
## **Trustees’ Annual Report for the period** 

**From 1[st] April 2022 To 31[st] March 2023** 

**Charity name: Vale Landscape Heritage Trust** 

## **Charity registration number: 1080109** 

## **Objectives and Activities** 


**----- Start of picture text -----**<br>
SORP reference<br>Summary of the purposes of Para 1.17 To conserve the natural beauty, wildlife<br>the charity as set out in its and heritage of the area.<br>governing document<br>To educate the public in the natural,<br>historical and presentday environment<br>of the area.<br>To use our resources for the<br>conservation of the natural environment<br>for the benefit of the public, particularly<br>local residents.<br>**----- End of picture text -----**<br>


|**Objectives and Activities**|**Objectives and Activities**|**Objectives and Activities**|
|---|---|---|
|SORP reference|||
|Summary of the purposes of<br>the charity as set out in its<br>governing document<br>Para 1.17<br>**To conserve the natural beauty, wildlife**<br>**and heritage of the area.**<br>**To educate the public in the natural,**<br>**historical and presentday environment**<br>**of the area.**<br>**To use our resources for the**<br>**conservation of the natural environment**<br>**for the benefit of the public, particularly**<br>**local residents.**|||
|Summary of the main<br>activities in relation to those<br>purposes for the public<br>benefit, in particular, the<br>activities, projects or<br>services identified in the<br>accounts.|Para 1.17 and<br>1.19|**We continued to manage and enhance**<br>**the land in trust, for the benefit of**<br>**people and wildlife, as per the definition**<br>**of Public Benefit as defined in the**<br>**Charity Commission text of the same**<br>**name.**<br>**We continued to work in partnership**<br>**with Severn Waste Services to deliver**<br>**heritage and wildlife conservation**<br>**projects.**<br>**We continued to work with the**<br>**Worcestershire Wild Pollinators**<br>**Facilitation Fund to increase awareness**<br>**of the natural environment amongst**<br>**landowners, landmanagers and**<br>**farmers in the county.**<br>**We continued to support Worcestershire**<br>**Biodiversity Action Plan (BAP)**<br>**Partnership to update the county’s BAP.**<br>**We engaged with local orchard owners**<br>**to carry out surveys for Noble Chafer**<br>**beetle a BAP species.**<br>**We continued to work with the RSPB to**<br>**feed wintering farmland birds (BAP**<br>**priority) including Corn Buntings at**<br>**North Littleton.**|





|**We participated in the awardwinning**<br>**Pershore Plum Festival.**<br>**We continually update our website and**<br>**have increased our social media**<br>**presence through Facebook.**<br>**We produced four newsletters to**<br>**promote our work.**|**We participated in the awardwinning**<br>**Pershore Plum Festival.**<br>**We continually update our website and**<br>**have increased our social media**<br>**presence through Facebook.**<br>**We produced four newsletters to**<br>**promote our work.**|**We participated in the awardwinning**<br>**Pershore Plum Festival.**<br>**We continually update our website and**<br>**have increased our social media**<br>**presence through Facebook.**<br>**We produced four newsletters to**<br>**promote our work.**|
|---|---|---|
|Statement confirming<br>whether the trustees have<br>had regard to the guidance<br>issued by the Charity<br>Commission on public<br>benefit|Para 1.18|**The trustees confirm that they have had**<br>**regard to the guidance issued by the**<br>**Charity Commission on public benefit.**<br>**The trustees continue to manage the**<br>**trust in accordance with their governing**<br>**document with regard to the main**<br>**purposes of the trust; to conserve the**<br>**natural beauty, wildlife and heritage of**<br>**the area.**<br>**To educate the public in the natural,**<br>**historical and presentday environment**<br>**of the area.**<br>**To use our resources for the general**<br>**benefit of the public, particularly of local**<br>**residents.**|



## **Additional information (optional)** You may choose to include further statements where relevant about: 

|**Additional information (optional)**<br>You may choose to include further statements where relevant about:|**Additional information (optional)**<br>You may choose to include further statements where relevant about:|**Additional information (optional)**<br>You may choose to include further statements where relevant about:|
|---|---|---|
|SORP reference|||
|Policy on grant making<br>Para 1.38|||
|Policy on social investment<br>including program related<br>investment<br>Para 1.38|||
|Contribution made by<br>volunteers<br>Para 1.38<br>**Volunteers continue to be a vital**<br>**element of the trust. Making possible**<br>**the management and enhancement of**<br>**the land held in trust, production of**<br>**newsletters, promotion and publicity,**<br>**and helping at events.**|||
|Other|||



## **Achievements and Performance** 

SORP reference 



|Summary of the main<br>achievements of the charity,<br>identifying the difference the<br>charity’s work has made to<br>the circumstances of its<br>beneficiaries and any wider<br>benefits to society as a<br>whole.|Para 1.20|**We continued to function through the**<br>**pandemic with some restrictions on our**<br>**activities. We managed to continue**<br>**maintaining and enhancing over 320**<br>**acres of landscape heritage.**<br>**We continued to work with our**<br>**dedicated practical conservation**<br>**volunteers, bringing together people**<br>**from different backgrounds with a**<br>**common interest; to help conserve**<br>**parts of the Vale’s treasured**<br>**landscapes.**<br>**We implemented enhancement work at a**<br>**neglected area of land at North Littleton,**<br>**which was being used for flytipping**<br>**and bonfires. The site has been cleared**<br>**and made it secure to prevent further**<br>**flytipping. The relict orchard has been**<br>**cleared of bramble and new fruit trees**<br>**have been planted.**|
|---|---|---|



