Roglstered number. 03665818
Charity nurn￿r: 1076056
NORMANDY COMMUNITY THERAPY GARDEN
(A C¢)mpany Llmttod by Guarantee)
UNAUDrrED
TRUSTEES. REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2026

NORIWIDY CI)MMUNITY THERAPY GARDEN
IA Company Limitad by GuaAnts•)
CONTENTS
Page
Reler•nc8 and Admlnlstratlvo Dotats of the Company• Il• Tn*tOe8 and AdvlBer•
Tru8ts08' R•port
Trust￿. R••pon$lbllldo• Slat•m•nt
Ind•pond•nt Examln¢f• R•port
St•temont of Flnanclal Actlvltla•
10
Balance Sheet
Not•• to tho Flnanclal Stat•mwl•
13-20

NORMANDY COMMUNrrY THERAPY GARDEN
(A Company Llmlted by Guarnntse)
REFERENCE AND ADMINISTRATIVE DETAILS OF THE COMPANY. ITS TRUSTEES AND ADVISERS
FOR THE YEAR ENDED 31 MARCH 2025
Patrons
Dame Penelope Keilh
Jez Stsmp
Trustees
A F EveT¥tt, Chair
J P Gaskell
E Hussey
N P Jones (resigned 8 April 2025)
R D Martin. Vice Chair
R J Shears, Treasurer
J Woodhams (resigned 8 April 2025)
Company rog1stsr￿ number
03685818
Charity rnglstsred number
1076055
Reglstered offlco
The Therapy Garden. Manor Fruit Fami, Glaziers Lane. Nonnandy, Guildford. Surrey, GU3 2DT
Company ￿retary
S R Diamond
A¢¢ountants
Shaw Gibbs (Audit) Limited. Wey Court West. Urtion Road, Farnham. GU9 7PT
Bankers
HSBC UK, PO Box 180, 12A North Street. Guildford. Surrey. GU14AF
Page 1

NORMANDY COMMUNrrY THERAPY GARDEN
(A Company Limlted by Guarantee)
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2025
The Truslees present their annual report together with the financial stalernents of the Nomiandy Community
Therapy Garden for the year 1 Aprll 2024 to 31 March 2025. The Annual Report seNes the purposes of both
Trustees, report and a direclors, r8POrt under company law. The Trustees confimi that the Annual Report and
financial ststements of the charitable company compty with Ihe current statutory requirements. the requirements
of the char(table companls goveming document and the provisions of the Statement of Recommended Practice
(SORP) applicable to charities preparfng their accounts in accordance with the Financial Reporttng Stsndard
applicable in the UK and Republic of Ireland (FRS102) (effe¢live 1 January 2019).
Since the Company qualffies as small under sectron 382 of the Companies Act 2006, the Strategic Report
requlred of medlum and large companles under the Companles Act 2006 (Strategic Report and Dlrectors.
Report) Regulations 2013 has been omitted.
1. ObJe￿IVeS and actlvltl
Pollclo9 and obJectlve8
The Therapy Garden's purpose is to have o Positive and significant impact on the liv85 of people facing
challenges in lrfe through the power of gardening. Typically, ow clients could be living with a leaming difficulty, a
physical disability or a mental health condltion. They could range from a secondary school ctuld with spedal
needs through to an elderly person with Alzheimerfs.
In setting obiectP4es and planning for actlvtties. the Truslees have given due conslderatlon to general guldance
published by the Charsty Commission relating to public benefft. induding the guidance 'Public benefit: running a
charity (PB2)'.
b. Acllvities undertak¢n to achlove objectives
Green SCI￿01. Supporting students from local malnstr8am and Spechl Educational Needs (SEN) Schools to
ork towards an entry level cty and Gullds qualificatlon andlor an AQA award. Support is also provided to
students finding a traditional classroom setting challenging with one to one provision and handswon
experience of gardening.
Cuftivating Skills.. Offering Sooal and Therapeutlc hortlculture to adults with a range of physical or mental
health dIff￿ltieS by promoting wellbeing through aclive engagement wllh hortlculture.
Gardening for W811b8iry. Wellbeing Wednesday, 8 weekly group on a Wednesday morning that focuses on
individuals vath different weltbeing needs each week:_
Sp8ce to 8r8athe: for those who are anxlous. soclally isolated or suffwing from mild mental health
problems.
Stroke ofGenius. Working with Strd(e suTrivors who are referred by Ihe Stroke Association or self referred.
Ganlen Paslimes: Working with cllents with Alzheimers or D￿entIa
Maln actlvllles undertaken to further the Compan￿9 purposes for the publ1¢ bwofft
Given that all our dients are Imng with a learning disabilty, a physical disabllity. a mental health condition or ar8
vulnerable mernbers of the community. all our work is focused on making a poslllve Impact on their lives. This
¢ould be by building their psychologlcal. physical or social abllities
or it might be providlng supplementary
educational opportunllles, to enable them to pursue further education and training - or to enter the employment
market. Underpinnlng all of these is the enhanced sense of confidence and wellbeing that ￿su115 from a
petsonalised programme of gardening and related actDiitles.
Page 2

