Company Number 03423104 Charity Number 1070744
RODLEY NATURE RESERVE TRUST LTD
DIRECTORS' REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
Company Number 03423104 Charity Number 1070744
RODLEY NATURE RESERVE TRUST LTD
Report of the Directors for the year ending 31 December 2025
The directors are pleased to present the annual directors' report together with the financial statements for the Trust for the year ended 31 December 2025, which are also prepared to meet the requirements for a directors' report and accounts for Companies Act purposes.
The financial statements comply with the Charities Act 2011, the Companies Act 2006, the Memorandum and Articles of Association, and Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and the Republic of Ireland (FRS102) as applicable to small entities.
Objectives and activities
The company's objective and its principal activity is the care and management of leased lands at the former Rodley Sewage Treatment Works as a nature reserve. This is achieved by habitat management for wildlife, in particular the wildlife of wetland habitats, and the education of the public in the understanding, appreciation and enjoyment of wildlife.
Achievements and performance
The Reserve reached another milestone this year celebrating the 25th anniversary of its official opening by the then Minister of State for the Environment, the Rt. Hon. Michael Meacher MP. Thanks to a dedicated band of volunteers and the support of many individuals and organisations it has been possible to create something very special here, not just a haven for wildlife but a valuable community asset too. None of this would have been possible without the commitment and support of Yorkshire Water and we must thank them for giving us this wonderful opportunity.
Our habitat management team of volunteers had another busy year. Further development and maintenance work took place at the Dragonfly Ponds where water plants were introduced with varying levels of success and the area continues to be under development.
The thatched roof of the education shelter at the corner of Tim's Field was looking very sad and the decision was taken to re-roof using cedar shingles. The work was carried out by our volunteers and the result was a very smart revamp of the shelter, celebrated with a "topping-out" ceremony.
Along with the Yorkshire Water support mentioned above, we received personal donations from a number of Friends of the Reserve.
Species sightings
A highlight in the early part of the year was the appearance of an adult Otter and two juveniles on the river by the bridge on 19[th ] January. Otters can travel long distances on the river and so the number of sightings can vary considerably from year to year. This year proved to be a good one with numerous further sightings.
New species continue to be recorded but a Bee-eater, seen by a lucky few on 12[th] April, was unexpected.
Another new species was a dragonfly - the Norfolk Hawker. A male was recorded at the Dragonfly Ponds on 21st and 22[nd] June. Just a week later a female was observed egg-laying in two of the ponds – all good signs for the future.
Cormorants are a common sight on the Reserve but a bird with a coloured leg ring spotted in a tree on one of the islands on the Lagoon on 17[th] August received special attention. On investigation it was found to have been ringed as a nestling in the Netherlands just two months earlier. Another colour ringed bird, a Little Egret photographed on the Duck Marsh on 18[th] October, proved to have been ringed in the nest at Hale Duck Decoy in Cheshire on 22[nd] May this year.
Barkers / Airedale Mills development
Finally the Trust continues to be faced with issues with regard to the development of the Barkers Field area that is adjacent to the entrance to the Reserve. At December 2025 the situation was largely unchanged since our report in the 2022 accounts, however in 2026 work has started to prepare the site for construction.
As previously noted, the maintenance of an adequate ecology buffer/wildlife corridor between the properties and the river throughout the building process and in the longer term continues to be an area of particular concern as it is extremely important to maintain connectivity of wildlife populations along the river. We are also concerned as to how this zone is to be protected and have stressed the need for adequate secure fencing before the construction phase begins.
The Trust continues to work closely with local councillors and Leeds City Council planning officers and Yorkshire Water to ensure the interests of the Reserve, its users and local communities are protected.
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Company Number 03423104 Charity Number 1070744
RODLEY NATURE RESERVE TRUST LTD
Managing for the Public Benefit
The Directors have paid due regard to the Charity Commission's guidance on public benefit in deciding what activities the charity should undertake. Rodley Nature Reserve Trust recognises the need to carry out its charitable activities for the benefit of the public and retains this aim at the centre of its strategic planning.
Education will always be an important part of our work and bookings for 2025 were again at capacity, with our Education Team welcoming 27 primary school classes. All activities offered are linked to the school curriculum. Bookings for 2026 were also at capacity before the end of the summer term.
We had another 5 visits from older students and 17 uniformed organisations, providing a range of activities for them. These have taken place on those days when we are not open to the general public.