## **Additional information (optional)** You may choose to include further statements where relevant about: 

||||
|---|---|---|
|Achievements against<br>objectives set<br>Para 1.41|||
|Performance of fundraising<br>activities against objectives<br>set<br>Para 1.41<br>**Successful funding bids to Severn**<br>**Waste Services. Working with the**<br>**Worcestershire Biodiversity Action Plan**<br>**partnership. Continued to work as a**<br>**member of Worcestershire Pollinator**<br>**Facilitation Fund working with farmers**<br>**and other land owners to target**<br>**potential funding streams to protect and**<br>**enhance habitats. Continued with**<br>**Countryside Stewardship funding.**|||
|Investment performance<br>against objectives<br>Para 1.41|||
|Other|||





## **Financial Review** 

|**Financial Review**|**Financial Review**|**Financial Review**|
|---|---|---|
|Review of the charity’s<br>financial position at the end<br>of the period<br>Para 1.21<br>**The charity has ensured that it has the**<br>**financial resources to fulfil its objectives**<br>**in the short to medium term.**|||
|Statement explaining the<br>policy for holding reserves<br>stating why they are held<br>Para 1.22<br>**Funds are held commensurately with the**<br>**future revenue and capital needs of the**<br>**charity.**|||
|Amount of reserves held<br>Para 1.22<br>**£359217**|||
|Reasons for holding zero<br>reserves<br>Para 1.22|||
|Details of fund materially in<br>deficit<br>Para 1.24|||
|Explanation of any<br>uncertainties about the<br>charity continuing as a going<br>concern|Para 1.23||



**Additional information (optional)** You may choose to include further statements where relevant about: 

|The charity’s principal<br>sources of funds (including<br>any fundraising)<br>Para 1.47<br>**Severn Waste Services through the**<br>**Landfill Communities Fund.**<br>**Rural Payment Agency through Basic**<br>**Payment Scheme and Countryside**<br>**Stewardship.**|The charity’s principal<br>sources of funds (including<br>any fundraising)<br>Para 1.47<br>**Severn Waste Services through the**<br>**Landfill Communities Fund.**<br>**Rural Payment Agency through Basic**<br>**Payment Scheme and Countryside**<br>**Stewardship.**|The charity’s principal<br>sources of funds (including<br>any fundraising)<br>Para 1.47<br>**Severn Waste Services through the**<br>**Landfill Communities Fund.**<br>**Rural Payment Agency through Basic**<br>**Payment Scheme and Countryside**<br>**Stewardship.**|
|---|---|---|
|Investment policy and<br>objectives including any<br>social investment policy<br>adopted<br>Para 1.46|||
|A description of the principal<br>risks facing the charity<br>Para 1.46<br>**Potential for loss of income due to**<br>**changes in agricultural payments and**<br>**stewardship agreements. Also a**<br>**reduction of Landfill Communities Fund**<br>**receipts.**|||
|Other|||





## **Structure, Governance and Management** 

|**Structure, Governance and Management**|**Structure, Governance and Management**|**Structure, Governance and Management**|
|---|---|---|
|Description of charity’s<br>trusts:|||
|Type of governing document<br>(trust deed, royal charter)<br>Para 1.25<br>**Declaration of Trust**|||
|How is the charity<br>constituted?<br>(e.g unincorporated<br>association, CIO)<br>Para 1.25<br>**The body of trustees shall consist of a**<br>**maximum of eleven persons including**<br>**one nominated by Worcestershire**<br>**Wildlife Trust.**|||
|Trustee selection methods<br>including details of any<br>constitutional provisions e.g.<br>election to post or name of<br>any person or body entitled<br>to appoint one or more<br>trustees|Para 1.25|**Trustees are voted in at a special**<br>**meeting of trustees. Coopted trustees**<br>**may hold their position for 5 years**<br>**before reelection and nominated**<br>**trustees may hold their position for 4**<br>**years before reelection. Trustees**<br>**confirm an annual declaration with**<br>**reference to regulation 33 (1) (g) at the**<br>**first trustee meeting each year.**|



## **Additional information (optional)** 

You may choose to include further statements where relevant about: 

Policies and procedures adopted for the induction Para 1.51 and training of trustees The charity’s organisational structure and any wider Para 1.51 network with which the charity works Relationship with any related Para 1.51 parties Other 

## **Reference and Administrative details** 


**----- Start of picture text -----**<br>
Charity name Vale Landscape Heritage Trust<br>Other name the charity uses<br>Registered charity number 1080109<br>Charity’s principal address Evesham Volunteer Centre, The Lodge, Brick Kiln Street,<br>Evesham, Worcestershire, WR11 4AA<br>**----- End of picture text -----**<br>




## **Names of the charity trustees who manage the charity** 


**----- Start of picture text -----**<br>
Name of person (or body)<br>Dates acted if not<br>Trustee name  Office (if any) entitled to appoint trustee<br>for whole year<br>(if any)<br>1 Deirdre Sutton  Chair<br>2 James Haywood  Treasurer<br>3 Colin Grove  Vice Chair<br>4 Betty Ballard<br>Harry Green  Worcestershire<br>5<br>Wildlife Trust<br>6 Phil Hooper<br>7 Bob Gillmor<br>8 Judith Ciotti Started 07.06.22<br>9<br>10<br>11<br>12<br>13<br>14<br>15<br>16<br>17<br>18<br>19<br>20<br>**----- End of picture text -----**<br>