NORhlANDY COMMUNITY THERAPY GARDEN
IA Company Umltod by Guarantee)
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2026
Achtevements and porfomian¢o
a. Revlew of aclfvltles
There has been contlnued progres8 towards our alm of provkling dlent8 wlth the support they nogd whi18t
maintaining cash flow. Green School cllents have increased by 28% over the year with a corresponding increase
in income. Some of Ihe Green School dlents have achleved Cty and Guild awards whilst others have gained
AQA awards and rec8lved certlft¢ate8 of achlevement.
Other athltles. such as Gardening for WelLbelng: Cult5vatlng Sklll8; Stroke of Gen1￿ and Garden PaJtlme8
have conllnued to be w811 attended. Booklngs for the use of the bulldlng contlnue to be tsken and the holtday
playsthem6 for young chlldren Is well attended.
Our garden manager, Hannah, declded not to return to the garden follovlng her matemity leave. Overall
managemenl of the garden has reverted to our centre manager. Stella, wllh the help of the senlor hortlculturallsL
Followtng the completion of Ihelr matemlty cover contracts. we have retained our part-tlme cllent recrultrnent c
ordlnalor and our part-time volunteer fecruliment Cowordlnator. We have been workSng towards belng accepted
on local County Counclls Preferred Provlder Llsts and arg now a preferred provlder for Hampshlre County
Council.
Volunloers are vltal to our work 8nd we would be unable to offer the level of support we glve our dlentl wSthout
their help. Our volunteers not only work wlth Ihe dlent8 but provlde valuable admln support and help wlth the
malnlenance of the garden and bulldlngs. Several corporate w)lunteer days have prO￿ded very welcome
maintenance help: we are extremely grateful to all of them. Volunteer numbers have Increased thls year, which
ha8 h8lped u8 provlde our cllents wtth lh8 help they need In the garden a8 well as P￿dIng ad hoc admln
Support.
The garden development has ¢ontSnued. We managed to false the funds to bulld a large shed and $torage
fadlltles to house power tools and other tools in the one locatlon. The old shed ha8 been relocaled and the
Keder 1$ n¢)w freed up lo grow produce. The planned Jubilee walkway18 In plac8 and the pond has been rnoved
and enlarged.
We have opened the garden to the publlc for iwo NGS Open Day8 In May and September 2024. Th18 year
fvrther fundralslng has contlnued wlth QUSZ Nights and evenlng events open to the publlc and 'A Walk for
WellnK¥'1g belng planned for the end of Aprfl.
The Therapy Garden18 a busy worklng garden and we remaln consclou$ of our envlronmental Impad. Although,
we cannot be certified as organlc because of our close proxlmlty to nelghboudng gardens, we strlve to malntaln
organlc prlnciples by keeplng the use of chemicals to a minimum and uslng localty produced I￿r8e manure
rather Ihan artfficial fertilisers. We compost our own garden waste and reuse and rec￿8 as much as possible.
We buy. whgre possible, frorn local comp8nle8.
Locatly, we Con￿nUe to 8upply the Normandy vlllage 8hop wlth produce and grown in the garden and crafts made
by clients. We maintain and care for the garden surrounding the village war memorial, and plant8r8 surroundlng
Ihe cornmunty café a5 well as working closely with the other useTS of Manor Fruit Farrn. A Chrtstrnas event was
held for Ihe whole communlty to enjoy with carols from an autistic communlty choir.
b. Fundral8lng actlvltl88 and Income gen8rn11on
We will contlnue to monitor our finan¢es do$ely and not rely on unrostricted funding from grants. which is in
Short supply at the present tlme.
The Therapy Garden benefits from a number of Income streams. Indudlng client course fees. the NGS Open
P8ge 3

NORMANDY COMMUNITY THERAPY GARDEN
(A Company Limitsd by Guarantse)
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Achievements and perfom)ance (contlnued)
Gard￿ Days, where we a￿ able to ￿11 plants and produce. as well as offering refreshments to vSsitors. We
have also offered a variety of one-off horticultural workshops such as wreath making and the sale of Produce
from our Market Cart and the Community Shop which have all contributed to our income generation.
Despite these lundral$ing activities, we still need to seek funds from sponsors arKI grant making bodles. who
invest in our activitses and cover the core Costs of running the charity. Onewoff. specific grants are also received
f￿ specific projects for either improving our Infrastruclure or Incr8aslng accessibilty for dients, who would
otheThvise be unable to attend the garden. The Therapy Garden would very much like to thank the following
organisations for their most generou5 financial support during 2024r2025 financial year, th038 who have
remembered the work of The Therapy Garden through inthvldual donatlons, collections. legaryes and in
memoriam.
List of donors
Beatrice Laing
Belgae Trust
Blakey Foundation
8oshier Hinton
Cash For lQds
CFS (Nevllle Carrlngton)
Coleman Trust
COOP
David Wllliamson Trust
Guildford Crowdfunding
Guildford TON￿ Guides
John Cowan Foundatlon
Kinlore Mark Lodge Masons
Lennox Hannay Charitsble Trust
Mikado
Plerrepont Trust
Pride of Brilaln Awards
Ratcliffe Trust
S C Johnson
Shanley Foundation
Stagecoach Giiring for Good
Your Fund Surrey
Page 4

NORMANDY COMMUNrrY THERAPY GARDEN
IA Company Umlt•d by Guarantee>
TRUSTEES, REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2026
FlnAnclal rnvlow
a. Golng concern
After maklng approprlate anqulrles. the Trustees have a reasonable expectatSon that tho Company has adequalo
re3(wrces to contlnue In operational exlstence for the foreseeable fuiure. For Ihis reason. they contlnue to ado
the going concem basls in preparing the financlal Statements. Further details regarding the adop￿On of the going
concern basls can be found In the accountlng polld88.
b. Re8orvo• poll¢y
The charlty has malntalned a posrtlvo bank balance, pold tt8 credltors promptly and remalned debt free
throughout the period.
The Trustees, stated alm 18 to malntaln a level of unallocated. free reserves roughly equlvalent to 50% of the
annual runnlng costs. We belleve that thls represent8 an approprlate balance between prudent management of
the charitls reserves and Ihe deslr8 lo maximise thg funds used lo support our charltabla acilvltles.
At the year end th8 charfty held £93.111 (2024,. £73,612) In unreslrlcted reserves. The chadty also holds
re8trl¢ted fund8 of £18.957 (2024: £23,762) 8nd a Flxed 88set fund of £105.556 (2024: £116,890). Further
detalls of these fvnd balanrA8 can ba found In note 17 01 these flnanclal 818tements.
¢. Prln¢lpal rf8k• and uncertalntle•
A comprehen3lve r18k register 18 maintained and In addltlon lo belng revlewed Informally as part of the regular
day-tTrday management of Ihe charfty, it is ra￿eWed more formally by the board on an annual basls. The board
of Trustee5 currently Include8 speclfic exp8rt18e In rlsk managemenl.
d. Investment pollcy
Glven Ihe level of our reserve8. luiure Ilquldlty requlrements and uncertalnty in the extemal envlronment, the
Trustees consldar that cash.based Investments wrth UK banks rernaln the most approprSate horne for the
¢harltW8 fund8. The8e 8rr4ngement8 ar8 revSewed regularly as part of our good steward$hlp of the charws
resouicos.
Strueluro* govem8n¢e and management
a. Constltudon
Normandy Communlty Therapy Garden, to glve us our full name, is ￿gIStered as a private company in England
and Wales. thg ¢ompany 1$ Ilmlted by guarantee, company number 03665818. 11 is also a reglstered charty,
number 1070055 (England & Wales).
Page 5

