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2021-03-31-accounts

WALTON COMMUNITY FACILITIES

(A company limited by guarantee)

Registered Charity Nº 1051983

Company Nº 3140513

REPORT AND FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021

The notes on pages 12 to 16 form an integral part of these accounts.

Page 1

WALTON COMMUNITY FACILITIES

TRUSTEE DIRECTORS’ ANNUAL REPORT and FINANCIAL STATEMENTS

YEAR ENDED 31 MARCH 2021

Contents Page
Trustee Directors’ Annual Report 3 – 6
Independent Examiner’s Report 7
Statement of Comprehensive Income 8
Statement of Financial Activities 9
Statement of Cash Flows 10
Statement of Financial Position 11
Notes to the Financial Statements 12 - 16

The notes on pages 12 to 16 form an integral part of these accounts.

Page 2

WALTON COMMUNITY FACILITIES

DIRECTORS’ REPORT

This report contains the information required by Part 4 of the Charities Act 2011.

Objectives and Activities

The objects of Walton Community Facilities, as set out in the Articles of Association, are to:

To further or benefit the residents of the civil parish of Walton, Milton Keynes and its environs, without distinction of sex, sexual orientation, race or of political, religious or other opinions by associating together the said residents and the local authorities, voluntary and other organisations in a common effort to advance education and to provide facilities in the interests of social welfare for recreation leisure time occupation with the objective of improving the conditions of life for the residents.

In furtherance of these objects but not otherwise, the trustees shall have power:

To establish or secure the establishment of community centres, meeting places and/or sports and recreation grounds, and to maintain or manage or co-operate with any statutory authority in the maintenance and management of such facilities for activities promoted by the charity in furtherance of the above objects.

Walton Community Facilities leases Wavendon Gate Pavilion, a community building and sports field, from Milton Keynes Council and manages these facilities to achieve the above objects. These activities include hiring the facilities to local User Groups, many of whom are charities themselves, who provide a range of educational, social, sporting and health services in order to improve the conditions of life and social welfare and advance education for the benefit of those living in the area.

Walton Community Facilities employs a full-time Booking Clerk/Caretaker and a part-time Cleaner. Much of the day to day maintenance and redecoration is undertaken by volunteers.

The Trustees of Walton Community Facilities confirm that they have had regard to the Charity Commission’s guidance on public benefit, in that they:

Achievements and Performance

Lignata ltd. which has provided accountancy and payroll software to Walton Community Facilities for the past 12 years free of charge, has had to withdraw its services. Walton Community Facilities has trialled several accounting and payroll packages and has now signed a contract with Xero and migrated all of its accounts to the cloud-based solution.

BT has previously offered free web hosting facilities for charities; however, in December 2020, Walton Community Facilities were notified that this free service was being withdrawn. Walton Community Facilities have now entered a contract with Microsoft to gain access to Office 365 for email services free of charge, and Kualo for free web hosting. We will be migrating our website to Kualo during FY21-22.

Walton Community Facilities is now able to offer a chargeable WiFi service to its users, based on voucher codes that enable internet access for a specified periods of time.

The global pandemic of Covid-19 affected the usage of Wavendon Gate Pavilion, with a significant impact on the revenue derived from charitable activities; however, during this period, we have obtained grants totalling £20,241 to bolster the balance sheet, and successfully applied for Employment Allowance from HMRC, which reduces our Employers NI contributions to nill for the foreseeable future.

Despite the challenges facing Walton Community Facilities, the charity continues to ensure Wavendon Gate Pavilion is being enhanced and improved wherever possible. During the year, we have attracted one additional Trustee Director to our committee to represent another one of our user groups.

Walton Community Facilities continues to provide facilities and services (through its regular user groups) to the local community and environs to promote education, sport, health and social wellbeing, to a wide variety of users both young and old.

Financial Review

The income obtained from the main charitable activities (the hire of the Hall, Cricket Facilities and Meeting Room) for the financial year 2020-21 was £15,535, down 46% compared to the previous year. Overall expenditure decreased during the year, resulting in total expenses for FY20-21 of £27,574, down 17% compared to the previous year. The charity reported a loss on its charitable activities of £12,039 for FY20-21, compared to a loss of £4,458 in the prior year.

The notes on pages 12 to 16 form an integral part of these accounts.