– Corporate trustees names of the directors at the date the report was approved 

## **Director name** 


Name of trustees holding title to property belonging to the charity 


**----- Start of picture text -----**<br>
Trustee name  Dates acted if not for whole year<br>James Haywood<br>Harry Green<br>**----- End of picture text -----**<br>




## **Funds held as custodian trustees on behalf of others** 

Description of the assets held in this capacity Name and objects of the charity on whose behalf the assets are held and how this falls within the custodian charity’s objects Details of arrangements for safe custody and segregation of such assets from the charity’s own assets 

## **Additional information (optional)** 

## **Names and addresses of advisers (Optional information)** 

|**Type of**|**Name**|**Address**|
|---|---|---|
|**adviser**|||




**Name of chief executive or names of senior staff members (Optional information)** 

## **Exemptions from disclosure** 

Reason for nondisclosure of key personnel details 

## **Other optional information** 



Declarations
The trustees declare that they have approved the trustees. report above.
Slgned on behalf of the charSty's trustees
Signaturels)
Full name(s)
Posltlon (eg Secretary,
Chair, etc)
Date

CHARITY COMMISSION
FOR ENGLAND ANO WALES
Independent examiner's report on the
accounts
Section A
Independent Examiner's Report
Report to the trusteesl
members of
VALE LANDSCAPE HERITAGE TRUST
On accounts for the year
ended
31st MARCH 2023
Charity no
(if any
1080109
Set out on pages
i-￿3
I report to the trustees on my examination of the accounts of the above
¢harity ('the Trust") for the year ended 3110312023.
As the charily's trustees. you are responsible for the preparation of the
accounts in accordance with the requirements of the Charities Act 2011
{Ihe A¢t').
Responsibilities and
basis of report
I report in respect of my examination of the Trust's accounts carried out
under section 145 of the 2011 Act and in carrying out my examination, I
have followed all the applicable Directions given by the Charity Commission
under section 145{51{b) of the Act.
Independent IThe charity's gross income &xceeded £250,000 and l am qualified to
examiner's ststement undertake the examination by being a qualified member of The Chartered
Institute of Management Accountants.
I have completed my examination. I confirm that no material matters have
come to my attention in connection with the examination (other than that
disclosed below") which gives me cause to believe that in, any material
respect..
the accounting records were not kept in accordance with section 130
of the Charities Act,. or
the accounts did not accord with the accounting ￿cOrds., or
the accounts did not comply wrth the applicable requirements
Concerning the form and content of accounts set out in the Charities
{Accounts and Reports) Regulations 2008 other than any requirement
that the a¢¢ounts give a 'true and fair, vi8w which is not a matter
considered as part of an independent examination.
I have no concerns and have come across no other matters in connection
wtth Ihe examination to which attention should be drawn in this report in
order to enable a Proper understanding ot the a¢¢ounts to be reached.
Please delete the words in the brackets rfthey do not apply.
Signed:
Date:
Is/1/21+
Name:
Geraldine Jones
Relevant professional
qualification{sl or body
(if anyl:
CIMA
IER
Oet 2018

Address".
70 Yellowhammer Court
Kidderminster
DY10 4RR
Section B
Disclosure
Only complete if the examiner needs to highlight material matters of concern
(see CC32, Independent examination of charity accounts.. diredions and
guidance for examiner5).
Give here brief details of
any items that the
examinerwishes to
disclose.
IER
Oct 2018

CHARITY COMMISSION
FOR ENGLAND AND WALES
Vale Landscape Heritage Trust
Annual accounts for the
1.4.22
To
Charlty No
if an
eriod
Period end
date
1 1080109
Period start dale
Section A
statement of Financial Activities
Recommended categorles by
actlvlty
Unrèstrfetod
funds
Restrlcted Endowment
income funds
funds
Prior year
funds
Total funds
Incomlng resourcos {Noto 31
F01
F02
F03
F04
F05
InGom¢ ond endowments from..
Donati(￿8 and legac*s
Charit8tye aglivilies
19120
Sol
29,772
104,833
3,084
866
29,772
472,596
3,534
4,862
5,073
296,256
2.620
117
S02
367,763
450
3,995
tJh8r1r8dtr￿ athiUe5
Investhwts
$03
SèpaRbmatsiial Itemoflnwne
Oth8r
505
531
139.086
3,215
375,423
3,746
514,509
3.063
307,129
Total
Resources exponded (Noto 61
Expenditur¢ on:
Raising lunds
Cha￿tab]e BGtivjtÈs
S07
S08
S09
73.830
123,552
197,383
190.369
Seyarate material item ofexp•
Oiher
S10
rotal
S12
73.830
123,552
197,383
190,369
Net incom&llexpgnditure} before investment
gainslllossesl
S13
65,255
251.871
317,126
116,760
Nd981n￿I￿SsesI (xi Investments
Net in¢omellexpendituro1
Extraordinary items
Transfers betwgon fund$
Other recognlsed gainsl(Ios5esl:
$14
515
65,255
251.871
317,126
116,760
516
S17
19,301
19.301
Gain5 and logse¥ on revaluatirffl of fixed assetts tsrtha charlty'$WI use S18
Other yaiTrEIIIDs$8$1
S19
Net movement in funds
S20
84,556
232.570
317,126
116760
Rg¢onciliation of funds.-
Total lund5 broughlltsward
Total funds carried ft>rward
S21
274,661
359,217
2.310.330
2.542.900
2,584.991
2,902.117
2,468,231
2,584,991
S22