NORMANDY COMMUNrrY THERAPY GARDEN
IA Company Umlted by Guarantee)
TRUSTEES. REPORT (COlttlNUED)
FOR THE YEAR ENDED 31 IAARCH 2025
StruetUrn• governanc• and management Iconllnuedl
b. Methods of appolnlment or olecllon of T￿￿tea9
The management of the cornpany is the resw)nsibifjty of the Truslees: the minimum number of Trustees Is three
and there is no maximum number. The board wulty reviews its (Ywn skills and experienca against those
required for the charity to achieve its 04ectives.
I￿lmdual Trustees are limited to ser¥ing1hree suclxsive tern￿ of three yearn eath f01h￿Ing their appolntrnent
and cannot be r&elected thereafter, unless in exceptional or(%rn$lan¢es.
Oryan18allonal $lni¢tsire and de¢lthNnaking Po￿￿e8
The Tntslees are responsible for eslabhldThJ Therapy Garden's strategy and setting its overall direction.
Responsibility for the <*tfyday management of the charity is delegated. through the Chair. to The Therapy
Garden Manager, Stel]a Diamond and through her lo the reyt of Ihe staff t&grn. In addition. the work of the
chaiity 1$ greaty supported by the efftxts of our dedicated w)luntws.
d. Finan¢lal rlsk management
The Tn￿te8S have assessed the mai(x rtsks lo *thich the Company is exposed. in partrujlar those related to the
operalions and finances of Ihe Company. and a￿ satisfied that syatems and wocedixes are In place to mttlgate
exposute to the major risk&
e. Trustees. indemnities
The chaTity has a trustee indemnity insurance pth in pb¢e Fvotects Trustees and Officers from claims
ari%ng from negluent acts. errors or omissions occurring while on Tntst business.
Plans for firture p•riod$
We will conliThR to recruii new dients and develop different group activibes dependenl on demand and stsff and
volunteer availability. A strudured training and devebpmenl programme kn staff and volLmtews is being
planned to enable us to pr￿￿e positsbE Ixrtcomes for dtents.
We will also continue to work towards beEng accepted as a preferred wovider for SuThey County Counol.
There are plans lo bnwove ow waler management systems and Inslall solar panels to Improve o
environmental impar
Funthaising efforts wlll continuo vAlh in¢xeased local athiltes to raise money in addibon lo our work wlth grant
maknng trusts.
6. Funds held a8 cuslodkn
Biannualty the Trust opens the gardèn on behaff of the Naliond Garden SCh￿e {NGS). The enty ticket monies
are Col￿ted on behalf of the NGS arKI rern￿ed to them diredty after the event tskes place. In the year £1.765
(2024: £1,670) vras collected on behalf of Ihe NGS and paKI oul to them.
Page 6

NORMANDY COMMUNITY THERAPY GARDEN
IA Company Llmli•d by lJuarantse)
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
7. Plemb¢rn' ILqblllty
The Member8 of tho Company guarantse to oonlrfbuts an amount not exceedlng £1 to the a880ts of the
Company In Ihe event of wlndlng up.
Approved by order oftho membor8 of the board of TN8tse• and •lgned on thdr behalfby:
A ev•rltt
(Chalr of TruJtoe•)
DatO'.
20.8. 25
P8ge 7

NORMANDY COMMUPITfY THeRAPY OAROEN
FOR THE YEAR ENDED 31 MARCH 2025
The Tn￿teeS (Vrt￿ are also the 01 tho c￿ for the PUryMJ8e8 of cornpany Ivw) are r￿PonsIble for
preparing the Tru8tees' Report and the finanGial statements in ac¢w¢knce wlth applicable law 8nd United
Klngdom Accountkng Stanilardb (Lthlted Iqngdom Genw P&ceptsd P&cwn1ing Praclke).
Company law Tequtr¢$ the Trustees to wepare flnancml ststements for ea¢h finanoal year year. Under cornpany
law. the Trusteeg mu81 not approve the fiiancial statements unless they are Satisfi￿ that they true and
falr view of the stste of alPdtrs of the Cwany and of its incomtng reBtyJr¢ts and appl1¢at1(￿ of resourcts.
Inclu(fjng Income and expenlfftwe. kn that Per>￿. In wq>aiing Ihese ￿￿(1*1 ststements. Ihe Tn*e¥ ale
requlred to:
observe tho method5 and winclth of the Cl￿111¢$ SORP <FRS 102):
mgke iudg¢rnents and 8¢c¢yinling estiffth6 thfjt are reaBonable and prudent
state *thether app￿Cable UK Acctyjnting &8nderts (FRS 1W have been follorf subje(* to any maternl
departswes 1th8closed and etyallied in the finanlail statsments;
prepare the fjnandal ststemen19 on 1he gokng corKem basls unle88 it is tnapwowlate tr• presume tr￿t the
Company VAII conkne IA business.
The TA￿tee5 are re4Jonsll>le for keeplng adequale ac¢ouDthig (ecord5 thal are wfficlert lo sh(M and explaln
the Companys tranB8ction8 and (ts¢lose Mith reasonable accuracy at any Ilme 1he fjnan¢l81 p0810on of the
Comp8ny ond onablo them to 1het the 1InaTrcial statements compty tho Cornpanles 2006. Thoy
are al80 responsible for Safeguarthfj the a88ets of the Cornpany and hence tskng reagonable 8tsps for Ihe
prevenllon and d&e¢llon of tr•ud and other
Approvod by ¢Yder of tho Momb￿ ofthe board Of Tn*iBe8 and on b behalf by.
A EV￿Itt
(Chair ofTntstees)
Data:
2P.t.Is