Page 3

However, Walton Community Facilities received grants in respect of:

The impact of Corona Virus on the normal charitable activities has been severe, however, several grants received during the year have bolstered the balance sheet to provide a reasonable financial cushion to weather the ongoing, global crisis.

Despite this challenging financial year, Walton Community Facilities elected to defer the price increases to our users. We expect to effect the price increases sometime during 2022, and expect these modest changes to have a positive impact on the charity’s operational profitability.

At the 31[st] March 2021, Walton Community Facilities held total funds of £56,031, of which £410 were Restricted Funds to be used on Health & Safety matters. Of the General Funds, the following have been designated or otherwise committed:

Walton Community Facilities policy on holding reserves is to maintain an unrestricted General Fund at a level of between 20% and 30% of the annual basic operating expenditure to ensure adequate working capital. The undesignated General Funds as of 31[st] March 2021 were £7,871, which represents 29% of the £27,574 expenditure for the financial year.

The undesignated General Funds are monitored monthly and compared to the last 12 months expenditures to maintain the reserves within acceptable bounds. If reserves significantly exceed the policy’s amount, additional projects are introduced to enhance the facilities for the benefit of its users, or hire charges are reduced; if reserves significantly fall below the policy’s amounts, discretionary costs are reduced, or in certain instances, hire charges may be increased.

Structure, Governance and Management

Walton Community Facilities is a charitable company, limited by guarantee, incorporated on 21 December 1995 as Wavendon Gate Pavilion, and registered as a charity on 31[st] January 1996. The company’s objects and powers are detailed within its Articles of Association (revised 4[th] June 2013). In the event of the company being wound up with net liabilities, the Members of the company are required to contribute an amount not exceeding £1.

The constitution requires a minimum of three, and a maximum of 15, Trustee Directors (the ‘Management Committee’), which is made up of Member Organisations and a minimum of two Independent Individual Members.

The Trustee Directors meet regularly to review planned progress, discuss achievements and objectives for the future, and resolve issues. The Trustee Directors also review the risks facing the charitable company, particularly health and safety considerations and insurance cover.

An Annual General Meeting is held for the company’s members to elect the Trustee Directors; additional Trustee Directors may be co-opted during the year if a vacancy exists.

The notes on pages 12 to 16 form an integral part of these accounts.

Page 4

Reference and Administrative Details

Charity Name and Number:

Walton Community Facilities (formerly: Wavendon Gate Pavilion) Registered Charity Nº: 1051983 Date of registration: 31 January 1996

Company Registration

Company Nº: 3140513

The company is registered in England & Wales, and is limited by guarantee with no share capital

Registered Office and Operational Address:

Walton Community Facilities Wavendon Gate Pavilion Isaacson Drive Wavendon Gate Milton Keynes Buckinghamshire MK7 7RZ

Tel Nº: 01908 584860 Mobile Nº: 07525 839818

Trustees:

As of 31[st] March 2021, the Trustee Directors were

Mr Colin Bowker [Chair] (Individual Member) Mr David Vant [Hon. Treasurer] (Individual Member) Mrs Lynda Allen (User Group Representative) Mr Mike Ames (User Group Representative) Mrs Nicola Wright (User Group Representative)

Secretary:

Mrs Caroline Vant

Bankers:

CAF Bank 25 Kings Hill Avenue Kings Hill West Malling Kent ME19 4JQ

Exemptions from Disclosure

There are no exemptions from disclosure of Reference or Administrative details.

Funds Held as Custodian Trustee on Behalf of Others

Walton Community Facilities does not act as a custodian trustee.

Plans for Future Periods

Walton Community Facilities’ prime focus during FY21-22 will be to improve its finances to ensure its continued, long-term viability. In addition, Walton Community Facilities will prudently utilise some of its reserves to improve the garden and other aspects of the premises to offer improved facilities to our beneficiaries and users.

Due to ever increasing bank charges, with little interest income, Walton Community Facilities will seek alternative banking services during FY21-22 to provide better value, and hopefully full integration with the new Xero accounting software.

The notes on pages 12 to 16 form an integral part of these accounts.

