## Chairman’s Report 

## General 

I would like to begin by thanking Graham Hamwijk for taking over the roll as Treasurer, a move that greatly assisted Terry Beckett last year.  A huge thank you must go to Terry following 15 years in the Treasurer’s role.  Also, thanks to Ian Ferres, for continuing to act as the Independent Examiner of the Association’s accounts, particularly as he is a close neighbour of Graham.  The continued fund raising over the past year has been remarkable and reflects the foresight of those Members who devised the ‘Supporting’ Individuals, Lodges and Chapters set up.  This still would not have been achievable without the relentless efforts of Doug Brodie to communicate with ‘Supporters’ and ensure the provision of funds during what has been a difficult period with lock downs and ‘shielding’. 

The Co-Chairmanship of the Events Sub-committee with Roz Brodie and Debbie Simmons proved a success in 2019.  Hopefully the Events List will be back to normal in the latter half of 2021. 

At least we were able to hold the Firework Display last year. 

The Friends also (thanks to sponsorship) paid for the Residents and Activities Staff to enjoy a Christmas Lunch. 

## Future Projects 

The project to provide a Shop, using the area which is inside the Main Lounge, in the corner nearest to the Main Reception remains the first activity the Friends will undertake when this becomes possible.  As reported last year the Shop will be funded by a very generous Legacy from ‘Friend’ Arthur Craddock. 

We still need to fund some remedial work needed on the Ground Surface of the 1950’s themed Garden on Jersey Wing. 

Plans have been drawn up, and there will be some financial support from the RMBI, for works to be carried out in (the main) Pam’s Garden.  Whilst not fully detailed at present it will involve rehousing the Ducks in a purpose-built enclosure.  Provision of a conservatory in the corner where the Ducks are today.  Improvements to the Pergola and the installation of a Garden Pod. 

The Friends will also be funding two Ipads, two Exercise Bikes and a 43 inch Smart Television. 

Conclusion 

Hopefully we will be able to move towards something close to normality as we progress through the second half of this year.  I am pleased that the Trustees, Officers, and Members of the Management and Events Sub-committees, Volunteers and Helpers remain in the background ready to resume their activities when we allowed to. 



I thank those Individuals, Lodges, Chapters and other Orders who give so generously and many regularly, in whatever form, one off donations, annual support, and in the future by sponsoring events. 

Thank you Beverley, Nina, the Activities and General Staff at the Home.  I particularly thank you for your efforts in keeping everyone safe throughout the Pandemic.  I also acknowledge the ongoing support provided by Dr John Reuther and the RMBI Care Co, and the continued support provided by the Three Local Provinces, London and Grand Metropolitan. 

## **Julien Sampson** 

Chairman of the Association of Friends of Prince Michael of Kent Court (Watford) 1[st] May 2021 



CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Section A
Independent Examiner's Report
Report to the trusteesl
members of
Association of Friends of Prin￿ Michael of Kent Court, Watford
On accounts for the year
ended
31st January 2021
Charity no
(if any)
1040781
Set out on pagos
2and3
I report to the trustees on my examination of the accounts of the above
charity {'the Trust.) for the year ended 3110112021.
Responsibilities and
basis of report
As the charity's trustees, you are responsible for the preparation of the
accounts in accordance with the requirements of the Charities Act 2011
{'the Act.).
I report in respect of my examination of the Trusfs accounts carried out
under section 145 of the 2011 Act and in carrying out my examination, I
have followed all the applicable Directions given by the Charity Commission
under section 145(5}{b) of the Ad.
Independent
éxamlnerfs statement I have completed my examination. I confirm that no material mattets have
come to my attention in connection with the examination (other than that
disclosed below") which gives me cause to believe that in. any material
resped.
the accounting records were not kept in accordance with section 130
of the Charities Act", or
the accounts did not acwrd with the accounting records- or
the accounts did not comply with the applicable requirements
concerning the form and content of accounls set out in the Charities
(Accounts and Reports) Regulations 2008 other than any requirement
that the accounts give a 'true and fair. view which is not a matter
considered as part of an independent examination.
I have no concerns and have Come across no other matters in connection
with the examination to which attention should be drawn in this report in
order to enable a proper understanding of thè accounts to be reached.
Slgned:
Date:
04
Name:
I W FERRES
Relevant professional
qualification
FCA
Address:
7 Wildwood
Northwood
Middlesex, HA6 2DB
1 of3

CHARITY COMMISSION
FOR ENGLAND AND WALES
A*tsoclaUon olFrlends of PrfnceMlch•wl of Kentcourt W¥¥ord
No 11)40781
CC16a
Receipts and payments accounts
For the period
Period start date
0110212020
Period end date
3110112021
Section A Receipts and payments
Unrestri¢lÈd
fvnds
RestTiCtÈd
fund$
Endowment
fund$
Total funds
Last y•at
toth• ne*r•$t
tothe n•wpst£
tothe n•areJt£
ttsthè neaTest£
tothfj n¢•rest£
A1 Receipts
Donot￿5
Membershp aryj Retyw&l$
Fund R8i$lng
B8nk IntereBt
24.438
24.438
148,834
7,735
32
32
2.100
2,18D
1,668
Sub total(Gmss incomo forARJ
A2 As88t and investment$abg0,
(seè tabl•).
2,110
36,130
158,116
1,1TrJ
totsi
32.950
2.180
35,130
169,216
A3Pa
ments
GoodSIServI￿s to BenefKiari&s
EntertairbMEnVSpec￿I Events
E4U￿rnentfor Home
Oiangèry Pmigct
EquiprwitfDfAa8OCiadoTr U9e
Pam Smith M8morial Gardon
AdM￿l$tration
Sundries
Propcts
InvestynentManag￿Tr￿nt F8B¥
10.117
10.117
1497T
2,570
6,688
125,251
1.431
381
3,280
61
61
88
136
632
14828
614
Sub tolal
14196
IB2,045
A4 A￿ètaftd inve8lme
urcha6•6
e8 table
2.1
2.180
1,666
1,68¢
Sub total
2,180
14,196
2.812
17.008
1S3,711
N•t of rnc•ipts/(payments)
A5 Transfers betsweon funds
A6 Cash fvnd$ lastyear end
Cash funds IhiTS year ond
18,7
632
18,122
6,605
38,239
4,144
651
43,034
61.156
37,529
43,034
19
Page2of3

Section B Statement of assets and liabilities at the end ol the period
restrictsd
R8¥lri¢ted
Endowtn8r¥t
funds
torthir•x£
Bl Cash funds
twvst
244
Ch*¥ Stan*ln¥ssbMntFun
19
rolalc*8lp funds
5S,993
19
Unmtrlctod
fund6
R6sblql8d
CuymrtvaluE
83 In¥estsThntasstts
sa).is
F￿n￿l0￿h
CtsrmrtvAlIJ
tiaaal
B4 Assets retsln6d tortho
¢harsty'$ own u8•
IB*￿ItyVe￿tÈX
IWona
BS LiabilTrtie
SiBn¥J bYLv￿or￿ trusieegon
Sw)nature
Print Mame
Date of
oval
GRAHAM HAMVVIJK
PALPH WOOLAEAD
P4ge3of3