REGtSTERED CHARITY NUMBER: I(177749
Rtport of the Trnslees
UD•udlted FID*tstial Statements
ror the YearEllded30 S*ptembpr2025
for
Streets D)*e Ruscoe Ltd
110 C4)rve Stre
Ludlow
SHROPSHtRE
SY8 IDJ

Dlnbam Iwllewilum Green Trnst
Contthts of the Finan1711 Statement5
for the Year Ended JO September 2025
Report of the Trustees
Independent Euminer's Re￿rt
Statement of Finan¢iAI Artivilies
Ba]4nee Sbeet
Notes to the Futhneial StaterntDts
7 to 12
Detsiled Ststetrnent of FiD*nciai Artivits£
13 to 14

DiDb8m Millennium Green Trnst
Report of th¢TTUStees
for the Year Ended 30 September 2025
The trustee5 pr￿ellt their retth with the fiDanciai 5tstements of the chty for the year ended 30 September 2025. The
tnJste¢s have &lOpt￿ the prnosions of Ac¢oun¢ing alld Rep)ttiDg by Charities: Statement of Rttommended Prnctiee
applicable to charitics prepariDg their accounts in accordan¢¢ with the Fina￿la1 RetM)rttllg stalld￿d applicable in the
UK and Republic of Ireland (FRS 102) (effeaive l January 20191
OWEcfIvES AND ACTIVITIES
Constitution, Objtets #Nd policies
The Charitable tr￿￿1 i5 con5tttuted by trust deed dated 11 Sefvib¢r 1999. The Trl￿¢S primary object is to hold,
administer and manage its pnperty I'kne tr￿st fund.) atmt its ineome in order lo prowde ￿ maintstn the Dinham
hlillenuium Greeo Fksidethe River Teme in Lwtiow. for th wmmunity forever.
The tx)licy of the tnjsi continues to the applic&ion of the CrI￿la estsblished uT¥ler the dtcd 8nd to putsue the
questions of additiOtt￿ rm8￿¢¢ and increase Sup[￿ for the TEUSt in fiJrtheranc¢ of its goais. The rq)air and
maint¢nan¢e of ttust propffj r¢mait) a o)ntinutllg cttupation of the Trustee5. Having Cr￿ed and established the
DiDham MilleDnium Green in the year 20¢N), the Trusl re-owi¢d tti 2(K)2, a fOr￿tr mill kat wbich bisected th¢ thEen
and, in 2009, wmplet&l a major ¢hall¢mge in th¢ re5tordtion of a fornicr watennill wbich occupied a position on the site.
This building is 18 tbe Nliil on the Green..
The opeTJin8 of the Mill on the GTten gave an Op[￿lty. amon￿ (rthers thing% for income g￿tr￿0￿. With such a
factor tn tllind the 5tCP Wa5 tskeTL itl order to diffiLse any that the TNst la ¢haritsble irtstitutionl might be
engag¢d in Irading. to fo￿ a limited company Yrading am. of the TrusL This coinpany'mill on the Gre¢n Limited,. was
incorw]3trd on 10 July 2Otr). Il was a compally limited by guarantee and no sh8Te capi￿. However. by Aubjmn of
20I5 the L¥>mpany had <Mrtlived the purwse for whtch li fortned. tn the cirLwm• the d￿lsiOn was tsken that
the company be wound up.
Developmen¢ Activities and AebievemeDts
Since the date of the Trwvs in¢epiion in 1999, the perFornLance of the Trust has been regarded as crthlitable. Followitt8
the xqui5ition of the site in October 1999. the Millennium Gre•1 h&$ been ¢reatr￿ eStsbli5h￿ and embellished. In
2008109 the TTU5t etnbarked ury)n. and cotnplth4 a major objective, with the reconstiv¢bon of the fOl￿ff Tniil building,
of which has come a new edifi￿ in the shape of the Mill on the G]ren. This event afforded rtew life, vibrall¢y and
seijse of purFose to the foTtnerwateTllLill. which has b￿Orne a popularvisitorattrauion.
The building work on the upper fl(x)r of the mill began 8llovring Crouch Enierprises to expand and improve their
business at The Mill on the Grw wtth a wrresp)nding improvemtht itt their offerillg to tbe public Yisiting the site.
With this ￿pansIO￿ furtller job OPPOTtunitie5 bave bccn create4 an imp)rtani factor in the Tn￿￿5 decision to grant th¢
new lease artd allow the wnveTsion of the t￿pff tl(M)r. Crouch Enterprises have created a very su￿¢$$￿1 attd ￿>pular
restaurant and have sbown a willin8Thtss to invest in their on the GrEen alld in Ludlow. The Trust continues to
Jjoy a cordial and mutua]ly ￿lati(￿hIP with our tenants wbo. we bdiev¢ suppyt and aN)r#iatr Ihe WO￿ of
the charty.
A major proj#t that was identified during 2023 was the threrioTattng (ondition of the Muc￿U5ed eoncrete path leading
to the we￿. The Tn]st continued to exTtlore the ￿st possible prathice and Tnethtyj for the rqjair and have sought advice
from a respe¢toJ Iccai bui]der. specialising in ftstor&io[￿LXmJSrto[￿ alongside a ¢onsultarrt Civil engineering firn,
atso loca]. Th¢ Trust have approathed the Televant govullment IKylies and will continue to pursue the proj¢¢t. The
Trustees aly confident that the large o)st of the wo￿$ Can bt cornfi>rtably rnet fnTrrn the Dttham Nfjllennium Green
Tr￿¥S available fillMLs.
The Trustees and Vol￿te¢r5 continue to mainlain and unprove the Green. Owl knxcs bave been instail¢d ￿ongsIde
nesting EK)x£s for other 5rKcie5 and the work of controlltng invasive S￿1¢$ - paTti¢uiaTty Himalajan Ba]sam - have
p￿Ved efficacious. The new planttng has su¢ce5sfulty established itseEf and the ca￿￿[ management of the underbrush in
th¢ se¢tion of wcx)dland has atlow¢d more diverse plant spccie5 to flourith and, at the sarne time, opened up the view of
the river and therEfore improved the &ta for wsitors. The Tn& have also wntinued to improve and maintain the seating
on the sit¢,with plans in pla¢¢ for more s¢ating otj the GM. The oak bench, Install￿ 1&st year. ￿J￿t to the sluice
gates has been much ¢ttj¢)yed by th¢ Mar￿ wild switnmers wlk) use the weir and river above tt.
FINAf4ciAL REVIEW
Reserves policy
The reserv&s policy of the Trust is to MaE[￿ at le&t Six months anticitdted¢xwiditwE resave.