Our own children’s club, the Rodley Robins continues to go from strength to strength with a waiting list for places. 2026 will be our 10th Anniversary and since its inception, over 30 children have enjoyed the nature activities we have offered
Our events team had another busy and successful year organising and running a range of different events throughout the year, starting with the RSPB Big Garden Birdwatch in January, Nest Box Building in February, Easter Egg Hunt, in partnership with Aireborough Rotary Club, on Easter Sunday, Spring Bird Walk to celebrate International Dawn Chorus Day in May, Nature Quest Day in July, Fungus Forays in October, ending with the Halloween Event on Sunday 25[th] October. Supervised Pond Dipping during the summer months was, as always, popular with the children as were the Bat Nights and Moth Trapping. All our events are provided free of charge.
Fundraising Policy
Rodley Nature Reserve Trust does not employ agents to raise funds on their behalf, nor does it undertake unsolicited mailings to request donations.
Funds are raised through:
Grants received
Unsolicited donations and legacies from members of the public Membership of the Friends of Rodley Nature Reserve
Corporate donations either unsolicited or via application/nomination
Off site donation boxes where the responsible official has either requested in writing, or has given written permission On site donation boxes
On site fund raising events
Sales of products and light refreshments within the Visitor Centre
Financial Review
The Statement of Financial Activities shows a net profit of £3,104 and total funds as at 31 December 2025 of £556,348
The Directors have a policy to retain reserves adequate to maintain and operate the Nature Reserve for one year should no income arise plus £5,000 as a contingency. They estimate that this would together require £40,000. At 31 December 2025 the unrestricted reserves are £332,855 (2024 £319,177).
Future Developments
Looking ahead in 2026, work has commenced in the early part of the year on the building development on the Barkers Field site. The trustees continue to monitor developments, in particular potential access issues during construction.
Finally, can we once again say a big thank you to all our volunteers and visitors who have continued to support us throughout the year and, of course, the Friends of Rodley Nature Reserve who have continued to raise the valuable funds needed to maintain this wonderful place.
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Company Number 03423104 Charity Number 1070744
RODLEY NATURE RESERVE TRUST LTD
Directors, Senior Officials, Advisors and Administrative details
The Directors (also referred to as Trustees) in position on the date this report was approved are:
M J Bellwood C Finn R Gander J S Knapp K A McLeod P Murphy D A Nesham L Staniland D Swann A Woodall
The Directors named above are Full Members of the Company.
Company Secretary P Murphy Company Number 3423104 Charity Number 1070744 Registered Office 12 West End Lane Horsforth Leeds LS18 5JP Bankers Virgin Money 94 - 96 Briggate Leeds LS1 6NP National Westminster Bank plc 7 Hustlergate Bradford BD1 1PP The Charity Bank Ltd Fosse House 182 High Street Tonbridge TN9 1BE Honorary Independent Examiner C Lawrence 8 High Ash Avenue Leeds LS17 8RG
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Company Number 03423104 Charity Number 1070744
RODLEY NATURE RESERVE TRUST LTD
Structure, Governance and Management
Governing Document
Rodley Nature Reserve Trust is a company limited by guarantee governed by its Memorandum and Articles of Association, and was incorporated on 27 August 1997. It is registered as a charity with the Charity Commission.
Anyone over the age of 18 can become a member of the company provided they are approved by 75% of the Directors appointed at the time of their application. There are currently 10 members each of whom agrees to contribute £1 in the event of the charity winding up.
Appointment of Directors
Members have the power to appoint directors. Also the directors have the power to appoint no more than 4 additional directors to their number, subject to approval by 75% of the directors.
Organisation
The charity is organised so that the Directors normally meet once a month to manage its affairs.
No staff were employed by the charity during the year. However the charity is grateful to volunteers for the skills and support they so willingly bring.
Friends of Rodley Nature Reserve were set up in 2001 as a Branch with the sole purpose of raising funds for the Trust. The Friends meet bi-monthly and manage a separate bank account.
Risk Management
The Directors are to continue to review the major risks to which the charity is exposed, and systems have been established to mitigate these risks.
Internal risks are minimised by the continued implementation of procedures for authorisation of all transactions and projects and to ensure consistent quality of delivery for all operational aspects of the company. These procedures will be periodically reviewed to ensure they still meet the needs of the company.
