LONDON IN BLOOM
London in Bloom is a company limited by guarantee, no 3859876, and a Registered Charity no 1079979. It
was formed in 1999 to take over from the previous London in Bloom, an unincorporated association
founded in 1967.
25th ANNUAL REPORT
AND
ACCOUNTS
For the year ended 31" October 2025
London in Bloom organises community-led, sustainable horticultural and environmental annual
competitions for councils, schools, commercial interests, and residents across the 31 Boroughs and 2 Cities
of Greater London. Awards are given in grades for excellence, with an emphasis on the environment,
community involvement. and horticulture. Some high achievers may enter the National Finals of Britain in
Bloom.

LONDON IN BLOOM
ANNUAL REPORT
for the year ended 31 Ortober 2025
Legal and Administrative Details
COUNCIL OF TRUSTEES
Peter Holman, Co-chair & Executive Trustee
Mark Wasilewski, Co-chair
Ruth Growney
Geoff Hyde
Company Secretary
lan Hyde
Treasurer
Miles Watson-smyth
Nicholas Hagon
CAMPAIGN MANAGER
Kate Harris
PRINCIPAL ADDRESS and REGISTERED OFFICE
124 Gravel Hill
Croydon
Surrey CRO 5BF
BANKERS
Cafcash Limited
West Marling
Kent
REPORTING ACCOUNTANT
W Glynne Owen & Company Limited, Chartered Accountants
2 Caradog Villas, Glanhwfa Road, Llangefni. Anglesey LL77 7EN
LONDON IN BLOOM

TRUSTEES, REPORT
for the year ended 31st October 2025
Charltable Objectives
The charity aims to promote floriculture and horticulture, educate the public, especially schoolchildren,
about ecological sustainability and natural resource conservation, and improve the live5 of older adults in
London.
Governance
The charlty is overseen by its Council of Trustee5 and Directors. Existing Trustees and Directors are
responsible for nominating new members. All Trustees and Directors retire at the Annual General Meeting
but are eliEible for re-election. Trustee meetings take place throughout the year. The Chairperson and
Campaign Managers also attend meetings Wlth the Britain in Bloom Federation. Although not legally
required, the Trustees have appointed an Independent Reporting Accountant to provide a report on the
Annual Report and Accounts.
Achievements and Activities:
Aim of London in Bloom for 2024125
London in Bloom's goals for 2024 focused on securing adequate funding to support its initiatives,
recovering lost entries, and promoting greater community engagement and collaboration. Additionally, the
aim is to revlse the judging criteria better to reflect the impacts of climate change where appropriate.
Finally, there is a strong emphasis on reinforcing the board's commitment to its core principles.
Achievements in 2024/5
The charity has made commendable strides in securing funding, leading to noticeable improvements in Its
operations; however, ensuring long-term sustainability remains a key focus. Engagement in its programs
had returned to anticipated levels, reflecting renewed interest and support.
Despite the initial setback of losing the agreed venue for the 2024 Awards Ceremony, the team successfully
adapted by hosting an elegant event at the Royal Horticultural Society's Wisley Gardens. Thi5 memorable
ceremony not only celebrated the achievements of participants but also reinforced society's dedication to
horticulture, environmental stewardship, and community involvement, with over 400 delegates in
attendance.
In response to ongoing climate change and social challenges, the charity has proactively augmented its
judging and assessment criteria to ensure they remain relevant and impacfful.
When and if appropriate. London in Bloom seeks to add at least one trustee to its boards to replace a
recently retiring trustee.