NORMANDY COMMUNITY THERAPY GARDEN
(A Company LIMIt￿ by Guarantee)
INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 MARCH 2025
Independent Examlnerfg Report to the Trugteeg of Norniandy Communlty Therapy Garden (Ihe
CompanY)
I report lo the charfty Trustees on my examlnatlon of the accounls of the Company for Ihe year ended 31 March
2025.
RespOn￿bIlItIeS •nd Ba81• of Report
As the Trustees of the Company (and Its dlrectors for the purp03e8 of company law) you are re$ponslbl8 for the
preparntlon of the accounls In accordance with the requlrements of the Companies Act 2006 Clhe 2006 Act?.
Ha¥lng 8at18fiad myself that the accounts of the Company are not requlred to be audEt8d under Part 16 of the
2006 Act and are ellgible for Independent examinatlon, I r8POrt In respect of my examinatlon of the Compan18
accounts carrled out under section 145 of the Charitte8 Act 2011 ('th8 2011 Acf). In carrying out my examination
I have followod the Dlrectlons glven by the Charlty Commission under section 145(5)(b) of th8 2011 Act.
Indopendent Exomlnof• 3tstemgnt
Slnce the Companls gro38 Income exceeded £250,000 your examlner must be a member of a body Ilsted In
$ectlon 145 of the 2011 Act. I confimi that l am qualified to undertake the examlnation be￿use l am a membor
of ICAEW. whlch Is one of the listed bodles.
I have completsd my examlnatlon. I conflrm that no matters have come to my attentEon In connectlon wllh the
examlnalion glvlng me cause to belleve:
a¢Muntlng remrds were not kept In respect of the Company as required by 8ecllon 388 01 the 2008 Act;
or
the accounts do not accord wlth Ih¢)8e record8; or
the accounts do not comply wlth the accountlng requlrements of sacllon 398 of tha 2006 Act other than
any requirement that the account8 glve a 'true and falf view whtch is not 8 matter considered a8 part of
an Independent examlnation; or
the accounts have not been prepared In accordance wlth the methods and prSnclples of the Statement of
Recommended Practlce for accounllng and reportlng by charltles lappllcable to charltles prepadng thetr
accounts In accordance wllh the Flnancl81 Reportlng Stsndard applicable In Ihe UK and Republlc of
Ireland (FRS 102)].
I have no eoncems and have come acro88 no olher matters In connectbon wlth the examlnallon to whlch
attentlon should be drawn In th1$ report In order lo enable a proper underslandlng of the a¢Munts to bg reached.
Thls report 18 made solely to the Cornpanrfs Twstees, as a body. In accordance wllh Part 4 of Ihe Charltles
(Accounts and Reports) Regulations 2008. My work has been undertaken so that I might state to the Companl$
Trustees those matters l am required to slate lo them In an Independent Examlnerfs Report arKI for other
purpose. To the fullest extent pennitted by law, I do not accept or a88ume responslblllty to anyone other Ihan the
Company and Ihe Companls Trustees as a body. for my work or for thls report.
Signed..
Mark Dickinson
Shaw Glbbs (Audlt) Llmlted
Wey Court West
Unlon Road
Farnham
GU9 7PT
Dated..
ICAEW
Page 9

NORMANDY COMMUNrrY THERAPY GARDEN
IA Company Llmfted by Guaranteo)
STATEMENT OF FINANCIAL ACTMTIES (INCORPORATING INCOME AND EXPENDrruRE ACCOUNT)
FOR THE YEAR ENDED 31 MARCH 2026
Restrlcted
Unrestrtcted R••trfcted Ilxèd asset
funds
fund•
fund8
2025
2026
2026
As restated
Total
runds
2024
Totsl
fund8
2025
In¢omg from:
Oonallons and lega¢lei
Charitable 8ct6Mtie8
Other tradlng 8ctl%iles
Inve8lment8
69,204
137.436
3.019
142
40,290
109.494
137.438
3,019
142
99, 720
110,266
3.874
128
Totsl Incomo
209,801
40,290
260,091
213,988
Expondltulo on:
Ralslng funds
Charltable 8ctSvlll08
37,884
162,393
37.884
208,647
36,584
223,529
24,661
31.593
Total •xpandlturn
190,277
24,661
31.593
246,531
260, 113
N•t
In￿Mell6XpendIiU1•)
Transfer8 between
funds
19,024
16,829
131.693)
(46, 125)
17
126)
(20,434)
20,469
Net movement In
lund•
19,499
14,808)
111.134)
3,560
{46, 125)
Reconclllatlon of
lunds:
Total lunds brought
forward
73.612
23.762
116.690
214,064
260.189
Totsl fvnd• carrfod
forward
93,111
18.957
105.556
217.624
214,064
The Stalernont of Flnanclal ACti￿lIeS Includes all g8lns and losses recognlsed In the year.
The notss on pages 13 to 26 f￿ffl part of thes8 financial statements.
Page 10