Page 5

Trustee Directors’ Responsibilities

The law applicable to charities and companies requires the Trustee Directors to prepare financial statements for each financial year, which give a true and fair view of the state of affairs of the charitable company for that period. In preparing these financial statements, the Trustee Directors are required to:

The Trustee Directors are responsible for keeping accounting records which disclose with reasonable accuracy at any time the financial position of the charitable company and to enable them to ensure that the financial statements comply with the Companies Act 2006 and the Charities Act 2011. The Trustee Directors are also responsible for safeguarding the assets of the charitable company and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

This report has been prepared in accordance with the Statement of Recommended Practice: SORP (FRS 102) effective 1 Jan 2015 and in accordance with the special provisions of Part 15 of the Companies Act 2006 relating to small companies.

Approved by the Trustee Directors on the 6[th] October 2021 and signed on its behalf by

Colin Bowker Trustee Director Walton Community Facilities Wavendon Gate Pavilion Isaacson Drive Wavendon Gate Milton Keynes MK7 7RZ

The notes on pages 12 to 16 form an integral part of these accounts.

Page 6

WALTON COMMUNITY FACILITIES INDEPENDENT EXAMINER’S REPORT

The notes on pages 12 to 16 form an integral part of these accounts.

Page 7

WALTON COMMUNITY FACILITIES

STATEMENT OF COMPREHENSIVE INCOME

For the year ended 31 March 2021

Notes
Turnover
Income from activities
(2)
Donations
(3)
Cost of Sales
Gross Surplus
Expenses
Administrative Expenses
(4)
Operating Surplus
Other Interest receivable and similar income
(5)
Surplus or Loss on ordinary activities before Taxation
Tax on Surplus or Loss on Ordinary Activities
(6)
Surplus or Loss on Ordinary Activities after Taxation
and Profit or Loss for the Financial Year
£
27,574
Total
2021
£
15,535
23,183
38,718
(0)
38,718
(27,574)
11,144
13
11,157
0
11,157
£
33,116
Total
2020
£
28,658
0
28,658
(0)
28,658
(33,116)
(4,458)
44
(4,414)
0
(4,414)

Total Recognised Gains and Losses

The company has no recognised gains or losses other than the profit and loss for the above two financial years.

The notes on pages 12 to 16 form an integral part of these accounts.

Page 8

WALTON COMMUNITY FACILITIES

STATEMENT OF FINANCIAL ACTIVITIES

For the year ended 31 March 2021

Notes
Income and Endowments from:
Donations and legacies
(3)
Charitable activities
(2)
Investments
(5)
Total Income and Endowments
Expenditure on:
Charitable activities
(4)
Total Expenditure
Net Income/(Expenditure)
Transfers between funds
(7)
Other Recognised Gains/Losses
Gains/(Losses) on revaluation of Fixed Assets
Net movement in funds
Reconciliation of Funds:
Total funds brought forward
(7)
Total funds carried forward
Restricted
Funds
2021
£
Unrestricted
Funds
2021
£
Total
Funds
2021
£
2,942
20,241
23,183
0
15,535
15,535
0
13
13
2,942
35,789
38,731
2,942
24,632
27,574
2,942
24,632
27,574
0
11,157
11,157
-
-
-
-
-
-
0
0
0
410
44,464
44,874
410
55,621
56,031
Total
Funds
2020
£
0
28,658
44
28,702
33,116
33,116
(4,414)
-
-
0
49,288
44,874

The notes on pages 12 to 16 form an integral part of these accounts.

Page 9

WALTON COMMUNITY FACILITIES

STATEMENT OF CASH FLOWS

For the year ended 31 March 2021

Notes
Cash flows from operating activities:
Net cash provided by (used in) operating activities
(8)
Cash flows from investing activities:
Dividends, interest and rents from investments
Proceeds from the sale of property, plant and equipment
Purchase of property, plant and equipment
Net cash provided by (used in) investing activities
Cash flows from financing activities:
Net cash provided by (used in) financing activities
Change in cash and cash equivalents in the reporting period
Cash and cash equivalents at the beginning of the reporting
period
(9)
Change in cash and cash equivalents due to exchange rate
movements
Cash and cash equivalents at the end of the reporting period
(9)
Restricted
Funds
2021
£
Unrestricted
Funds
2021
£
Total
Funds
2021
£
0
13,268
13,268
-
13
13
-
-
-
-
-
-
0
13
13
-
-
-
0
0
0
0
13,281
13,281
410
34,738
35,148
-
-
-
410
48,019
48,429
Total
Funds
2020
£
(41)
44
-
-
44
-
0
3
35,145
-
35,148

The notes on pages 12 to 16 form an integral part of these accounts.