Objectives for 2025126
The following are the main objectives of London in Bloom in the future.
l. To ensure that all trustees play a pivotal role in advancing the charity's objectives, aiming to collectively
create opportunities for growth, sponsorship, and income generation that align with the charity's core
initiatives.
2. Trustees should work together to align all systems, policies, and procedures with the charity's principles,
strengthen governance, and support its development. This framework encourages trustees, active
involvement in management and overall progress.
3. Consideration should be given to recruiting new members to support the charity's goals and ensure long-
term continuity.
4. Strategies for income generation must be developed while maintaining a careful evaluation of the
balance between achieving charitable missions and ensuring sustainability.
6. The charity's programs should be adapted in response to the impacts of climate change and regionally
beneficial initiatives proffloted by RHS Britain In Bloom.
7. Continuous updates to media channels are necessary to enhance communication methods and improve
the dissemination of information.
8. Active particlpation in Britain in Bloom Federation meetings to support shared objectives across
region5/nations and ensure that the UK-wide program remains relevant and attainable for those wishing to
participate.
9. Ensure a sufficient number of judges and assessors are available to meet the requirements of the
charity's programs and to uphold the standard5 expected by London in Bloom and its participants.
10. The introduction of new categories, including the rolling out of additional Community Awards, will
allow for greater opportunities for participants and enhance engagement within the community.
Public Benefit Statement
The 9.5 million residents and visltors of the Greater London area benefit from improved standards of
beauti)Ication, greening, and environmental responsibility. This enhancement results from the participation
of London's cities and boroughs in our campaign. Councils, along with various businesses and community
group5, actively contribute to the presentation and management of their areas. Awards are given for the
standards achieved, and guidance for further improvements is also provided.
Financial Position
The charity's financial position at the end of 2024125 improved compared with previous years. Reserves are
adequate to support current activities. The results for the year showed a small Surplus of income compared

with expenditure, and funds allowed for a slight increase in the fee for campaign management, whlch had
remained unchanged for several years despite an Uptick in the number of entrants.
The unavoidable rise in the cost of the Annual Awards. resulting from the unexpected withdrawal of a
sponsor and a decrease in sponsored income, was offset by higher entrant fees.
The Statement of Financial Activities and the Balance Sheet can be found on pages to * that follow.
Risk Management
The Trustees have considered the risks to which the charity is exposed and are taking the appropriate
action.
Reserves Policy
The Trustees have established a reserves policy stating that, as soon as circumstances allow, the General
Reserve should be sufficient to cover the net fixed assets, fund a minimal Annual Award Ceremony, and
Support essential administrative expenses for at least 6 months in the event of temporary funding
shortage5. Building up to this level will take time, as sponsors understandably expect their contributions to
be directed to charitable expenditures rather than held in reserve.
Statement of Trustees, Responsibilities
Charity Law and the Charity's Deed of Trust require the Trustees to prepare financial statements for each
financial year that give an accurate and fair view of the trust's state of affairs, income, and expenditures for
that period.
In preparing those financial statements, the Trustees are required to select suitable accounting policies and
then apply them consistently, make reasonable and prudent judgements and estimates. and prepare the
financial statements on a going concern basis unless it is inappropriate to assume that the Trust will
continue.
The Trustees are responsible for keeping proper accounting records that reasonably accurately disclose the
Trust's financial position at any time and enable them to ensure that the financial statements comply with
the requirements of the Charity Act and the Trust Deed. They are also responsible for safeguarding the
trust's assets and, hence, for taking reasonable steps to prevent and detect fraud and other irregularities.
Peter G D Holman...... Chair & Executive Trustee
Geoffrey R Hyde....... Trustee & Tr
urer
Dated:_ 22, April 2026