NORMANDY COMMUNrrY THERAPY GARDEN
IA Company Umltsd by Guarantse
REGISTERED NUMBER: 03665818
BALANCE SHEEr
AS AT 31 MARCH 2026
As rést8t8d
2024
2025
Notè
Fixad o$vts
Tanglble assets
12
106,556
116,690
105,S56
116,690
Currnnt a880ts
Debtors
Cash at bank and in hand
13
13,073
106.734
5,573
100.834
119￿07
106,407
Credltors: amounts falllng due wlthin one
year
14
17,739)
(9,033)
Net eurrant ass¢ts
112,068
97,374
Tolal aB8ets le88 cuffent Ilabllftios
217.624
214,064
Tolal net ag80ts
217.624
214,064
Charfty funds
Restrlcted funds:
Restricted funds
Reslricied fixed asset furKIs
17
17
18,957
105,556
23. 762
116.690
Total ￿$trIcted funds
Unrestricted funds
17
17
124.513
93.111
140,452
73,612
Total fvnds
217.624
214,064
Page 11

(A Compffjy Limlted by auarantsè)
REGISTERED NUMBER: 03686818
BALANCE SHEEf (CONnNUED)
AS AT 31 MARCH 2026
The Compwrywa8 ¢ntided to èxemFAion from autht Wmlfftr 8ediffj 4T1 of the Comwles 2006.
The member8 have not r¢quired the company to obt•ln an audl for IJ* yeaf In qu￿lian In accordan￿ th41h
8eclon 476 of Companle8 A(a 2006.
The T￿￿teets acknty4ledge thelr rn8por*fyTrties fix *Ath the Tel￿eM•￿ of the Art ro8pect to
accouftting reconlB and prwtloft ofthanelal slatements.
The flnan¢ial 8tatsments have been prepared In accordorKe Ihe a￿￿blO tr• subject
the 8mall componles regime.
The ffnan(id 8tatements apwoved and bylhe TpJgtee8 and $i￿ed on their behalf by.
A Everht
(Chaw ofTl￿e8>
2£).&.2S
The notes on page8 13 to 26 Iwm wt ofthese fin￿1191 Stst•m￿.
Page 12

NORMANDY COMMUNITY THERAPY GARDEN
IA Company Llmlted by Guarantse)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Gen•ral Inforniatlon
Nomiandy Communlty Therapy Garden Is a company Incorporated In England and Wales and limlted by
guarantee. Th8 members of the company are the Tru8tee3 narnes on page one. In Ihe event of the
company belng wound up. tha liabl￿ty in respect of the guarantè8 is limited to £1 per member of the
company. Nomiandy Communlty Therapy Garden ha$ 11$ reglstered office at Manor Frult Fam), Glazlers
Lane. Normandy. Gull dford. Surrey. GU3 2DT.
Accountlng pollcl•8
11 Ba•1• of pmparnlloft of fin)￿111 statements
The ffln8ndal 8tatement$ have been prepared In accordance wElh the Charitl8s SORP (FRS 102> -
Accountlng and Reportlng by Charllle8: Statement ol Recommended Practlce appllcable to charlts'e8
preparing their accounts In accordance with the Flnanc181 Reportlng Stsndard applicable In the UK
and Republlc of Ireland (FRS 102) (effectlve 1 January 2019). the Flnandal Reportlng Standard
appllcable In the UK and Republlc of Ireland (FRS 102) and tho Companlo8 Act 2006.
Normandy Communlty Therapy Garden meets the deflnltlon ol a publlc benefit entlty under FRS 102.
Assets and Ilabllltles ar8 Inltlally recognl8ed at hl¥torlcAI cost or transaction value unless otherwi88
Stated In the relevant accountlng polw.
22 13olng ¢onc•rn
The Trustees assess whether the use of golng concern Is appropdate l.e. whether there are any
materlal uncertalntlos related to events or ¢ondlllon$ Ihat may cast slgnlftcant doubt on the ablllty of
the charity to contlnue as a go5ng concem. The Truslees make this assessmerrt In respect of a perfod
of at least one year from the dale of auth0ri8alion for issue of the fjnanclal statements and have
concluded Ihat tho charity ha3 adequate rgsourcos to contlnue In operatlonal exSstence for the
foreseeable future and there are no materlal uncertaintles about Ihe charitV8 abllity to contlnue as a
going con¢em, thu8 they contlnue to adopt the golng wncem ba818 of accounllng h preparfng the
financlal statements.
Page 13

NORMANDY COMMUNITY THERAPY GARDEN
(A Company Llmitsd by Guarantoe)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Accounllng pollcles (contlnued)
22 Income
All Income Is recognlsed once the Company has enllllement to the Income, It18 probablè that th8
Income wlll be receSved and the arnount of Income recelvable can be measured reliably.
Th& racognillon of Income from legacies is dependant on establishlng entitlement. the probabllity of
recelpt and the ability to estimate with sufficient accuracy the amount recelvable. Evidence of
entitlement to a18gacy exl8t8 when the Company has sufficlent evidence that a glfl ha8 been left to
them (Ihrough knowledge of the exlst8nc8 of a valld wlll and the dealh of Ihe benefactor) and the
executor Is satisfied that the property in questlon wlll not be required to Satisfy da5ms Sn the estate.
Re￿IPt of a legacy must be recognised when It Is probable that It wlll b8 recelved and the fair value
of the amount recelvable, whlch wlll generally be the expected cash amount to be dlstdbuted to the
Company, can be rellably measured.
Grant8 arn Included In Ihe Statement of Flnanclal Actmtles on a recelvable bas1$. The balance of
Incom0 received for Speclfic purposes but not expended durlng the perlod Is shown In the ￿levant
funds on the Balance Sheet. Where Income Is recelved in advance of entltlement of recelpt, its
recognition Is deferred and Included In ￿edItOrs as deferred Income. Where enlltlement occurs
before income 18 recelved. the income Is accruad.
Glft• In klnd donaled for dlslrfbullon are Included at valuation and recognlsed 88 Income when they
are dlstrlbuled to th• prolocts. Glft8 In klnd below £500 are not recognl8ed.
Where the donated good 18 a fixad asset, tt Is measured at fair value, unl8$9 tt 1$ Improctlol lo
measure thls rellably, In whlch eA$e the cost of the Item to the donor should be used. Tho gain 18
recognised as incorna from donations and a correspondlng amount is included In the appropriate
fixed asset das$ and dèpreclated over the useful economic Ilfe in accordance with the Company8
a¢￿untIng pollcle8.
On receSpt. donated profe88lonal servicej and facntties are rgcognlsed on the basls of the value of
the glft to the Company whlch is the amounl It would have been wllllng to pay to obtaln servlces or
facllitles of equlvalenl oconornlc benefft on the open market., a corresponding amount Is then
recognised In expendliure In the perlod of recelpt.
Income tax recoverable In relallon lo Investment Income Is recognlsgd at the 11rng tha tnvestmenl
Income is receivable.
Other Income13 recognlsed In th8 perlod In whlch It Is recelvable and to th• axtenl the goods have
been provided or on complgiion of thg ser¥lce.
Page 14