DitihAm Millennillm Green Trust
Report ofthe Trnstee5
for the Year EDded 30 September 2025
FINANCIAL REVIEW
Going eoneern
The tr￿eS coThsider that there are no maÈTiai ￿CertainlieS thTrut the ckntys abiliry w continue and the ffflancial
statements bave thetrfort beet) on the going ¢OTmn b&sis.
In the pasL the Tru￿,$ wittcipai financi￿ swrt for the primary Jfjllentiium Greell creatiOD schetne was derived from
the Lu<llow Guild '98 {se¢ below), th¢ Counlryside Agency {now sut¢r*doJ by Natural England). Biffaw8Td atKI
gene￿￿$ public donaiiorts.
The fvfjll on the Gtrell 5chane wd5 acbievcd at a c05t of c £766.(KKJ. The tnaiD sources of fimding under pinntng the
s¢heme were derived from Advantsg¢ Wesi Midknd - ¢. £440.OtKI. SlLropSh￿¢ Tourism Action Plan {Ellropean
Community fi]ndedl- c. £260.IJJ). FutMI- c. £38,0(K>, Thith the TnLSt ttself (x)Dtributing c. £28,(W.
The Tnjsys f¢xus, for th¢ time bein& rs eentr¢d on Phase 2 of th¢ scheme for the ¢(￿SerVatIon of the Castle (Dinham)
Weir. The actual £xk5t of the coTt2plrted Phase l of the scheme amounted to c.£74.(M>l), whieh som¢ £24,(MJO less th
th¢ original ¢sumare of £98,000. The Tnjst has o)mmissioned projeci planning for Phase 2 at a cost of £3.630. Th¢
estimated constmctiOD Lbst ofPb&* 2 (for which grant futmling is r4uir&l) is c&150,IXK).
The Trust will continue to Carry out their wde+r3n￿ng reSp)nsi￿]Il￿es regardillg their oversight of the Nfjll building and
the Miilemiium GreetL The work to ameliorate the undercuuing of th¢ cotTr¢r¢te is the major task f*ing the Trust in
the cotniDg ytar. The Proce￿ of Sel￿ting an approwiale contraL1or and raising the funds ntttssary for such a btge
projeL# is of the utm05t irnportance and the TnLSt are fornjnate tn ktng able to Call on the exp¢rtise of a nulnber of
indiwduais share the conL%nS of the Trust aTrd can bring their professional experienee to on this matter.
srRucfuRE. GOVERP4ANCE AND MANAGEMEr
Governlng document
The ch&ity i% ¢olltrolled by its governing th>cumen¢ a d¢¢d oft￿￿ and ￿n$t1¢￿eS an uninCor￿l3rCd Charity.
Investment Powers
The tN5t dccd authortsts the trustees to rnakc atwj IM)Id iDvethents USiDg the 8eDetai filnds of the cbarity but no such
vesttnents hav¢ tten a¢quired or w¢ [rts￿l]Y held (rtherthan bank dep)stts.
REFERENCE AND ADM￿SfI14TlVE DETAILS
Registered Chxrity number
1077749
Principal address
Mill on the Green
Linney
Ludlow
SHROPSHtRE
SY8 IEG
Ap]x)inknent of trustees 1$ governed by the tnL5t deed of the djarity.. The t￿)￿d of trttstees is authorised to aptx)int new
tr￿SteeS to fill vacancLeS arising thrt>ugh resiWii)n ordfath of an existing tnLStee.
Mr Stephen Mapes remains Chair of the B(Hrd of Truaees with Mr John Hea5m￿ and Mr Richanl Bowen as the other
hvo fijll tn￿te¢S. Mr Bowen is aiso Secrelary and Assistsnt Trnsurtr.
There a]t. itt addition. fo￿ other &￿late tsustees.. Mr Fr8llk W(Kyl Ms. Silvia Oei55b8u¢r, Mr. Ric Tyler and Mr.
Quenttll lamian.
The Trt￿ is contitiuing b) actively seek to id¢￿tfy more Trust4 eSp￿￿allY those with specific 5kil]5 who can thl real
va]ue to the TrusV$ wor