LONDON IN BLOOM
Balance Sheet as at 31st October 2025
Note Cost D•prec'n D•prec'n Daprec'n
BIFwd
2025
Total
£0.00
£0.00
2025
2024
£.00
£0.00
£000
£0.00
FIXED ASSETS
Computer November 2020
Computer Dec 2021
Computèr May 2023
Writtan Off
Written off
1,358.17 605.17, 489.00 1.094.17
o.oo'.
264.00
753.00
1.358.17 605 17 489.00 1,094.17
264.00
753.00
TOTAL NET FIXED ASSETS
264.00.
753.CNJ
CURRENT ASSETS
Cash at Bank".
General Account
Petycash
L)ebtorslPrepayments
24,557.991
0.00 I
690.00,
25,247.99
16,9)5.24
0.00
1,470.00
18,375.24
CREDITORS:
Amounts falling du6 within one year
(7,847 701
14,850.001
NET CURRENT ASSETS
17,400.29..
13,525.24
TOTAL NET ASSETS
RESERVES..
.General Reserves
£17,664.29
£14,278.24
16,637.33
13.251.28
Restricted Reserves
1.026.96
1.026.96
TOTAL RESERVES
£17,664.29
£14,278.24
For the year ended 31 OGtober 2025 the chaiitable company was entitled to exempb.on frorn
audit undei ￿ctIOn 477 of the Companies Act 2006 relating to small ¢ompanio8.
Responsibilities of dir8Qtorsltrustees'.
181 The members have not required the ¢haritable company lo obtain an audit of 115 accounts
lor the ye8r in question in accordance with sects.on 476 01 the Companies Act-
however. in accordan¢ewilh sectyon 43 01 the Charities Act 1993 the accounts have been
examined by an independent examiner whose report is attached.
Ibl.The directorsltiustees acknowledge their responsibilities for complying with Ihe requirements
of the Companies Act wth respect to accounting records and th8 preparation ol accounts.
These accounts h3ve been prepared in acordance with the provisions applicable to
companies subject to the small companies. regime.
Approved by the Tru8tees 28 November 2025
Peter G D Holman.......Trustee
Geoffrey R H
.Tiust89

LONDON IN BLOOM
STATEMENT OF FINANCIAL ACTIVITIES
For the year endod 31 October 2025
Note
General
Restrictad
Fund8
2025
Total,,
Total
1&2
Fund
Funds,
2025,
Funds
2024
£.00
2025
£.00
£.00
INCOMING RESOURCES
Incoming Resource8 from generated funds I
.Volunlary Income
10, 124.42
10,124.42
11.246.55
Activities for goneraling funds
0.00
0.00
0.00
Bank Interest
34.62
34.62
29.31
Incoming resources from Charitable activlties
32,942.00
32,942.00,
31,375.14
TOTAL INCOMING RESOURCES
43,101.04
0.00
43,101.04
42,651.00
RESOURCES EXPENDED
Charitsble Activities
39,364.99
0.00
39,364.99
42,092.58
Governance
350 00
350.00
288.00
TOTAL RESOURCES EXPENDED
39,714.99
0.00
39,714.99
42,380.58
NET RESOURCES FOR THE YEAR
3.386.05
0.00
3,386.05
Surplu$
14,278.24
270.42
Surplus
14.007.82
Fund Balances blfvyd 1111124
13,2S1.28
1,026.96
FUND BALANCES CARRIED
FORWARD 31110125
£16,637 33
£1,026.96
£17,664.29
£14,278.24

LONDON IN BLOOM
NOTES TO THE FINANCIAL STATEMENTS
Year ended 31, October 2025
ACCOUNTINC POLICIES
Accounting Convention.. The financial statements have been prepared under the historical
cost convention and in accoi'dance with the Financial Reporting Standard for Smaller Entities
(effective April 2008), The Companies Act 2000 and the requirements of the Statement of
Recommended Practice, Accounling, and Reporting by Charities.
Fund Accounting- Tli¢ Ch￿'Ity,S general funds consist of funds which the charitj may use for
its purposes at ils discretion. The charity has now one restricted fund which can only be spent
within the specific rLstriction(s) of the doiior.
Format of Ineoine and Expendilure Account.. A Statement of Financial Activities has been
prepared, as opposed to the statutory Profit and Loss Account, which shows the sources from
which the Charity's Income was derived and ihe objects of the charity to which those
resources were dii'ected.
SPONSORSHIP
We gratefull! acknowledge the long-standiiigy and continuing financial contribution and
support of The Worsliipful Company of Gardeners, The Metropolitan Public Gardens
Association, Amberol, Jeremy Liiidon, and Grosvenor Estates.
It Should be noted that the Trustees, committee members and judges give a signifIcant
amoiint of their tiin¢ to running the charity, for whtcli they receive no remuneration.
DISCLOSURE OF PAYMENTS TO "RELATED PERSONS"
Mrs Anne Holman took over as Acting Unpaid Co-ordinator in 2003, at a time of extreme
ftnancial crisis. This was, in every aspect, of inestimable value to the Trnstees and to the
London in Blooin organisation. The Triistees therefore applied to the Charity Commission
and the Registrar of Companies to modify the Memorandurn & Articles so that Mrs Anne
Holman could continue as Co-ordinator for 2004 and subsequent years, and be paid a
Teasonable fee. This was agreed, subject lo certain conditions, all of wliich have been
complied with. Mrs Holrnan contii)ued ui)til thks year, when ill-health forced her to
withdraw.The Ti'uslces are ever grateful for her exceptional efforts. It is greatly appreciated
by the Trustees that Mrs Kate Han'is (daughter of Anne and Pcter Holman) then took over as
full Campaign Manager.
Under new Charity Law, paymenl may now be rnade to "related persons" without specific
authority of the Charity Conimission, provided that strict procedures are followed. The
Trustees have always followed these absolutely.