: select suitable accounting policies and then apply them consistently;
: observe the methods and principles of the Charities SORP;
: make judgements and estimates that are reasonable and prudent;
: prepare the financial statements on the going concern basis unless it is inappropriate to presume that the Trust will continue in business.
The directors are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the Trust and to enable them to ensure that the financial statements comply with the Companies Act 2006. They are also responsible for safeguarding the assets of the Trust and hence for taking steps for the prevention and detection of fraud and other irregularities.
The directors are responsible for the maintenance and integrity of the corporate and financial information included in the charitable company's website.
Statement as to disclosure to our Independent Examiner
In so far as the Directors are aware at the time of approving our annual report:
- a) there is no relevant information, being information needed by the Independent Examiner in connection with preparing his report, of which the Independent Examiner is unaware.
b) the directors have made the necessary enquiries that they ought to have individually taken, have each taken all the steps that he/she is obliged to take as a director in order to make themselves aware of any relevant information and to establish that the Independent Examiner is aware of that information.
By order of the board of directors
Date: 24 June 2026
K A McLeod (Director and Treasurer)
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RODLEY NATURE RESERVE TRUST LTD Company Number 03423104 Charity Number 1070744 INDEPENDEKf EXAMINER'S REPORT FOR THE YEAR ENDED 31 DECEMBER 2025 Rosponslbllltlo• and bal• rf rnport As the charitjls trustees you are Tesfvxwibk for the of the axA)unts #) OrdanCe wtth the Charities Act 2011 {'the ACV) I report in respect of my examination of trft Twsf$ )Unts carried out uler secthM 145 of the 2011 Act and in caThwng OLrt my examinakn I have all appkable Direc1NS gi1 by Ihe Charity Commissson under section 145151{b) of the A¢L Indopendont oxamln•rf• 8tat•mw I have Completed my examinalion. I confmi Ihat no material mattth5 have comè to my attentlon In connection 1 the accountlng records not kept in Thlth secticm 130 of the Chwilres Art. or 2 the accounts dij not accord wth the Untsng reCd¥. or 3 the accounts dMI not compty with the applul)le Uirements conceming the fom and contenl of Charities (Accounts and ReF4)rts) Regulalxms 2008 other than any requirement that the accounts glve a Irue and fairf is not a maiief con8m as Fot of an Indepondent ex]not)n I have no concems and Iwe come &ross rK* otrw mattern kn eonneLtlon th8 examlnation to which attentK)n shwld be dra in this r8rrtxt In order to enab a understsndlrKJ of the accounts to be reached. C LaYKence 8 HhJh Ash Avenue Leeds LS17 8RG
Rodley Nature Reserve Trust Limited
Statement of Financial Activities for the Year Ended 31 December 2025 (Including Income & Expenditure Account)
| Note Income from: Donations and legacies 3 Charitable activities 4 Other trading activities 5 Bank Interest receivable 6 Total Expenditure on: Raising funds 5 Charitable activities 7 Total Net income/(expenditure) Transfers between funds 8 Net movement in funds Reconciliation of funds: Total funds brought forward Total funds carried forward |
Unrestricted Restricted Total Funds Funds Funds 2025 £ £ £ 39,490 599 40,089 14,735 - 14,735 24,280 - 24,280 3,659 - 3,659 82,164 599 82,763 16,322 - 16,322 63,189 148 63,337 79,511 148 79,659 2,653 451 3,104 11,025 ( 11,025) - 13,678 ( 10,574) 3,104 319,177 234,067 553,244 332,855 223,493 556,348 |
Total Funds 2024 £ 32,212 11,042 22,758 3,882 69,894 16,236 55,551 71,787 ( 1,893) - ( 1,893) 555,137 553,244 |
|---|---|---|
There were no recognised gains and losses for 2025 and 2024 other than those included in the income and expenditure account.
The notes on pages 10 to 13 form part of these accounts.