Section B
Balance sheet
Unrestrlctsd Restrictsd Endowmont Total this
funds
Income funds
funds
yèar
Total last
year
Fixed assets
Intangible assets
Tangible assets
Heritage assets
Investments
F01
F02
F03
F04
F05
(Note 15)
{Note 14)
(Note 161
(Note 171
Total fixed assets
801
B02
18,206
2,094,061
2,112,267
2.008.955
B05
18,206
2.094,06
2,112,267
2,008,955
Current assets
Stocks
{Note 18)
Debtors
{Note 19)
Investments
(Note 17.4}
Cash at bank and in hand {Note 24)
Total current assets 81
B07
12.766
1,379
14.145
11,170
Bog
332,889
345,655
447,460
44
.839
80,34
794.494
568,464
590,766
Creditors: amounts falling due within
one year
(Note 20)
811
4,643
4,643
3.599
Net current assets/(liabilitiesJ
B12
341,011
448,839
789.851
576,036
Total assets less current liabilities
B13
c￿ditors. amounts falling due after
one year
(Note 201
Provisions for liabilities
914
B15
Total net assets or liabilities
Funds of the Charity
Endowment funds {Note 271
Restri¢ted in¢ome funds (Note 271
Unre$tri¢ted fund$
Revaluation reserve
B16
359,217
2,542,900
2,902.117
2,584,991
B17
818
2,542,900
2,542,900
359.217
2,310,330
274.661
B19
359,217
820
Total funds B21
59,217
2,542,900
,117
4,99
Signed by one or two trustees on behalf of all
the Iruslees
Date of
approval
ddlmml
Signature
Print Name
AME& W.HAYwoo>
11.01.
CC17a IExcell
1110112024

NDtè I
1.1 of￿￿¢D￿TrU
FR51U.'
'.IJGkA*¥W
1.2 Gr￿ll ¢¢n¢•rn
l.
Yer
Ya
Yw.
CG1t41É¥

Settion C
Notes to the accounts
Note 2
Accountlng poll¢le8
Pl*8secofflp￿ ￿&nOt9 wthfdstmpitwthrFRS2102. Secllon35 olFRSlVd. lobe
senled. rfaUamappltGth.
2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTEO ACCOUNTING
PRACTICE
pteasg pmlde a dètscrlptlon
otthe ftature ofo•¢h ¢h4ngè
In accoun￿n9 PDlky
No reJlat£mont Ls r4qulvgd
R9¢ond￿ oll{￿d5PerpT£v1￿V$ GAAP to Iwid$ d•twmin4dundwFR5 103
St•rtof
End of
POrf￿ p•riod
Fund balan¢o8•8 pr•vlousty
AQIIisinMnts.'
Fund b•lgn¢e 8$ r•8tated
R¢¢¢tt¢llaiiwJ o1ftellncomd(ft4t•xpw￿ pwpreOovs GAAPto ft•llncOrn￿ln4r￿p￿dil￿o} und•rFRS 102
End of
Net InctyTrgll•wthdtiurel prnYlDusly
Stated
Adlitstrnents."
Prevlow pBrfod n•tkncoMrf•AwndltrJre}a•
CC17a (Ex￿>
1510112024