Dinham MRlleDniUm GrEen Trust
Report of theTTUStets
for the Year Ended 30 September 2025
REFERENCE AND ADMINISTRATIVE DETAIts
llldependtnt Examther
Mr S C Davies FCCA
Str￿ts Dyke RuscoeLid
110 Corve Street
Ludlow
SHROPSHll
SY8 IDJ
Banker5
Lloyds
16 Broad Sttret
Ludlow
Shrop$hir¢
SY8 INQ
LUDLOW GUALD 98
The Ludlow Guild 98 has been art ever prtsetrt associate of the Dinbatn NfjlleDnium Green Tru4 Th¢ L￿AlOW Guild 98
is an ￿l￿¢Otporaltd asg)ciation whi¢h was estrblishd in January 1998. In May of that year the Guild be￿lle registered
with ENfRLST as art fflvirorhTnental tM)dy. The projtd for the crtation and establishment of the DiTthatn Millennium
Yen regis¢ard with ENTRUST in 1998. L&er. on 17 September 21￿3. the Guild, aaing in concat with the trusL
fvrther reg5tered wtth ENTRU'ST the project in resw of the Mill on the Green,. therebj enablin& had it been
n%¢ssary, ￿ application to a Landfill Tax OF¢ra￿r for wt tti ortkr to assist in 5chtme fimdtng. Becawse of moves in
the directioll of weir rcstorntl0￿ the Ludlow Guild 98's status as an ENTRLST ￿gis￿r￿1 eDvironmentd Erf)dy h&5 been
utilised for the purpose of seeking projeth d￿rity ID iEsr*d of the weir schqne. thu5 faciliiating a grant
plication to a Landfjll 0￿ratOr.
Appn)vd by orderof the IM)ard oftnLdees on 16 Jun¢ 2026 a￿1 sI￿¢d on its i*lMlf by:
Mr S Mapes. Truste¢