NORMANDY COMMUNrrY THERAPY GARDEN
IA Company Llmlted by Guarantso)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Accounllng pollcles Iconllnued)
14 Expenditure
Expendilure Is recognised once there is a legal or constructive obligation to transfer economic benefit
to a third party, It is probable that a transfer of economic beneffts wlll be required in settlement and
the amount of the obligation be measured reitably. Expendiiure Is dassified by actmty. The costs
of each actiwty are made up of the total of direct costs arKI shared costs, induding support costs
Involved in undertaking each activity. Direct costs attributable to a slngle activity are allocated directly
to that actlmty. Shared costs which conlribute to more than one activity and support costs whith are
not attributsble to a single activlty are apporttoned belween those a￿1vIlla$ on a basls conslstent with
the use of resources. Central staff Costs are allocated on the basis of time spent. and depre¢latEon
charges allocated on the portion of the asset's use.
Expenditure on raising funds includes all expenditure incU￿ed by the Company to ralse funds for its
charitable purposes and inciudes costs of all fundraising activities event5 and non4haritsble trading.
Expenditure on charilable activities is incurred on dlrectly undertaking the activiknes which furlher the
Companys objectlves. as well as any associated support costs.
All expenditure is inclusive of irrecoverable VAT.
2￿ Intsrest rncelvable
Interest on funds held on deposlt Is Induded when receSvable and the amount can be measured
reliabty by the Company. this is nomally upon notiricatlon of the Interest pald or payable by the
institution with whom the funds are deposlted.
2.6 Tanglble fixed aswts and depreciation
Tangible r￿ed assets costing £250 or more are ¢apitallsed and recognised when future economlc
benefits a￿ probable and the cost or value of the asset can be measured reliably.
Tangfole ￿ed assets are inilially recognlsed at cosL After recognltion, under the cost model, tangible
Ilxed assets are measured at cost less accumulated depreciation and any accumulated impalment
losses. All costs Incurred to bring a larvJlble fixed asset Into it5 intended working condition should be
Indudad In the measurement of cost.
Depreclatlon Is charged so as to allocate the cost of tsnglble fixed assets less thelr residual value
over their estlmated useful Ilves.
Depreciation is providad on the followThig bases:
Land and Buildw￿$
Plant and machinery
Improvements to property
5% straight line
25% straight line
25°h straight line
2.7 Debtorn
Trade and other debtors are recognlsed al the settlement amount after any trade dlscount offered.
Prepayments are valued at the arn￿nt prepaid net of any trade discounts due.
Page 15

NORMANDY COMMUNITY THERAPY GARDEN
IA Company Umltad by Guarantse)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Accoundng pollcles Icontlnued
18 Cash at bank and In hand
Cash at bank and In hand indudes cash and short-terrn highly Ilquld investrnents wfth a short rnaturlty
of three months or less ffom the date of acqulsmon or openlng of the deposlt or slmllar account.
2.9 Llabllltle• and provl8lon•
LiablNtle8 are recognlsed when there Is An obllgation at Ihe Balanc8 Sheet date a$ a result of a past
event, it Is probable that a transfér of economlc beneflt ￿11 bé requlred In sattlement, and the amount
of the settlgrnent ¢on be esllm8ted rellably.
Ll8blNtles arn recognlsed at th• amount Ihat the Company antldpates li wlll pay to 88ttle tha debt or
the amount It has recelved as advanced payments for the goods or $eThEc8s It mu8t prO￿de.
Provl8tons are maa8ured at Ihe belt estlmale of thè amounts raqulred to settle the obfigatlon. Where
the effect of the Ilme valuè of money 1$ matorial, th8 provislon Is based on tho present value of those
amounts, dlscounted at the prfrtaK discount rate that reflects the risks specific to the118blllty. The
unwlnding of the discount 18 recognlsed In the Statemenl of Flnanclal ActMtI88 as a ttnan¢e co81.
2.10 Fln•nclal In•tTum•nts
The Company only has flnanclal as88ts and flnan¢l81 IlablllUe$ of a klnd that quallfy as baslc financlal
Instruments. Baslc financlal Instrumenis are initially recognised at transaction value and Subsequently
measured at thelr settlement value wlth the exceptlon of bank loans *hlch are subsequently
maasurad at amortlsed cosl uslng the effectlve Interest method.
2.11 P•n•lon8
Th8 Company oprat88 8 dafinad contrlbutlon pon$bon 8cheme and the penslon charge rnpresents
the amounts payable by the Company to the fund in respect of the year.
2.12 Fund accountlng
General funds are unrestricted funds which aro available for use at the discrellon of the Trustees In
furtherance of the general objeclives of the Company and which have not been deslgnated for other
purposes.
Restrlcted lund$ ore funds whlch are lo be used In accordanco wllh spoclfic r8strldlon8 Imp088d by
donor$ or whith have been ralsed by the Company for particular purposes. The cost8 of raising and
admlnlsterlng such funds are charged against the speclfic fund. The aim and us• of each restricted
fund Is set out in Ihe notes to the financlal statements.
Investment income, galns and lo$$e$ are allocated to the approprfate fund.
Page 16