Page 10

WALTON COMMUNITY FACILITIES

STATEMENT OF FINANCIAL POSITION

As at 31 March 2021

Notes
Fixed Assets:
Tangible Assets
Plant and Machinery etc.
(10)
IT & Computer Equipment
Total fixed Assets
Current Assets:
Debtors
Trade debtors
Other debtors
(11)
Cash at bank and in hand
Total Current Assets
Liabilities:
Trade creditors
Other creditors
(12)
Net Current Assets or Liabilities
Total Assets less Current Liabilities
Funds of the charity:
Restricted income funds
(13)
Unrestricted income funds
(13)
Total charity funds
Unrestricted
Funds
31 Mar 2021
£
Restricted
Funds
31 Mar 2021
£
Total
31 Mar 2021
£
8,529
0
8,529
0
0
0
8,529
0
8,529
116
0
116
353
0
353
48,019
410
48,429
48,488
410
48,898
589
0
589
807
0
807
47,092
410
47,502
55,621
410
56,031
0
410
410
55,621
0
55,621
55,621
410
56,031
Total
31 Mar 2020
£
11,040
189
11,229
439
323
35,148
35,910
1,480
785
33,645
44,874
410
44,464
44,874

For the year ending 31[st] March 2021, the company was entitled to exemption from audit under sections 475 and 477 of the Companies Act 2006.

Directors’ responsibilities:

These financial statements were approved and authorised for issue by the Management Committee on the 6[th] October and were signed on its behalf by:

Colin Bowker Director

The notes on pages 12 to 16 form an integral part of these accounts.

Page 11

WALTON COMMUNITY FACILITIES

NOTES TO THE FINANCIAL STATMENTS

For the year ended 31 March 2021

1. Accounting Policies

These financial statements have been prepared on an accruals basis under the historical cost convention, modified to include revaluation of freehold property, except for donated services and facilities, which are measured at the value of the gift to the charity.

The accounts have been drawn up in compliance with:

ii. The Financial Reporting Standard 102 (FRS 102), effective 1 January 2015, as a Public Benefit Entity (as defined in FRS 100), iii. The Companies Act 2006 and comply with the Charities (Accounts and Reports) Regulations 2008.

Voluntary income, received by way of grants, is recognised when the grant has been received and is included in full in the Statement of Financial Activities. Incoming resources from charitable activities are recognised on the accruals basis when it is probable that the income will be received.

Expenditure is recognised on the accruals basis and on the basis that it is probable that consideration will be received for the expenditure or at the point at which the provision is considered to become binding.

d) Tangible fixed assets, depreciation, and impairment

Assets costing more than £250 are capitalised and are stated at historical cost less depreciation. Smaller items of expenditure have been charged in the income and expenditure account. Initial costs of providing crockery, cutlery, etc. have been capitalised; it is anticipated that replacements will be charged in the income and expenditure account as incurred. Fixed assets are depreciated using the straight-line method at rates calculated to write off each asset over its expected useful life, as follows:

Computers & IT Equipment: 3 Years

Fixtures & Fittings and equipment: 7 Years

Impairment reviews are carried out when there is some indication that the recoverable amount of a functional fixed asset is below its net book value.

e) Description of Funds

Unrestricted funds are those that may be used for any purpose which complies with the charity’s aims and objects.

During the year, two Designated Unrestricted Funds were either created or maintained:

  - a) **UPCK** – [Unrestricted Project Cricket Kitchenette] maintained to fund the extension of the cricket facilities’ kitchenette.

  - b) **UFCR** – [Unrestricted Fund Capital Re-investment] created to fund capital re-investment of depreciated assets.

  - c) **UFER** – [Unrestricted Fund Employee Redundancy] created to fund employee redundancy in the event of company failure.

