarat￿9 net fiJThY$. In ofe as fvJlrMs'.
Inoxnirg
Resou
•xpondBd
I funds
Unrnstrl¢led fvnd
Core fundlng
2(￿.976
1194,0471
12.929
R•stiict￿ fun
Kent County Co￿d1- Bull ding Grnnl
132.6291
132,6291
TOTAL FUND8
206.976
1226.6761
119,70DI
P￿9
dtnued...

NDER F
PLAY
NOTESTO THE FINANCIAL STATEMEi¥fs. eontinued
FOR THE YEAR ENDED 31 JULY 2021
10.
MOVEMENT114 FUNDS- conlinugd
A current 12 rMnths and prnr y•ar 12 ccfflbin•J F*)silMM 1$ 8$ f￿k￿$.
rN)vèment
in fuThJs
At
31.7.21
At 1A.19
Unr•strict•d fvndB
CO￿ lunding
25.(MM
41.219
66.223
R••trlcted funds
Kent County Coundl- Buikllng (>ant
Kont Counly Council- EYFS Grant
Kent Coufi¢y Cothtyl- Prnf•$$K￿
Developrr*Tht Grant
165.2571
433.039
105,2571
433,352
TOTAL FUNDS
523.613
124.0381
499.575
A Gufrenl yw 12 months and prkx year 12 rrKth ojmblwj n•t mtylemeni in fu￿. ind￿•￿ In lh• abovo a
89 f(AIow8'.
Inwning
Resojrces
res￿￿¢83 •xpan￿d
Movernent
In fjjnds
Unf•th¢t•d lund•
Core fundln9
414.307
{373,0881
41.219
Resmctad fund8
Kent County Coundl- Builthng
165.2561
165,2571
TOTAL FUNDS
414.308
1438.3461
124,0381
11.
CONnNGENT LIABILtriES
Accor(Jlng ¢0 the tem￿ of the Bthjlng Grarrt Agr8erMnt twltt) Kent Crnjnty fA)wdl IKCCI. ￿ tharlty L8 118bb to
r•fund th• lull rna￿8t vakje lo KCC rf Ihe i# st40 wrtlmn 20 y88rs from tho date of comtA8ts"on of the
refurbislwneni and extensw.
12.
RELATED PARTY DISCLOSURES
Therè no r8181od p*ty tran8xknknth•￿lTrj•d 31 Jdy 2tr21.
Page 10

Illue Rocket A¢countlmg
8 Twislet4>n Court
Prlory Hill
DArtford
Kettl
DAI ZEN
St If*ry's Under Ffves Pliygroup.
Recre*tlon Ground
L4bndon Road
Greeohlthe
Kent
DA9 9DQ
Dear'l n￿tee$.
Wc h¢reby confim lo the best of our knowlcdge and belief, having made appropriate enquiries ofother
trustec8 and otricials of th¢ ¢harity. thc following repTLsen¢aUons given ¢0 you in connL'Lli(>n with your
examination of ihe financial sthiemenis for the year cndcd 3151 July 2021.
R*pre)*ntolions
We acknowlcdge as in￿[¢¢$ our rcsw)nsibilily for making accwa* reprcsentatiotL8 10 you and for (he
accoun15 which you have prcpared on IKhalf of the charity.
2. We continn that all thc a¢¢ounling records hai"e been made available to you tor the purpose of your
exumination 8nd tha¢ all the trgnsartions undertaken by the charity have been properly reflected dnd
recorded in the accouniing records. All oth¢r records and r¢iat¢d inf0m￿liOn. including minutcs of all
Irustcc and mcmbcrs, meetings. have been made avaKlabl¢ lo you.
Wc Lonfirni that. ai the balance shtti datr. the charity bad no tiabilities or provision¥ other than th08¢
rK0￿1Zed and no contingent liabiliiies other than those disclosed in the fitw]cial 5latements.
We confirm that there have been no events st￿¢ thc balance shcci dalc which require di.8closure or
"hich would ￿￿teriallY affect ihe atnounts ill the fina￿la1 siatements.. othcr than those alrcady
disrloscd or includcd in the fina￿1￿1 stat¢m¢nts.
Wc Confinn that the charity has not ￿￿￿tract¢d for any ￿pItal ex￿dIt￿re other than as disclosed in
the financial statements.
We ¢onfimi th*t therr no l#ws or ¥¢guhiioos that are central to the charity's ability to conduct is
business.
We confirm Ibat. in our opinioo the clwity'8 fitwKial Syatements should i* prepared on the grounds
that current and future souwes of funding or support wll be more than &dequale for the charity's
n¢¢d3.
We eottfirni thAt we are not aware of any trdnsactions with relatd parties requirÈng diselo$ure in th¢
financial statemetkts.

9. We confiTm that all grants. donations and other incotne. including those subject to speLial ten))s or
condiiions or received for restricled pU￿￿)seS, have been notified to YO￿ There hav¢ been no breaches
of ternLS or conditions duriug the peri(Ml regarding the appkncatioD of such income.
10. Wc acknowlcdg¢ ow r¢spon$ibility for the design and implementaiion of controls to prevent and
detect fraud. We confirni that we hav¢ disclosed to you the results of our own a&se&$n￿t of thc risk
of fruud in tbe charity.
I l. We confirni tha¢ thcTC have been no adual or I￿t￿n¢e$ of fraud involving trustL%S.
matLqgemcnL or employccs who hayc a sigwficant toll iti iniernal Control or that could havc a matcrial
effect on ihe financial statements. We also confirni ihat we aTe not aware of any allegaÈions of fraud
hy fornier trustees, employee& regulators or oiher5.
12. We ¢onfiTm that w¢ ar¢ not awar¢ of 8ny matters of material si8nificance that sknuld be retK)rted t()
th¢ Charity Commission.
Yours faithfully>
W¢ contirni thai th¢ abov¢ r¢pr¢s¢ntaiions ￿ madc on th¢ basis of ¢nquiri¢s of manag¢m¢nt and statTwith
relevant knowledge 8nd experience (and where appropriate. of itLspection of supportiiig documeDtBtion)
uffL¢icnt to saiisfy us that we ¢an prop¢rly make ca¢h of thw reprcscntstions to you.
Directorrrrusi¢e