NORMANDY COMMUNITY THERAPY GARDEN
IA Compary Umliod by Guarankn)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Income from donations and lagacles
As restated
Total
funds
2024
Total
funds
2025
funds
2025
funds
2025
Donations
Grants
simi￿r incorning resources
21,426
21.130
1.618
38,8T2
23.044
59,802
19.034
24686
Totsl 202S
109.494
99.720
Total 2024 as rnststed
62.189
37.531
99. 720
In¢ome from ¢harllabl• a¢llvllles
Unrnstrlcted
nds
202S
Total
fund8
202S
Total
2024
Cfjent In¢¢Jne
Venue Hire
136.696
740
136,696
740
109,883
383
137.436
137N36
710,266
Income from other tradlng acllvllles
In¢om• from fundmtslng events
Tolal
Total
funds
2024
funds
2025
2025
produ￿ and garden sales
3.019
3,019
3,874
Page 17

NORMANDY COMMUNITY THERAPY GARDEN
(A Company Llmftèd by Guarants•)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Invaslment Incoma
Unrnstrlcted
funds
2025
Totsl
fund8
2025
Total
fvnds
2024
Inveslment Income
142
142
128
Analy81• of oxpendliurn on charltabh actlvllle•
Summary by fvnd typ•
Unre8trlcted Re•trlcted
funds
fvnds
2025
2026
Totsl
2025
Tolal
2024
Charllable actlvltles
152,393
$6,254
208,847
223.529
Tofal 2024
80,592
142.937
223.529
Analy•l• of •xpondliure by a¢llvltlo•
A¢tlvlll
undortaken
dlrecty
2026
Support
costs
2026
Total
fund8
2026
Total
fvnds
2024
Charitable aCIl￿tIeS
105,494
103,153
208,647
223,529
Total 2024
120,559
102,970
223,529
Page 18

NORMANDY COMf•lUNITY THERAPY GARDEN
IA Company Umlted by Guarnntaè)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Anatysls of expendiiure ty aetlvltle8 lconllnued)
Aftalysis of direct eO8ts
Charitable
acllvldes
2025
Total
funds
2025
Total
fimds
2024
76.481
1.477
4.712
2.841
76,481
1,4TI
4.712
1841
93.842
292
6.995
3,513
303
362
729
Buildrng maintenance
Garden equipment and consumables
Catering ¢4￿ts
Cafe 8xpenses
Cllent equipmenl
IT costs
Shop equipment and stock
UliThti8s and swice tharges
Travel and subsistence
Cleanlng
Insurance
Health and safety
Support stsff - client facing
Prfntlng. postage and statlonery
staff costs, glfts and tralnlng
677
1,317
517
4,105
29
2.579
677
1,317
S17
4,105
29
2,579
2,844
398
3.302
1.819
2,396
3,851
1,836
2.755
2.327
398
3.302
1.819
2,396
1.356
1,660
105.494
105,494
120.559
Page 19

NORMANDY COMMUNrrY THERAPY GARDEN
(A Company Umlted by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Analy818 of oxpgndlturn ty actlvltle8 Icontlnuedl
Analy818 of 8UPPOrt costs
Charltsb
actfvitie•
2026
Total
nd8
2025
Total
runds
2024
staff ￿$ts
Depreclatlon
Bullding maintenance
G8rden equipment and consurnable8
IT costs
Utllltles and 88rvlce charges
Insurance
Heallh and safety
Prlntlng. p08tage and 8tatlonery
Tel•phono and Inlemet
Le901 and profe88lonal
Bank charges
Staff Costs, glft8 and tralnlng
Govemance c08ts
81,778
31,593
2,381
61,776
31.593
2,381
266
61.776
34.392
695
768
552
212
170
61
82
33
48
620
228
175
10
620
226
176
10
35
69
229
1,200
4,463
69
229
1,200
810
3.207
103,153
103.153
102,970
Indep•nd•nl •xamlnee• romunerndon
2026
2024
Fees payable to the Companls independ8nl examln8r for Ihe Independent
examination of the Companls annual accounts
Fees payable to the Companvs Independent examiner in respect of:
All other services not included above
1,320
1,250
2,124
2,032
Page 20

(A Cmwny Llmltsd by Guaran￿1
NOTES TO THE FINANCIAL STATEMEiirs
FOR THE YEAR ENDED 31 faARCH 2025
10. Staff costs
2025
2024
Wa￿5 and salari88
Social security costs
C￿tributIon lo defined contribjtion penslon s(*emes
169,027
5.838
1,690
174.425
7.478
2,013
166,586
183.916
Tho average number of per80n8 emth*d by the Comp8ny during the year was as folltrws:
2026
No.
2024
No.
Fundral•lng
Support
11
10
No empknyee recei*d remuneralkn arnO￿tIng to more than £eo.000 Sn elther yoar.
11. TN•tM•' ramunerath￿ and expen••8
Durfng the >Yar. no Truitees rec8i*d any remuneration or othw I￿neffl8 (2024. £NIL).
Durlng Ihe >•ar ended 31 March 2025. no Truslee expenses hm b8on In￿[red (2024 - £NIL).
Pag8 21