  - d) **UFCC** – [Unrestricted Fund CAT Contingency] created to as a contingency fund should the company purchase the facility under MK Council CAT

Page 12

2. Income from Charitable Activities

me from Charitable Activities
Hall Hire
Meeting Room Hire
Cricket Facility Hire
Storage Charges
Other Income
Total income from charitable activities
Restricted Funds
2021
Unrestricted Funds
2021
£
£
-
11,720
-
2,882
-
630
-
303
-
-
Total
2021
Total
2020
£
£
11,720
21,184
2,882
3,698
630
3,350
303
256
-
170
-
15,535
15,535
28,658

3. Donations, Legacies & Grants

The charity received the following grants.

HMRC Furlough Grant
MKC Business Support Package
Retail, Hospitality and Leisure Grant Fund
Total Donations, Legacies & Grants
Restricted Funds
2021
Unrestricted Funds
2021
£
£
-
2,942
-
10,241
-
10,000
Total
2021
Total
2020
£
£
2,942
-
10,241
-
10,000
-
-
23,183
23,183
0

4. Charitable Activities Expenditure

Light, Heat & Water
Communications
Insurance
Postage & Stationery
Repairs & Maintenance
Expensed Projects
Accounting Costs
Sundries
Discounts Allowed
Depreciation
Employee costs
Total charitable activities
expenditure
Restricted
Funds
Unrestricted Funds Unrestricted Funds Total
2021
Total
2020
£
£
2,419
3,392
795
893
476
483
42
21
1,805
1,697
-
-
50
50
2,044
1,988
1,498
2,035
2,700
3,141
15,745
19,416
Total Funds
(Restricted)
General
Funds
Total Funds
(Unrestricted)
£ £ £
- 2,419 2,419
- 795 795
- 476 476
- 42 42
- 1,805 1,805
- - -
- 50 50
- 2,044 2,044
- 1,498 1,498
- 2,700 2,700
- 15,745 15,745
0 27,574 27,574 27,574
33,116

5. Other Income

Interest Income on cash at bank
Total Other Income
2021
£
2020
£
13
44
13
44

6. Taxation

As a registered charity, the company has no liability to corporation tax.

Page 13

7. Outline Summary of Fund Movements

Fund Name
Unrestricted Funds
UPCK
UFCR
UFER
UFCC
General Funds
Fixed Assets
Total Unrestricted Funds
Restricted Funds
RCVJRS
RFHS
Total Restricted Funds
Total Funds
Fund balances
brought forward
£
500
15,041
3,750
10,000
3,944
11,229
Income
Expenditure
Transfers
£
£
£
-
-
-
-
-
2,700
-
-
2,230
-
-
5,000
35,789
(21,932)
(9,930)
-
(2,700)
-
Net Gains
and losses
Fund balances
carried forward
£
500
17,741
5,980
15,000
7,871
8,529
£
-
2,700
2,230
5,000
3,927
(2,700)
44,464
0
410
35,789
(24,632)
-
2,942
(2,942)
-
-
-
-
11,157 55,621
0
410
-
-
410 2,942
(2,942)
-
- 410
44,874 38,731
(27,574)
-
11,157 56,031

UPCK (Extension of cricket facilities’ kitchenette): Unchanged

UFCR (Capital Reinvestment): £2,700 of Unrestricted Funds was transferred into this fund for the replacement of depreciated fixed assets.

UFER (Employee Redundancy): Fund increased to accommodate increased level of redundancy payments, in line with government guidance.

UFCC (CAT Contingency fund): It was resolved to transfer £5,000 back from General Reserves to the UFCC fund.

General Funds: £9,930 was transferred from General Funds to replenish other unrestricted funds.

RCVJRS (Covid Virus Job Retention Scheme): £2,942 of Restricted Income was offset by £2,942 of Restricted Expenditure, all related to the UK Government furlough payments.

RFHS (Health & Safety): Unchanged

8. Reconciliation of net income/(expenditure) to net cash flow from operating activities

Net income/(expenditure) for the reporting period
(as per the Statement of Financial Activities)
Adjustments for:
Depreciation charges
(Gain)/losses on investments
Dividends, interest and rents from investments
Loss/(profit) on the sale of fixed assets
(Increase)/decrease in stocks
(Increase)/decrease in debtors
Increase/(decrease) in creditors
Net cash provided by (used in) operating activities
Restricted
Funds
2021
Unrestricted
Funds
2021
Total
2021
£
£
£
0
11,157
11,157
-
2,700
2,700
-
-
-
-
(13)
(13)
-
-
-
-
-
-
-
293
293
-
(869)
(869)
0
13,268
13,268
Total
2020
£
(4,414)
3,141
-
(44)
-
-
751
525
(41)