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Rodley Nature Reserve Trust Limited
Statement of Financial Position/Balance Sheet as at 31 December 2025
| Note Fixed assets Tangible fixed assets 13 Current assets Stocks 14 Debtors 15 Cash at bank and In hand 16 Creditors: Amounts falling due within one year 17 Net current assets Net assets The funds of the charity: Restricted income funds 18 Unrestricted funds 18 Total charity funds |
2025 £ £ 366,437 3,041 13,917 176,914 193,872 ( 3,961) 189,911 556,348 223,493 332,855 556,348 |
2024 £ £ 375,532 2,288 12,559 176,020 190,867 ( 13,155) 177,712 553,244 234,067 319,177 553,244 |
|---|---|---|
For the financial year ended 31 December 2025 the company was entitled to exemption under section 477 of the Companies Act 2006 relating to small companies.
No members have required the company to obtain an audit of its accounts for the year ended 31 December 2025 in accordance with section 476 of the Companies Act 2006.
The directors acknowledge their responsibility for complying with the requirements of the Act with respect to accounting records and for the preparation of the accounts.
Approved on behalf of the Board of Directors on
and signed on its behalf.
Date: 24 June 2026
K A McLeod
Director and Treasurer
The notes on pages 10 to 13 form part of these accounts.
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Rodley Nature Reserve Trust Limited
Notes to the Accounts for the Year Ended 31 December 2025
----- Start of picture text -----
Cashflow Statement 2025
£
Cash flows from operating activities
Net cash provided by operating activities 14,677
Cash flows from investing activities
-
Proceeds from sale of property, plant and equipment
Purchase of property, plant and equipment ( 13,783)
Change in cash in the reporting period 894
Cash at the beginning of the period 176,020
Cash at the end of the period 176,914
2025
Reconciliation of Net Income/(expenditure) to net £
cash flow from operating activities
Net Income 3,104
Adjustments for
Depreciation charges 22,878
-
Loss on disposal of fixed assets
Provision for liabilities -
(Increase)/decrease in stocks ( 753)
(Increase)/decrease in debtors ( 1,358)
Increase/(decrease) in creditors ( 9,194)
Net Cash Provided by operating activities 14,677
Analysis of cash and cash equivalents 2025
£
Cash in hand and instant access accounts 8,188
Notice deposits (less than 3 months) 127,935
Notice deposits (greater than 3 months) 40,791
-
Overdraft facility repayable on demand
Total cash and cash equivalents 176,914
----- End of picture text -----
Reconciliation of net debt
The Trust has no borrowings other than trade creditors payable on normal terms and therefore does not prepare a reconciliation of net debt
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Rodley Nature Reserve Trust Limited
Notes to the Accounts for the Year Ended 31 December 2025
1 Accounting policies
a) Basis of preparation of accounts
The financial statements have been prepared in accordance with Accounting and Reporting by Charities: Statement of Recommended Practice applicable to Charities in the UK and Republic of Ireland (FRS 102) - (Charities SORP (FRS 102), the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)) and the Companies Act 2006 as applicable to small entities.
b) Preparation of the accounts on a going concern basis
The directors are satisfied that accounting for the Trust on a going concern basis is fully justified.
c) Income
Voluntary income is received by way of grants, donations, gifts & subscriptions and is included in full in the Statement of Financial Activities in the year in which they are receivable.
d) Expenditure
Expenditure is recognised in the period in which it is incurred. Expenditure includes attributable VAT which cannot be recovered.
e) Operating leases
Rentals applicable to operating leases where substantially all the benefits and risks of ownership remain with the lessor are reflected in the Statement of Financial Activities as incurred.
f) Depreciation
Depreciation is calculated to write off the cost of tangible fixed assets on a straight line basis over their expected useful lives.
Leasehold Improvement Nature Reserve 50 years Buildings and Infrastructure 25-50 years The asset lives are though reduced to the period to the end of the lease (2058) if shorter than the above period Hides and Shelters Metallic 25 years Wooden 10 years Plant & Equipment 4 years Fixtures and Fittings 10 years
g) Stock
Stock is stated at the lower of cost and net realisable value, after making due allowance for any obsolete items
h) Debtors
Trade and other debtors are recognised at the settlement amount due after any trade discounts offered. Prepayments are valued at the amount prepaid net of any trade discounts due.
i) Creditors
Creditors are recognised where the Trust has present obligations resulting from a past event that will probably result in a transfer of funds to a third party and the amount due to settle the obligation can be measured or estimated reliably. Creditors are normally recognised at their settlement amount after allowing for any trade discounts.
j) Unrestricted Funds
Unrestricted funds are donations and other incoming resources receivable or generated for the objects of the Trust without further specified purpose and are available as general funds.
k) Restricted funds
Restricted funds are to be used for specific purposes as laid down by the donor. Expenditure which meets these criteria is charged to the fund.