Scction C
Notes to the accoui?ts
Note 2
2.2 INCOME
A¢counting por￿leS
Thtsstandarftstcff8¢¢oullhrypolKles has been3w￿d&v1bech8￿9%cfrplr0rthOSe Ikked'No'orY4/a". 8
diter6nloraddrtlonalpolkyhas been adooedlh&n ¢h&* is detaIkLI￿1￿È&oX￿•10w.
RgcoAnlUonoflncom•
Th888 are induded In tho Sklemenlof FlnawaiAGti¥ities ISOFAI *l)8n."
th8 thatity becornes enlved lo the iesoui¢e¥."
it Is rnore Ilkety than noithal the1n￿le$S receive the Fttoufces," and
the MoneLiryvB￿Je c•n be mEasu￿d with $ufficthireN•bllty.
There h88 ts8e￿ no offsetting olassets and lia￿lties. Cf incorne and eyrAes. un*s Towlrthfj
pemltted bythe FRS 102 SORP orFRS 102.
Nl•
Offsouh
Gran¢$ anddoTr4Uong
G18nts￿d dffi8Uon$ artonlylnduded in Ihe WAwheTrth8 Irwrn• reC0J￿On
¢*terfa ar• rn8115.10to 5.12 FR5102 SORPI.
In the ¢a8eOfperf{Nrna￿ ￿￿ted prarts. Inc0m&mL*to￿Y berecogrt$8d t¢ Ihe ethl
thalthe ¢harityha5 VOVhledth6$peclfièd4cods ¢r8e￿￿eSasen￿￿ernÉ0j tothegranl
only oc¢wswheTr perfDThan¢e relaied conditiM$4ro rnel{5.1e FRS 102 SORPI.
L8gatie5 aTe indkhyed in the soFA￿tten re￿IplIS probabfe. thaits. then there has
tye¢n grdnlof probaie, executors haveegt8blished thal thw8 areSU￿￿ent assèts I
iheestaleand any￿nd11th$ attaC￿d t¢ the oMtrrA Dfthe
¢h8rityorhave been met.
Y¢&
No
Gmmm•nt4rnnl•
The o*arfty ￿ re¢aN8tt&rnmrnentgF8nts In the repNUrvap8dod
Yes
P40
Tax rn¢l•lm$ on
dDnatlons and girts
GIftAtd recewable ￿ InBluded In kncom8vdhen there is a validdedwaUDn frcth th2 dDn¢Y.
Ary GIftAid amounlrerovered on & donadon Lswn4d8red io 01th819rfl is
treated a$ an attdib￿ to the same hjnd as the Inmal unle55 kned0￿r￿r1
terms Dfthe appe*ha￿ otr*Mise.
Yo8
No
C¢mtractual Incorn•8nd
perforrn4t)c• rnlttsd
Irants
Thlg Isonly In the SOFA on￿￿? h8$provhJ&Jlhor8Ia￿￿X￿th
s￿¥1¢8$￿[￿etthe Performa￿ re￿Ied )￿dI1￿8.
Donaied wod$ Measu￿81 lair (￿Arn￿J￿rorIthch the assetwuld
•xch2ngedl ￿1•$5 wnpracltcal to do s
Yès
Donthd 90¢4J•
Th8 coslof•nysiiKk ￿9D￿￿5d0ft0t0￿ fOrd￿l￿￿rI￿ bwèfitsane51s deemed lobe
the fairv￿￿e olthosBgifts al the lime of th6ir ￿IllI and Ihey*e recognised on rt¢wpt
Ihe rep)￿￿0 periodin which the Stocks 8redisthbuled. theyao rncopnised 8$an
exptnseal the carrying amDunlofthe slttks It￿￿￿bU￿0Th
Donated wd9 frrf ies*e aT2 MeasU￿d *fairYdlue on In￿81 ownibon. vthkh L8 the
expected pr￿ed$ trom Sale ￿ theexpe&8d (¥5tsofsal8. and t8CQgnised ￿l'Ir￿0me
frotn othertradin9 al￿￿e5, Wrthlh2corresponding Stock recty)n￿o in the balance
she81. On its ￿e thÈ Val￿OrSt0￿￿ 15 thargedagainsl Income fvom OthBrtradi
acbvilles, and the PrC￿￿￿1*frorn sale areglso r8cogniEed a$'lncome trorn other tradkng
athitie$'.
Yes
No
G¢ods donated forcn*owi9 uspbythe chartty8￿ re￿￿Sed ￿ wngltd8 fixed 4sg¢L4
and In￿L￿ed in the SDFA88 Incoming re%)urcesv4h8n recdvable.
Yes
No
Gin8 In k￿d for use ty th&L*8rityare indu¢ed SOFA a$ IncoTh 1mdonalh￿¥
Y88
No
Don•tsd wrvk•• and
f•clllUes
Ocnated serric8s and facilllles weIr￿￿d#d in the SOFA vthen r￿ve￿Al the y￿ue ol
thtrgiftto lh8 £hrityp￿dPd the vluoofthe gnlcan b8 m￿urerf ￿l￿bty.
Danated a8￿CeS and fa￿￿￿￿$ thal a￿cOnsUMed Imm8dialetyare reco9nl$8das hic•ffle
an eqL¥vaI￿1 •rI￿l￿t r•xgnised4s an expen80 UndÈwth2apprcyrt*e he*ing"
the SOFA.
Yas
No
Support C09ts
Th¢ ch8rftyhas nwred expendRur8 On SUP￿ cos1*
Thavalupolany¥oluntsryhe￿[eceF1e0 hdL¥led In kne•xtsJnts bu115de8cribed
In tDJ5tee$'￿ntsal ￿￿1.
Yo
No
Volunts¢rh•lp
In¢om•from Int¢rey(
Thkslg In￿L￿e0 ir thEawJniswh8n r¥rqiptls prob8bk•8nd the &mC￿nI 10¢8fv4bl8o
be rnea9ur8d r8fi8w.
08
Incom• from membeY9hlp Wmbwshlp re¢•wJ in the natur• 018 gm 80 reLogntsed kn Donalicffl
subG¢rlpiion$
an¢ LegaLiè5.
•$
M¥nbershlp 5ubKapbans wM¢h 9ive$ a mtrnberthfr ryhl io b￿se￿CeS (rf othar
benefflsare recLwised as irKome 88med I[￿n the provl*onofwds and Se￿1(￿￿{S
Irrfxyne fr&b tharilable athlth*