llldepelldettt Exall)Iner's Re￿rt to the Tntstett of
Dinham Millennium Gr¢eD TThst
llldependellt examADer's report to the tntstees Of Dinbxrn Milletllwm Gr¢¢D Tru
I report to the charity tnjstees ￿ my examination of the xcounts of Ditilwm MilleDnium Green (th¢ Ttustl for the
yearetlded 30 Sep*mber 2025.
Re5pon5ibilities and basis of rewrt
As the chartty IJu5ttt5 of the TruA you aTE rtsp)nsible for the Fwtion of the a¢￿Unts in &cordance wtth the
requiremeThtsof the Charitias Act 2011 Cthe Ad).
I in reSt￿t of my ¢xam[[￿tloll of the Tn￿￿S (*ried out utmler Sei*ion 145 of the Art and in carying out
Tny txaminatton I bave followed au 4)plicable Directions given by the Ch&ity Colluni&siort under Section 145(5Mb} of
the ACL
Independent exan￿￿er,8 $tatemellt
I have completed my exatnination. l eonfm matttial mattrrs bave come to my attention in eonnection with the
examination giving me cause belteve that ID any material rcstttt:
accountin8 record5 were not kept in rcspect ofthe Tnjaas wir>J by S*tion 130 of the A¢ or
the accounts do t￿t accord Mith those rrcord5' or
the accounts do not compty with the applieabl¢ rg4uimnents ¢OTKerning the forni c<mtcnt of accounis S￿ out
in the Charities (Accowrts attd Rewrts) Regutation5 2008 other than any Tequi]Mnent th* the accounts give a
true and fair ￿¢W wbich is llot ubnsidered pan ofan inde￿d￿l examinatio
I hav¢ ¢0￿crn$ and hav¢ mne a¢¥oss Tro other matters ill ¢oune£tion with the eXaMin￿lOn to which attention should
be dff￿￿￿ in this report in o￿tr to tnable a proper u[￿erSta[MI1Trg of the accounts ￿ be rexhed
Mr S C Davies FCCA
Streets Dyke Ruscoe Lid
110 Corve Strcd
Ludlow
SHROP5HtRE
SY8 IDJ
16 June 2026

Ststement of FiDADcial Activities
for the Year Ended 30 September21125
2025
Torat
funiLs
2024
fund
fund
fimds
INCOME AND ENIJOwmE￿TS FROM
tk>nations and l¢ga¢ies
710
710
641
(hher trading artiViUC5
Inve5ttntnt incotlle
Other ineome
35
24.324
1,620
24265
1,671
24265
1.67l
Total
26.646
26,646
26.620
EXPENDITLWE ON
CharitAble ActiTritie3
Admini5tratiYe costs
13.613
13,613
9,181
432
Totsl
13&13
13.613
9,613
IYET IYCOME
13.033
13.033
17,(M)7
RECONCILIATIOY OF FLQII)S
Total fund5 brought forward
248,725
248.725
231,718
TOTAL FUNDS CARRIED FORM'ARD
261.758
261,758
248.725
The notes forni partofthese financial Ststtrn￿ts