NORMANDY COMMUNrrY THERAPY GARDEN
IA Company Umltad by Guarante•)
NOTES TO THE FINANCIAL STATEMEpirs
FOR THE YEAR ENDED 31 fdARCH 2025
11 Tanglbh fixed assets
Freehold
Plant and Improvement
property nmchinery to property
Total
Cost or valuatlon
At 1 April 2024
Additions
304917
51.911
60.980
20.459
418￿08
20A59
At 31 March 2025
304917
51.911
81.439
439.267
tweclatlon
At 1 P4)ri12024
Charge for the ye
226.44$
11211
43203
4.137
32.470
16246
302.118
31￿93
At 31 March 2025
47,340
47,715
333,711
Net book value
At 31 March 2025
67261
4,571
33.724
105,556
At 31 AlwEh 2024
79.472
8.708
28.510
116,690
13. Debtovs
2025
2024
Trade debtW5
13,073
4573
13,073
5,573
Pago 22

NORMANDY COMMUNITY THERAPY GARDEN
IA Company Umlted by Guarantee
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 20
14. Credltorn: Amounts falllng due wlthln one year
2025
2024
Tfade credltors
Other taxation and social security
Other creditors
Accruals and deferred income
219
2,261
1,259
4.000
2.335
T,739
9.033
15. Financlal instrumonts
2025
2024
Flnancial as80ts
Flnancial assets measured at fair value Ihrough income and expendiiure
106,734
100,834
Financial assets measured at fair value through income and oxp8nditure comprfse cash at bank and in
hand.
16. Prfor year adJu$lJnents
A prior year adjustment has been made In respect of the unrestrtcted funds as a result of a materlal
understatement of In¢ome In regard to income received Into the charrtys PayPal aC￿unt. The effect of
this adjustment has been to Increase the bank balances and unrestrlded income by £12.477.
Page 23

IIORMANDY COMPAUNrrY THERAPY GARDEN
IA Company Umitad by GuaAnte•)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
17. Statèmènt of funds
Statement of funds. current year
Restricled funds comprise funding received for speafic projects in which the charity has involvement and
can only be spent in fwtheling Ihe aims ol that partKxdar proiecL
Balance at
31 March
2025
8alance at 1
April 2024
Transfers
inlout
Incomo Expenditure
Unreslrfcted funds
General Funds
73.612
209.801 (190.27n
{2S)
93.111
Restrlctsd funds
AS￿re kitchen
Garden equipment and looling
Irrigation system
Green school
Pond
Jubllee walkway
Shed
Stroke of genius
Tables
7.066
6MS7
4.699
16.969
118.9691
(1M2)
418
600
6,144
{1hOO)
(19.OS9)
{1.618)
19,203
1,618
1A39
(3,637)
5,155
Weltbeing Wednesdays
(5.1561
124,6611
1208341
18J57
Balance at
31 March
2025
Balance at 1
Aprfl 2024
Transfers
Inlout
Restrlcted fixed asset funds
Class11 Restricled Funds- all
funds
116.690
131,593)
20.459
10S.558
Total Restrlctod funds
140N52
156.254
25
124.613
Total of funds
214064
250,091
(246.531)
217,624
Page 24

NORMANDY COMMUNITY THERAPY GARDEN
IA Company Umlted by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
17. Stalement of funds Icontlnued)
statement of fvnds - prlor year
BalanGe at
31 March
2024
Balance at As restated
l Apiil 2023
Income Expenditure
Trnnsfers
in/oul
Unrestslctod funds
General Fund
82.284
176,457
(117, 168)
(67.961)
73.612
Restrlcted funds
Aspire kitchen
Garden equipment and tooling
Irrigation system
Green sd)ool
Garden pastimes
Green Sthool
Hlgh Sheriff Tralnlng fund
Jubilee walkway
Pathways
Shed
Stroke of genlus
Utilty bills
Tables
Social prescribing
250
2, 744
4,860
1,363
(1,253)
(678)
7.066
4.860
21,938
3.000
21,938
1,349
(86,890)
(5.213)
f86.890J
(1.490)
64,952
561
64.952
io
1,652
131
f, 750
(1.750)
1, 131
(3,319)
(1, 180)
(4,302)
(2,478)
2.188
159
1.021
5.741
4515
t,439
3.037
26.914
59.469
(195.443)
132.822
23,762
Balance 8t
31 March
2024
Balance at As rnstated
1 Apiil 2023
Income Expendlture
Transfers
Rostrl¢tsd fixod asset fund$
Restrlcted Ilxed asset fund
15Q,991
(34,392)
91
116.690
Total Restrlcted funds
177.905
59,469
(229.835)
132.913
140.452
Totsl of funds
260, 189
235,926
(347.003)
64.952
214,064
Page 25

NORMANDY COMMUNrrY THERAPY GARDEN
(A Company Llmited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
18. Analysls of net assets between funds
Ana￿lS of net assets beiween fvnd$ - current year
Rèstrictèd
Unrestrlcted Restrlcted fixed asset
funds
funds
fund
2026
2025
2025
funds
2025
Tangible fixed assets
Current assets
CredEtors due wlthln one year
105.556
10S,656
119.807
17.739)
100.850
(7,739)
18.957
Total
93,111
18.957
105,556
217.624
An&￿ts of nèt a$sets boiweon fund8 - prlor year
Reslrfct8d
Restncted fixed asset
fvnds
fund
2024
2024
Unrestiicted
funds
2024
Total
2024
Tanglble fixed assets
Current assets
Creditors due within one year
116.690
116.690
106.407
(9,033)
82645
(9.033)
21762
Total
73,612
23, 762
116.690
214.064
19.
Penslon commilmgnts
The chaiity operates a defjned contribution pension stherne. The asseis of the scheme are held
separately from those of the group in an ind8pendenily administered fund. The pension cost charg8
represents contributions payable by the chanty to the fund. At the year end £774 (2024 - £844> was due
lo the fund arKI 15 included in other crethtors.
20. Related party transactlons
Through his own business interests R J Shears, a Trustee, provides free payroll services to Nomandy
Communty Therapy Garden. The anns length cost for such Se￿iCe is eslimaled at £600 per annum.
Page 26