DISCLOSURE OF EXPENSES PAID TO TRUSTEESIDIRECTORS.
A lotal of £240 {2024 £143) has been reimbursed to Truslees/Directors, representing their
travel and subsistence when visiting and judging the entrants, Tepresenting London in Bloom
at Britain in Bloom Meetings, and in the course of ordinary busin¢ss.
RESTRICTED FUNDS
A donation was received during the 2023 year of £1,261.96 to be used for annual awards for
young persons. of which £150 was ¢Apended in 2024, but none in 2025..
FIXED ASSETS
No Fixed Assets were acquired this year. The computers are depreciated at 330/* pa, being
their expected working life. Smaller items such as printers are expensed when purchased.
DEBTORS
The debtors of £690 (2023 £1,470) are Compris￿ of entrant fees in advance and Annual
Am'ard pla¢eb. None are in dispute.
CREDITORS
The creditors of £7,847.70(2023 £4,850) eomprise catering for the Annual Awards (Wisley)
{£5,305), Fees for Campaign Managemeiit £1,500, and other minor admin items.

LONt)ON IN BLOOM
Income & Expenditure Account lor year5 ending 31st Octobor
Del8iled versKin for the Trustees
202
Actual
2021
Actual.
2022
Actual
2023
Actual
2024,.
Actual
2025
Actual
INCOME
Sponsors See below Ilst
Entran18 Fees
Setninar Fees
Aw8rd$ Extra Places
Enliants servI￿s
DonalioTF5- Unrestricted
Donations- Restricted
Gift Aid
6,100.00 6.100.00 4,600.00 8.100.00 6.600.00
5,500.00
5,375.00 17.383.00 19.540.91 20.101.28 22,143.87 25,727.00
180.00
0.00
3.919 76. 4,337.50 4,646.55
4.824 42,
1,212.00
255 00
1.785.28
410.00
781.27
Nei9hbourhoods
RHS Special 2020 Grant
0.00 8.190.00 9,035.00 7,995.00 8.450.00
3.981.00
7.215.00'
Bank Inte￿st
o.oo
6.21
2645
29.31
3462
TOTAL INCOME
18,708.28 32,083.00 37,101.88 42.002.17 42,6S1.00 43.10t.04
EXPENDITURE
Annual Awards from General Fund£
Annusl Awar(Is Restn¢ted Funds
Seminars
Committe Meelin9S
Soknre Iweb development
In8urance RHS
Judging General
Mileage PH
Profession81 Fees PH
Travel- Trustees
Travel- Others
atnpaign Management-Basic
ditto ex gratia
OF[1￿ consum2bles
Postage. Printing
Telephone
Wèbsite set-up and Maint
ContingencylM15c Other
Bank Charges
Reporting Accountanvco House
DepreeiHtion Computer5 only
60.00
794.47 6.522.54 7.920.05 10,923.75 12.462.70
185.00
0.00
0.00
24.00
0.00
128.80.
25.00
30.00
100.56
303.99
3,044 74 2,020 23 5,159.54 2,226.36 2.397.03
90.00
90.00
90.00
100.00
279.58
764.46
698.98
143.10
1,104.38
100.00
1.121.75
781.56
13400
49.05
5W.00
32.00
0.00
21.51
14,400.(NI 20,500.00 20.500.00 20.500.00 21.270.00 20.820.00
2.000.00 2.000.00. 6.000.00 4.500.00
1.50000.
5.55
498.32
416.85
260.74
918.33
18.78
271.44
243.14
161.20
32.$0
360.00
380.00
400.00
560.79
756.33.
284.52
134.21
384.00
80.00
363.00
666.00
91.00
239 00
234.00
87.00
301.00
3*.00
60.00
301.00
824.17
60.OD
288.00
713.00
350 00
489.00
TOTAL EXPENDITURE
20 231.12 27,669.12 36.980.30 40.006.69 42,380.58 39 714.99
£1,522.84
£4 413.88 £121.58 £1.995.48 £27Q.42 £3,386.OS
Deficit Surplus Surplus Surplus Surplus
Surplu
MARGIN
0710712026 10:35
Sponsorslsupporters
MPGA for Awards
WCGardÈners
Windothrs
MPGA
Idverde
Jeremy Lindon
Mr & Mrs Bellamy
Bourne Amenity
Amberol
Grosvenor Estates
0.00 2.000.00.. 2,000.00 2,500.00 2.500.00
1,500 00 1,500.00
1,500.00
000
1,000.(Q see above 1.000.00 1.000.00 1,000.00
1,000.W 1,000.00
2.DCKI.CI) 1.000.00 1.000.00 1,000.00. 1,CKQ.00
0.00
0.00
600.00
2,500.00
1,000.00,.
600.00 600.00, 800.00
600.00
1,500.00 1,500.00.
500.00
1.500.00,
6,100.00 6,100.00 4,600.00 8.100.00 6,600.00
hllps.'Ild.d0¢5.live.neV46b190d791c7365elDocumentslVOLbVORKSILIBIACCTsfYaaf2024251ILIBA¢¢ls2425TT.xlsxlSumm
5,500.00