Dinham Millennium G]Yen Trust
Bal#llee Sheet
30 September 202S
2025
Totsl
fund5
2024
Unrestrict￿1 Resrrl¢￿I
fuDd
fijnds
Not¢s
FIXED A￿ETs
Tangible assets
156.945
156.945
158,637
CURRENT LSSETS
Debtors
C&th at bank and in hand
12
13
1268
105J79
1208
Y),584
10SJ79
107,647
107,647
92,792
CREDITOILS
Atnounts falling due wtthin oneyear
14
(2.834)
12.834)
{17041
NET CURREf+rr ASSETS
104.813
104.813
90,088
TOTAL ASSETS LLSS CURREYr
261.758
261,758
248,725
NET ASSETS
261,758
261,758
248.725
15
Unrestricted funds
261,758
248,725
T(yfAL FUNDS
261,758
248.725
The fingncial s￿eM￿ts We￿ ap]woved by the Board of Tnjstees attd aulknri￿ fr>r Issue on 16 June 2026 8tMI wue
signedon its ￿haIf by..
Mr S Mapes- Tn￿1¢¢
Page 6

Ditham MilleDnium Gnet) Trnst
Notes to tbe Fitkanci*l Ststements
for the Year Ended 30 S¢ptember2025
ACCOUffflNG POLICIES
Basis ofpryring the fjn*D¢i•I
The financial staietnents of the charity. wbith ts a public Ixnefft entity un&r FRS 102. have E¢en PTepared in
accordance wth the Chariites SOBP {FRS 102) 'Accoulliing aod Rewlrtig by Charitie5'. Statement of
Recomtllelldtd Prnctitt applicable to clwitits prepariDg their XLX)unts in ￿rdallce with the FinBncial
Rep)niDg Standard applicable in the UK and R¢public of ￿tland {FRS 1021 (effective l j#￿￿ary 2019),,
Financial Reporting Standard 102 Tr Fillanci￿ Reporting Stsndard appli¢able in th¢ and Republic of
Ireland. and the Chzrtti¢s Act 2011. The fJnan¢h¥ sthtements have been pttpared under the historical c05t
conv¢ntton.
Itheomt
All ineome is recognised in the Statement of Finattciat A¢tivities onc£ the chariry has entidonent to the it
is Probable that the income will be received and the amount Can be Ine4￿[￿ reliably.
ExpeDditsre
Liabil￿tte$ aJE ￿0B￿Sed as expendittwe &8 9)on 8$ there is a legal or COllSknJctive ob]ig8tioD committing the
charity to that Lyper￿]lure, it is probable that & transfer of ￿0￿o￿le benefits will be r4uir&l in settlement and
the amount ofthe obligation measural reliably. Expthth"th is aco)untaJ for on an ac¢nJals basis athd h&8
been classified headings that aggregak ail Cost relaied to the ca*gory. whe￿ wsts catmot be dtrect]y
attributed ￿ particul￿ haings th¢y hav¢ been ailocatoj ￿ &tivÉttts on a basis Consistent with the use of
rwurces.
Grants offer&1 5ubjeet to Lx>nditiOTLS which hav¢ twi met at the ye4r end d*e Tr)*d as a comtnitment but
not &CrU￿ as expenditure.
Tsngible ￿ed assets
Ikpreciation i5 providAI at the following annu￿ raw tt) order ￿ write off exb assd over its estiinated LLSeful
life.
Landsite
Mill building
Equipment
Not provided
/• 011 Q)st
. 20% on co#
Taxatio
The ch8rity is exetnpt from its charitable aLttvits£s.
Fund aecouDtillg
Unrestricted full¢l8 cthn be ￿Sed accorkn withthe charitable objeL#ive5 at the di￿r¢ll00 of th¢ In￿5.
Restricted fi￿d5 can Only be ￿￿ed for tArticuiar rtstricted PLW WithiD the objects of the ¢harity. RestrictioAJs
arise wben specified by the dontsrorwhcll fitnd5 afE fdiscd forWicu]arrestEiCted Put￿Ses.
DONATIONS AND LEGACIES
2025
2024
Sub5CriPtions
Donaiions
461
180
350
710
Cotttinued...