$4tt1omont ollngiian¢e
¢lalM8
InSurdft￿daFms areontyinrjuded In1￿ SoFAth the generdl lThxm8
critériaare mei15.10 10 5.12 FRS102 SORPI and are 89 an of 0lh2r
Incorne in1￿ SOFA.
Inv•stmont gal￿ •nd
Th$ h￿deS8￿Y ￿3115￿ or Unre￿18•d llalnsu losses 0Trthgs81*L*lnveslrnentsan
anygaln t¢rn re¥8￿￿) investrnents toma￿etYa1￿&sIthBend pftho
yfyar,
Y•$
No
2.3 EXPENDITURE AND LIABILITIES
LlaNllty rt¢ognl¥on
LiabillUe$ •rorecoBnlsedwhwe I Is ffl￿e Nketylhan thotelsa legal or
construdv6 ot414aboTrcommitting the ¢hatity to payouir8soJt¢esand the rnnlof th•
obligaiiw ¢sn be rnea5uredv￿Ih r¢¥sonable certainty.
GDv•rThancv and iuppr#t SupportC0515 h2¥0been alb￿10￿ L￿1￿￿en goveman¢e¢4St48ndother¥urwL
GovemancecoBt¥ c¢JMpfj888￿tO5ts knyomrfj puwk se￿n￿￿￿Or￿ec￿OlEtyo￿ it8
Support￿￿ts ￿￿￿d&¢80￿8l fun¢bons and have been ￿loL*ted1oaCEMtyC0sl
categoties on a ba$L4wi$L4tsnivMh thè use ofr¢gow¢8$. eg 8Noraing w0patyr￿
flocrf areas, orperrApli8, Staff costs bY￿fknfy8WnlaIvj otherc>Jyls bytsru$8W.
Where the charftyyivesagr3nlthith forlt5 payfflenl bein9 8 wfiGle¥d of
seN￿e￿rOU￿Ut￿ be provided. such wanl$8rtffity recry￿s￿d In thB SOFA once the
reupRnlofthogr8ni has pp)vided thespeclfied
Where Ihare are no condllM$8tt8thing tothegranl that en8Ne$ the Ounorchantylo
realk4tr4tyavoKltre rAwnml*menL a 118￿l￿for￿è luN fundlng musl be
Y95
Grnnts p•rfomi•thce
¢ondMlons
Grgmts payable wlthout
rfonnaTreo ¢ondlltOfi8
R•dundantycotst
Tho tharity rnadeno r8*JndaKYpa￿nts durfry themportkno par1￿￿.
Yas
Drf•rfed Incom•
No m8terl81 Itemafdefeffed h¢omg has bEen Induw In Lhe8CL*￿ta.
redmorn
Thè¢W h8&C￿￿tA￿￿har8 rneasuod415eWemenlmnts L￿anY￿*
dlscounLq
Prov￿￿)￿• lorllablllll•
Allabllltyis measured on rerwthn aiiia hisiotK& cosland then 8ubsequenUy
measured •1 thebpst estirnaie ofthe 8mouniiequiretttO 9eMe the0￿￿3¥￿￿n althB
reporvng dats
The ctharityattwnts ba5K finan&al Ingvumentson inidal rf0)gniU0Th88￿r
10.7 FRS102 50RP. $ub¥ewrtnxasLYérnentls a¥ per pawraphs 11.17
10 11.19, FRS102 SORP.
B411cflNn¢lal
In•ts￿ments
2.4 ASSETS
Tanglble flx4d 39$•18 lor Th0$ea￿caPwSed rfth6y¢an rnowlhan oney, and C￿181 le88t
8• ty¢h4FIty
£100
I￿ValL￿d atcost
Yes
Thedepreoalian raieAgnd m8thodo L￿d aTrdtsth8ed In Th)t09.2.
The chatity ha5 in￿n91b￿ 8¥$BI5. Ihal Is, n￿4mOn￿ary8$¥ths thaldo notha¥o
phpl¢* $ubstsnce bulare ￿eThI￿￿ble andare controlled byth8 ¢th•rityIhw￿h ￿StOdY
or W ri￿1$. r8t85 and mBthod5 Used arn thd08ed in nDl2 9.5
Inianylble ffxed aosotg
Yg9
Nl•
Thgyarn v*lJedatcoJi
Herltago 461•1¥
Theeb￿tyha5 heAtag8 •$8eis, thal is. nO￿anetary899e1s￿ith hiBtopL, arli51lq
x*J&tifio bthnthglc&. gWhY5￿ orenbirorTrmental qU￿1b￿SthIt ale and
maintained krrinc1pdtyfcrlh8irunknbu￿on io kn￿ledge cvlbjfft. Th2depredA
rateg 8nd method5 used as dls408ed in tw)teS.0.1.4.
Y88
Nffa
Y88
Th2yareVa1￿ al￿sL
assetin¥¢gtmeffjs inqint2d sha￿s, traded and 51rnlarknvestmgntS8
vgIuEd allniUaltyaie051 and 5ubse4uenUy all*rvalup lthelrmarketvaltsfyl •tthe year
I￿J. The gamo tre81mvnlisapplied loU￿1$te￿ inve8tsnen15 uThie55 lalr valu8 ¢4nnotbe
Measur￿ Fdhibty Inv4h￿￿ ￿￿e Ki5 rnea5ured al￿￿¢ ￿8$ unpalrnenl
Inves￿n￿h￿Id trrp531eor peThllng thelr s•l&ar¥Jashand ￿h￿Qu￿416￿ts￿ a
Falurtty dote of18SSthan 1 year3retreaW as ¢￿￿￿nta￿se1lnVOstrnents
Y88
sto¢k8 andtwort In
progws
Stocks he&1 fors￿•8$p¥rtDf￿LVthrllat40 trade mtssuredat the ￿￿ror￿St0rnttt
al￿￿e Yalue.
Good$ or8eTvin provlded 35 partofa (**itab￿ad￿ltyWI nE8gured al￿el￿al￿tle ￿lue
baged w the wtential p￿￿80 by 015trKk.
Work in pwress 14V81uedat costie&s wwforeyeeabblo8stha155 Ikety to (wiron thecontract.
No
Nl•
Debtor¥ Ilndudiw tr8d8 de￿rI and I￿S r8c8I48blo1 areM•a$ur￿ ￿ inL&I reetyjnitkn at
EeWEment￿nlafte[anytradpdISt￿nts or8rnountadvanced bythechartty. Subsequenty,
Ihey are rne•wTed allhEcash or(thrcon8lderaYon expect￿ to re¢8fv8d.
Yes