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Rodley Nature Reserve Trust Limited
Notes to the Accounts for the Year Ended 31 December 2025
2 Legal status of the Trust
The Trust is a company limited by guarantee and has no share capital.
In the event of the company being wound up, the liability is limited to £1 per member.
3 Donations and legacies
| 3 Donations and legacies Donations Legacies Friends Of RNR Subscriptions Gift Aid Refundable 4 Charitable activities Grants - Natural England Memorial Plaque and pond dipping equipment 5 Other trading activities for raising funds Visitor Centre sales Visitor Centre cost of sales Margin arising 6 Other income Interest receivable on cash deposits 7 Expenditure on charitable activities Habitat Management Visitor Centre Overheads Central Overheads Included above Arising on: Restricted assets Unrestricted assets |
Unrestricted Funds £ 14,997 12,880 12,434 40,311 |
Unrestricted Restricted Funds Funds £ £ 26,794 599 1,500 - 7,324 - 3,872 - 39,490 599 Unrestricted Restricted Funds Funds £ £ 14,735 - - 14,735 - Depreciation /Loss on disposal Restricted Funds £ £ 14,866 - 3,766 148 4,246 - 22,878 148 Depreciation Loss on Disposal £ £ 11,025 - 11,853 - 22,878 - |
Total Total 2025 2024 £ £ 27,393 22,557 1,500 - 7,324 6,335 3,872 3,320 40,089 32,212 Total Total 2025 2024 £ £ 14,735 10,842 - 200 14,735 11,042 2025 2024 £ £ 24,280 22,758 16,322 16,236 7,958 6,522 32.8% 28.7% 2025 2024 £ £ 3,659 3,882 Total 2025 Total 2024 £ £ 29,863 25,937 16,794 16,879 16,680 12,735 63,337 55,551 Total £ 11,025 11,853 22,878 |
|---|---|---|---|
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Rodley Nature Reserve Trust Limited
Notes to the Accounts for the Year Ended 31 December 2025
8 Transfer between funds
The transfer between funds represents the depreciation incurred on assets acquired with restricted funds but utilised for unrestricted activities.
9 Operating leases
On 28 August 1998 the Trust entered a 60 year lease with Yorkshire Water Services Limited in respect of the land at Rodley Meadows Sewage Treatment Works, Rodley, Yorkshire, at a rent of £50 per annum. In 2001, 2007, 2015 and 2019 additional pieces of land were transferred under the original lease increasing the annual rent to £61 per annum. In 2024 a small parcel of additional land was added to the lease at no cost, to enable an extension and improvement to our disabled parking facilities.
10 Employees' remuneration
The Trust is operated entirely by volunteers who receive no remuneration. Their tasks primarily involve the management of the reserve and the Friends of Rodley Nature Reserve Group, habitat management, operation of the Visitor Centre and providing education opportunities for members of the local community and visitors.
11 Directors' remuneration, reimbursed expenses and donations
No director received remuneration for their service during the year.
A total of £4,904.22 was reimbursed to 5 of the directors, officers or their direct family during the year in respect of expenditure incurred on behalf of the reserve. These payments were for publicity, post, administration, purchase of stock for resale, protective clothing and habitat management (2024 - £2,562 to 7 directors or officers).
A further 2 directors and one volunteer operated floats throughout the year, totalling expenditure of £7,136.96 on kitchen goods and hygiene products, education supplies and printing, fuel and oil for habitat machinery and assorted small item habitat expenditure (2024 £6,634).
All float expenditure is reviewed and approved.
Further, 7 directors, officers and their direct family subscribed to the Friends of Rodley Nature Reserve or made donations to the value of £90 (2024 £160 by 10 directors).