Dinham MillellDiUm Green Trust
Notes to the Ftn8ncial St*tements- toDtiDued
for the Year Ended JO September 21125
2025
2024
B(K)k sa]¢s
35
2025
2024
Rents rff eivtsj
Int¢r¢5t receiv¢d
23,81X)
465
23,800
524
24.265
24.324
SUp￿rt
costs (see
note 7)
Costs (see
note 61
bjnding of
aclivities
Totals
Administrative costs
5.515
13,613
DIREcf COSTS OF CHAR￿ABLE AcrtTrTfiLS
2025
2024
P￿pertY n￿l￿teJ￿iQe
Ground mainte¢Jan¢e
4289
1226
772
1,525
5,515
1297
SUPPORT cosrs
G)VLYll8n¢e
Costs
Maoagement
To￿$
Adlninistrative costs
3.656
l.750
7,098
Supp)rt co￿$ included tti the knve. a￿ as foliows."
2025
2024
Toiai
ti￿tieS
AdmigJistrativ¢
costs
IA8urance
Printing, t￿t and stationery
Advertising and websiie costs
Other expettses
FamsIy events
Depre¢iation oftangible r￿ed wets
Professional fees
A¢¢ounlan¢y
Exmin*ton fe¢
3.342
159
155
3,258
160
154
432
1.658
50
800
800
1,692
875
875
7.098
7.316
continued...

MillenDiUm Green Trust
Notes to the FÉnaDLig1 Statements- CODtiDued
for the Year Ended 30 September 2025
OTHER
2025
2024
Supp)rt costs
7.098
7,316
TRUSTEES, REMLThERATION BE￿￿FITs
There were no trustres. remuneration or other balefits (Dr the yfar ended 30 septeM￿r 2025 nor for the year
ended 30 Sq)tember2024.
Trustees. expenses
Ther¢ were no thJste¢s' ¢yrLses paid for the year ended 30 2025 nor for the year etthd
30 Septernbff 2024.
io.
COMPARATIVLS FOR THE sfATEMENf OF FINANCIAL ACt[S￿lEs
L.'nrestricied
Restrict&l
fvnd
Total
f(mds
INCOME AND ENDOWMEYf6 FROM
Donation5 and legacies
641
Othertiading aL#ivities
tllve5tmtllt illcome
Other income
35
24J24
1.620
35
24.324
1,620
Totxl
26.620
26.620
EXPENDITURE ON
Chftritsble attiviti
Administhiive co*s
9.181
9,181
Other
432
432
Totsl
9,613
9.613
NET INCOI
17,007
17,007
REcof*CILL4TIOY OF FLryDS
To¢al fvnds bJDught fon¥ard
231.718
231,718
248.725
248,725
ntinued...

Dlnhgm Mlllettniurn Greeo Tnut
Notss to the Financial Statements- contiDll¢d
for the Year Ended JO September21I25
TANGIBLE FIXED ￿ETs
Mill
building
EqUi￿ent
Totals
cosr
At l (ktober 2024 and 30 septemb￿ 2025
ICQ.LYJO
69.197
9,898
179,095
DEPRECIATION
At l 0¢￿ber 2024
Cbar8e for ye
11.857
iJ84
8.601
308
20,458
1.6
At 30 septem￿2025
13241
22,150
NET BOOK VALUE
At 30 September 2025
i[￿,
55.956
989
156,945
At 30 Septemb¢r 2024
57340
1.297
158,637
12. DEBTOILS: ￿mouF4Ts FAILtNG DLI wrfHIN ONE TrTAR
2025
2024
Pff¢paym¢nts
2268
2208
CASH AT BANK AND IN H.4ND
2025
Total
fimds
2024
Totsl
fiinds
C&%h in hand
Bank a¢¢ount
Bank account
383
83,699
21,297
61
69,691
20.832
105.379
90,584
14. CREDITORS: AMOUNTS FALLtYG DUE IITfHLY ONE ITAR
2025
2024
Accwed eXP¢T
Deferred income
1.7
1,134
1.104
2,834
1704
Page io
contitiued...