ThE charity has inveslmentswhich ithc4d$ f¢r orpendiw their ￿e and cash and ¢4sh
CuFreThtassetthwstm•nts equivalents 4Wh 8 maturity date le55 than ijno year. ThF8e incjudecash on de￿land e*8h
equN81enl$￿lh a maiuntydaie olle55 *han on8 y88rheld for inve51ment purposas rathwlhan to
m¥t $W ¢a5hcornrnibmenisasl￿Y f8ll¢Juo.
No
Nla
Th6yar8 ¥a￿ed atlalr vaueexceptyth8￿l￿vlqUalfy a5 b￿C￿lar￿* instruments.
POLICIES ADOPTED
ADDITIONAL TO OR
DIFFERENT FROM
THOSE ABOVE

Section C
Notes to the actounts
Icontl
Note 3
Analysis of Income
Unrestrtcted
InGom
funds
Endowmnt
lund$
Tot41 fur
Prfaryw
Donatlons
and lfjgacfes-.
Donallons and
Gift Ah
aoes
General grants provhjed by govemmenvother
charities
Membership subscription5 and sponsorshws
which a￿ in substan￿ donatrons
ifts
29.772
Donated goods. facllllSes and servlces
Other
Totsl
29.772
29,772
¢harftablo
a¢tlvltlos.'
Incomolmm thnts iLY3u5ta1￿1É m¥48m8ni.
nghl¥ dc.
472.596
25
Other
Total
104,833
367,763
472.596
oth•rtsadlng
¥¢llvl¢los-
Fwit Saks eic
3.534
Olher
Total
3.084
450
3,534
2,62
In¢om? from
InvoStm8nts'.
Interest income
Dividend Income
Rental and leasln
Olher
4,862
Income
rotsl
3.995
4,862
parate
matarlal Ilern
of Incorne=
Ttyt
CorNer5ion of endowment funds into inwme
Galn on disposal of a langible fixed asset
held for charit
's own use
Gain on di5P05al of a programme related
Invesimenl
Roya1118s from the expk)ilation of inlgllectual
ro
hls
Other
3.746
3,746
Total
531
3.215
TOTAL INCOME
139.086
375,423
514.509
Other hrfOrM￿On'.
AJI Incrtho knth• unrestrktsd oxc•ptf¢r'. (pleas•
provldedescrlplton and arnountsl
Receipt olgranl If￿￿e undBrthe Landfill Communibes FuThl.
£260.2eO. Frull Sa￿$ ot¢ £2.B05. Intere51£98.WaftaveE703 G￿n9
£1.838ond Hay Sales £375.
Where Qry¢ndO￿•Trtfvno 1$ ¢o¢wort•d Into kncorno In th•
repowtsng pethd. ploasoglvetho ro•¥￿ foith•tonvaMIDn.
Nota
kabk.
Wllhltbth• In¢offtt •ixJveth? followlng knmg •1• mater￿1..
Iplease dlscloseth• n•tur•. •mo￿ni artd any prlorypar
•mountsi
Landflll CryTrmunlOes Fund GTanifécEW £367,783.
CC17a (Exce
ISID112024

Section C
Notes to the accounts
Iconti
Nole 4
Analysis of receipts of govemment grants
This yoar
Last yoar
t)8s¢rlptlon
Various lor Land Mana
emenl
Via Landfill Communities Fund
Govarnment grant 1
Govemment grant 2
Government grant 3
Othgr
51,777
367,763
24,875
268 261
Total
419,540
293.136
Please pmvlde detalls of any
unfulfilled conditions and other
ontingencies aftaching to grants
that have been re¢ognlsed in incon￿.
Not applicable
Please give details of oth•rfonns of
govemment assistance from which
the charity has diTrectly beneflted.
Not applicable
CC17a IExc811
1510112024

Section C
Notes to the accounts
Icontl
Note 5
Donated good$, fa¢ilities and services
Th1$ year
Last year
Seconded 5tsff
Use of property
Other
Please provlde deta115 of the
accountlng poli¢y for the reco9nltlon
and valuation of donated goods,
facilitias and $grvlces.
Gocyjs. facilrties and ￿e￿ice5 donated are not
rerAwnised.
Please provide detail$ of any
unfulfilled condition5 and other
¢onlJngèn¢los attachlng to resources
from donated goods and s•ivl¢es not
recognised in income.
Not applicable l None.
Pleasg glv8 datail$ of other fomls of
other donated goods and $gryl¢es not
recognisgd in the accounts, eg
contrlbutSon of unpaid voluntoors.
Thg Charity benefits trorn the Servi￿$ of unpaid
volunteers who assist wrth tasks on thè Charity's Sltes.
Trustees assist with adminislralion and the annual
accounts ar8 prgpared by an unpaid Trustee.
CC17a (Excell
Iz
1510112024