12 Taxation
The Trust is a registered charity and is exempt from income and corporation tax to the extent that the income and gains are applicable and applied to charitable purposes only.
| 13 Tangible assets Cost or Valuation: At 1 January 2025 Additions in Year Disposals in Year At 31 December 2025 Depreciation At 1 January 2025 Disposals in Year Charge for Year At 31 December 2025 Net Book Values At 31 December 2025 At 1 January 2025 14 Stocks Visitor Centre Goods for Resale |
Nature Buildings & Hides & Fixtures Reserve Infrastructure Shelters & Fittings £ £ £ £ 180,000 298,353 58,561 61,559 - 3,928 3,166 6,219 - - - - 180,000 302,281 61,727 67,778 93,600 75,895 27,998 29,571 - - - - 3,600 10,723 2,562 4,236 97,200 86,618 30,560 33,807 82,800 215,663 31,167 33,971 86,400 222,458 30,563 31,988 L/H Improvements |
Plant and Total Equipment £ £ 62,316 660,789 470 13,783 - - 62,786 674,572 58,193 285,257 - - 1,757 22,878 59,950 308,135 2,836 366,437 4,123 375,532 2025 2024 £ £ 3,041 2,288 |
|---|---|---|
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Rodley Nature Reserve Trust Limited
Notes to the Accounts for the Year Ended 31 December 2025
| 15 Debtors & prepayments Prepayments HMRC - Gift Aid Natural England - Education Visits Other Debtors 16 Cash at bank and in hand Cash in hand Cash in current accounts Cash held on deposit - less than 3 months notice Cash held on deposit - greater than 3 months notice Balances on deposit have a notice period of 100 days or less 17 Creditors: Amounts falling due within one year Accounts Payable - Third Parties Accruals & Deferred Income 18 Funds of the charity Balance at 1 January 2024 Surplus/(Deficit) for the year to 31 December 2024 Balance at 31 December 2024 Surplus/(Deficit) for the year to 31 December 2025 Balance at 31 December 2025 Restricted reserves are represented by NBV of fixed assets acquired through restricted donation Restricted donations received not yet spent |
Unrestricted Reserves £ 309,751 9,426 319,177 13,678 332,855 |
2025 2024 £ £ 4,631 3,909 3,372 3,320 5,500 5,300 414 30 13,917 12,559 2025 2024 £ £ 130 539 8,058 5,895 127,935 127,088 40,791 42,498 176,914 176,020 2025 2024 £ £ 3,521 12,530 440 625 3,961 13,155 Restricted Reserves Total £ £ 245,386 555,137 (11,319) (1,893) 234,067 553,244 (10,574) 3,104 223,493 556,348 2025 2024 £ £ 223,042 234,067 - - 223,042 234,067 |
|---|---|---|
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CHARITY COMMISSION FOR ENGLAND AND WALES Independent examinerfs report on the accounts Section A Independent Examiner's Report Report to the tntee51 members of Rodley Nature Reserve Tn1 Limited On accounts for th• y•ar ended 31 Decembw 2025 Charity no (If any) 1070744 Set out on pages 7-13 I report to the trustees my examination of the accounts of the above ctk2rity (tr TnJ8f) for the year ended 31M2f2025. R8sponslbllltlo8 and basis of report As the charity's trustees. you are respLx)sible for the preparation of the accounts in acc(KdarTh with the requiremerrts of the Charities Act 2011 (Wie Acr). I report in reS¢t of my examlnation of the Trust's accounts carried out under section 145 of the 2011 Act and in carrying out my examinats'on, I have foll(Y44ed all the applicable Directions given by the Charlty Commission urKler 8ection 145(5)(b) of the Act. Independent oxaminorfs Statement I have c¢ynpleted my examination. l eonfim that no material matters have come to my attention in connedion with the examination (other than that disclosed bekw") vthich give8 me cau88 to boliev8 that in, any material resp.. the accountirvJ rec4yd8 *tre not kw in accordan with 8ection 130 of the Charities Ac( or the accounts did not a¢¢ord with the accounting records. or the accounts did not comply with the applicable requirnents concerning the forni and content of accounts set out in the Charities {Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a Mrue and fair, view which is not a matter considered as part of an indeFendent examination. I have no concems aThl have come auoss rK> other matters in connection with the examination to which attention should be dwn in this report in order to enable a proper understanding of ' Please delete the WDnJs in the braet$ rfthey (kn not appty. Slgned: Namo: Chris Lawrence IER Oct 2018
Relevant profossional qualification($) or body (if any): ICAEW, STEP Address: 8 High Ash Avenue Leeds LS17 8RG Section B Disclosure Only complete rf the examiner needs to highlTrght material matters of concem . (see CC32. Independent examinats'on of chatity accourrts: diredions and guKlance for 8xamin8rs). Give here brief details of any Items that the examiner wishes to dlsclose. IER Oct 2018