DiDham MillenDiUm Gretn Trust
Notes ¢0 the Financisl Statements- tontiDued
for the Year Ended 30 September 2025
I& MOvEmE￿T FUNDS
Net
moyernent
in fun(L%
At
1.10.24
At
30.9.25
Unrestrirted funds
General funds
248.725
13.033
261,758
TOTAL FLTrIDS
248,725
13,033
261,758
Net moyemeffl in fimd& included in the ab)vc &e as follow5:
Movement
in fun(b
Unrestricted funds
General fullds
26,646
(13,6l3}
13,033
TOTAL WUNDS
26,646
(13,6131
13,033
coM￿r8t1ve8 for movement in fillt
Net
movement
in fimds
At
1.1023
At
30.9.24
Unrestricted futtds
General funds
231,718
17.(
248.725
TOTAL FUNDS
231,718
17,007
248,725
Comparntive net nJ)vement in fund% included io the aixsve &% follows:
Inco]Dill8 Resources Vov¢ment
Unrestricted funds
General funds
26.620
(9.613)
17,1)07
T(YfAL FLf4DS
26.620
19.6131
I7,￿17
¢ontinud..

Dlllham Millennium Green Trnst
Notes to the Fitiancial St#temellts- eontlllued
for the Year Ended 30 September 2025
1% MOVEMENf IN FUNDS. tontinued
A cunEntye4r 12 tnonth5 and prioryear 12 months combined p)sttiOTh 15 &5 follows..
Net
movement
in f￿d$
At
1.10.23
Ai
30.925
Unrestrictrd fvDd¥
General fiLll(L8
231,718
30,1)40
261.758
TOTAL FiQYDS
231,718
30,040
261,758
A ¢urreM yw 12 months •)d prior year 12 months c(ffnbined net Tnovement in fund5. included in the aknve a
&5 follows..
Inwming Res0￿e$ Movelnent
expend
in funds
Unrestricted fillKi8
GeneTat fimds
53266
(23226)
30.040
TOTAL FUNDS
53266
(23.226)
30.040
16.
REL4TED PARTY DISCLOSLIIES
Ther¢ were no related tArty forthe ended 30 Septanber2025.
Pa8e 12

DitthatD MillenDium Green Trust
Detsiied Ststement of Financi￿ AL*i%iti
for the Year Ended 30 September 21125
2025
2024
IP4COME AI¥D ENI)oWME￿Ts
Donations 8nd legaeie5
Subsuiptions
tk>nations
461
180
350
710
Other trading Activiti
Book sales
35
Investment Income
Rents reGeived
Int¢r¢5t re¢e(Yed
23,81
465
23.800
524
24265
24,324
Other thcome
CoDtiibution to in￿allee
1.671
1,620
Total incoDJiDg resources
26,620
Charitsble acti*ities
Property maintrnan£%
Ground maintenance
Gr8nts to institutions
4.289
1.226
772
1.525
6.515
1297
Support ¢wts
MAnAgement
Insurance
Prtnting, p)st and ststionery
Advcrtising and website cosrs
Other expetLSe5
Family events
3,342
159
155
3,258
160
154
432
3,656
4.008
Other
Depreciation of mill building
D¢prxiai1￿ of equipment
lJ84
308
1.384
274
1,692
1,658
Governance costs
PJoft&sional fees
Ca]Yied fon¥ard
50
50
This page thxs noi fom) ofthe Sts1￿ financial ststemet
Page 13

DiDbim Millennium Greett TTUSt
Detailed Ststement of Activities
for the Year EDded 30 Septernber 2fr2S
2025
2024
Govern8Dce costs
Brought fonyard
Accountancy
Examination fee
50
800
800
875
875
1,750
1.650
Totsl re9)u￿¢S expellded
13,613
9.613
Net income
13.033
17.¢N)7
This pase tK)tfornt rArt of the $12tytory financial ststements
Page 14