INDEPENDENT EXAMINER'S REPORTTO THE TRUSTEES OF LONDON IN BLOOM
I report on the accounts of the Charity for the year ended 31 October 2025 which are set
out on the attached pages.
RESPEcfivE RESPONSIBIUTIES OF THE TRUSTEES AND EXAMINER
The Charit(s trustees are responsible for the preparation of the accounts. The Charitvs
trustees consider an audit is not required for this year lunder section 43121 of the Charities
Art 1933 (the 1993Act as amended by S28 of the Charities Act 20061 and that an
independent examination is needed.
It is my re5pon5ibility to:_
Examine the accounts lunder section 4313llal of the 1993 Act as amendedl:_ Follow the
procedures specified in the General Directions given by the Charity Commissionlunder
Section 4317llblof the 1993 Act, as amended), and to state whether particular matters have
come to my attention.
BASIS OF INDEPENDENT EXAMINER'S REPORT
My examination was carried out in accordance with the General Directions given by the
Charity Commissioners. An examination includes a review of the accounting records kept by
the charity and a comparison of the accounts presented with those records. It also includes
consideration of any unusual items or disc105ures in the accounts,
and seeking explanations from you as trustees concernlng any such matters. The procedure
undertaken do not provided all the evidence that would be required in an audit, and
consequently I do not express an audit opinion on the view given by the accounts.
INDEPENDENT EXAMINER'S STATEMEKr
In connection with my examination, no matter has come to my attention.
l. Which gives me reasonable cause to believe that in any material aspect the
requirements to keep accounting record in accordance with Section 386 of the
Companies Act 2006; and
to prepare accounts which accord with the accounting records and to comply with
the accounting requirements of Section 396 of the Companies Act 2006 and with the
methods and principles of the Statement of Recommended Practice,.
Accounting and Reporting by Charities
have not been met . or
2. to which, in my opinion, attention should be drawn in orderto enable a proper
understanding of the accounts to be reached.
W.GLYNNE OWEN & CO UMITED
CHARTERED ACCOUNTANTS
2 CARADOG VILLAS
GL4NHWFA ROAD
LLANGEFNI. ANGLESEY LL77 7ED
Signed