9. Analysis of cash and cash equivalents

Cash in hand
Notice deposits (less than 3 months)
Overdraft facility repayable on demand
Total cash and cash equivalents
Restricted Funds
2021
Unrestricted Funds
2021
Total
2021
£
£
£
410
48,019
48,429
-
-
0
-
-
0
410
48,019
48,429
Total
2020
£
35,148
0
0
35,148

Page 14

10. Fixed assets

d assets
Assets at cost
At 1 April 2020
Disposals
Acquisitions
Balance carried forward
Accumulated depreciation
At 1 April 2020
Elimination on disposal
Charge for year
Balance carried forward
Net book value
At 31 March 2021
At 31 March 2020
Property, Plant and
Equipment
(7-Year Depreciation)
£
Computers & IT
Equipment
(3-Year Depreciation)
£
Total
£
23,617
2,652
26,269
-
-
(0)
-
-
0
23,617
2,652
26,269
12,577
2,463
15,040
-
-
(0)
2,511
189
2,700
15,088
2,652
17,740
8,529
0
8,529
11,040
189
11,229

11. Other Debtors

er Debtors
2021 2020
£ £
Social Security 24 -
Prepayments 329 323
Total Other Debtors 353 323
ilities: Creditors: falling due within one year
Other Creditors 2021
£
2020
£
Accrued Expenses 50 50
Deposits Held 108 233
Allowance for Receivables 500 500
Reimbursements Owing 149 2
Total creditors falling due within one year 807 785

12. Liabilities: Creditors: falling due within one year

Deferred Income relates to payments received for hire of the facilities for the successive financial year. All Deferred Income is released in the successive year.

Page 15

13. Reserves

Funds
Unrestricted Funds
UPCK
UFCR
UFER
UFCC
General Funds
Fixed Assets
Total Unrestricted Funds
Restricted Funds
RCVJRS
RFHS
Total Restricted Funds
Total Funds 2021
Total Funds 2020
Total funds brought forward
Net movement in funds
Total Funds of the Charity
£
£
£
500
0
500
15,041
2,700
17,741
3,750
2,230
5,980
10,000
5,000
15,000
3,944
3,927
7,871
11,229
(2,700)
8,529
44,464
11,157
55,621
0
0
0
410
0
410

410
0
410
44,874
11,157
56,031
49,288
(4,414)
44,874

Fund UPCK – Unrestricted Project fund to extend the Cricket Kitchenette Fund UFCR – Unrestricted Fund for Capital Re-investment Fund UFER – Unrestricted Fund for Employee Redundancy Fund UFCC – Unrestricted Fund for CAT Contingency Fund RFHS – Restricted Fund for Health and Safety matters

Fund RCVJRS - Restricted Fund for Corona Virus Job Retention Scheme

14. Disclosure of Trustee and Staff Remuneration, Related Party and Other Transactions

Trustee Remuneration

The Trustee Directors did not receive any remuneration or any other benefits for the period reported.

Trustees’ Expenses

The Trustee Directors did not claim any expenses in fulfilling their duties for the period reported.

Staff Remuneration

ff Remuneration
Staff Remuneration
Social security costs
Employer Pension Contributions
Total staff costs
2021
2020
£
~~N~~o
£
~~N~~o
15,700
17,845
(318)
658
-
-
15,382
2.0
18,503
2.0

Social security costs reduced due to Employment Allowance for the current year, and backdated Employment Allowance for prior years, received in the current financial year.

There are no employees with emoluments above £60,000.

The directors waived any entitlement to remuneration during the period.

Related Party Transactions

Mrs. Caroline Vant (a ‘Connected Person’ as defined in section 188 of the Charities Act 2011 and ‘Related Party’ as defined in SORP (FRS 102)) received employment remuneration of £11,960 during the period 1[st] April 2020 to 31[st] March 2021. Mrs. Caroline Vant is the spouse of Mr. David Vant, a trustee of Walton Community Facilities.

Other Transactions

A payment of £50 was accrued to Mr. E. G. Bellamy (Chartered Accountant) for services in providing Independent Examination of these accounts.

15. Trustee Expenses

No expenses were claimed by the trustees

Page 16