Section C
Notes to the accounts
Icontl
Note 6
Analysis of expenditure
R•$tri¢t•d
UnrestslGtod Incomv Endowmenl
lunds
funds
Total fundB Prfov year
Anal
is
Incurred seeking donations
Incurred seeking legacie3
Incurrèd sèèking grants
Operating membership schemes and
social lotteries
Expendlture on
Islng lunds:
Sla
in fundraisin
Fudraising agent5
Operating charity shops
Operating a trading cotnpany
undert8king non-¢harit8ble trading
a¢tiv
Advertlsing. m8rkeUng, dire¢t mail an(J
vents
Start up costs incurred in generating
new source of future income
Database development C0515
Other trading 8ctivilie
Inveslfflenl management costs..
Portfoli¢> mana
èment costs
Cost of obtaining investment advice
Investment administration costs
Inteljeclual property li¢en¢ing costs
Rent collection. property repalrs and
rnaintenance ¢harga$
Totsl expgndituro on ralslng funds
Expendlture on
charitsble
aeuvlttes
Managing of tho land holdln8$. ltttlvdlng
supervision olvolunteèrs. M8n•g•mont of
thA oh4
. Sè• bolow re
197,383
1>J.36S
73.830
123,552
Total expenditure on eharltable
actlvltles
73,830
123,552
190 369
S•pardte matsrlal
itern of •xp•nsè
Totsl
Other
Total other expendlture
TOTAL EXPENDITURE
73,830
123.552
197,383
190.369
C17a (Excell
13
2610112024

Other Inforniatlon..
Analysts of eXpendI￿ra on eharitsbl¥ activitie¥
Grant
fundlng
of
actIvIt￿$
Acuvlty or
pfogramme
Support
osts
Total thls
year
Activitles undertaken dlrectly
Tot*1
prtoryear
Actniity I
Adlvi
Other
Totsl
Grants Paid lo third arties
39.601
39,601
85.484
Prloryearexpenditure on charltsble a¢Uvfj¢l6s
can b8 anatysed as follow5:
Wlthln th¢ expertditufe ltsms above the
followlng ltsm$ are matsrial- Ipl8aso d18c1058
the nature. amount and any Pfiofy8ar
amountsl
CC178 (Excdl
1510112024

Section C
Notes to the accounts
Icontl
NOT APPLICABLE
Note 7
Extraordinary Ftsms
Please explain rhe natur• of each extraordlnary Item oc¢urrlng In the period.
ThJs year
Last year
Description
Extraordinary Item 1
Extraordlnary item 2
Extraordlnary Item 3
Extraordlnary Item 4
Total extrordlnary ttsms
CC17a (EX￿1)
1510112024

Section C
Notes to the accounts
Note 8
Funds roceived as agent
NOT APPLICABLE
8.1 Please complete this note If the eharltyha$ agreed to administer the funds of another enttyos It$ agenL Nol•.' Ma charlty
1$ a¢ting as an agent, itshould notr•eognlse the In¢ome In the Statement of FlnanelalAetlvttl•$ or the Balance She•L
Amount received
Amount pald out
Balance h•ld at
riod ond
Descriptionlname of party
Rèlatsd
party (Yes
orNo
Thi$ ygar
Last year
This year
Last yèar
Thlg year
La$t year
Total
8.2 a eonsortsa or slmllar8rrangement exists whereby 2 ormore ¢haritles co-operate to achieve economies in tho
purchase of goods orserviees. please discose details of any balaneès ￿1$11nding between anyparticipating members.
D•$¢rrptionlname of party
Balan¢e held at
Thi$ year
nod end
Last year
Total
CC17a (Excell
Ib
1S101r2024

Section C
Notes to the a¢¢ounts
Not Applicable - Expenditure not recorded in this way.
Note 9
Support Costs
Please complete thls note if tho charlty has anafysedits expenses using actlvlty
Categories and has support Q05t5.
asls of
allo¢atlon
Ralslng fund¥
Acttvlty 1
Activity 2
A¢tlvFty 3
Grand total
ppiiaai1iiaiHia￿I
Support cost
exam
les
esc
m•thodl
Goveman¢e
Other
Total
Please pmvide detalls ol the accounting policy
adopted for the apportionnwnt of costs belween
athltles and any estimation t8chnlque$ used to
calculate theirapportlonmenL
CC178 (Exc811
1510112024

Section C
Notes to the accounts
NOT APPLICABLE
Note 10
Details of Gertain items of expendlture
10.1 F99$ for examination of th8 a¢¢ounts
Please provido defalls of the amountpaid forany statutory extemal scrutiny of
a¢¢ounts and otherseNl¢es provided by yourindependent examlner. ff nothing
was paidplease enter il'in the appropriate box(e$).
This year
Last year
Indopendent gxamlneVs fees
Assurance s8r4lcg5 otherthan audlt or indopondgnt examination
Tax advisory fees
Other fees (for exampl8: flnanclal advice. consultancy¥ accountancy s•r¥lc6s) paid
to the independent examlnor
CC178 (Excell
1510112024

Section C
Notes to the accounts
(contl
Note 11
Paid employees
Please complete this note if the Gharity has any employees.
11.1 Staff Costs
This year
Last year
Salaries and wages
Social security costs
Pension costs {defined contrlbutlon scheme)
Other ernployee benefits
59,460
6,047
2,363
44,021
3,717
2,133
Total staff costs
67,869
49.871
Please provide details of expenditure on staff working for the
charlty whose contracts are with and are paid by a relatsd party
Please glve detalls of the number of employees whose total employee benefits (excluding employer
pension costs) fell within each band of £10,000 Imm £60,000 upwards. If there are no such transactions,
please enter 7rue' in the box provided.
No employees recelved employee beneflts (excludlng ernployer
pension costs) for the reporting period of more than £60,000
Band
£60,000 to £69,999
£70,000 to £79.999
£80.000 to £89,999
£90,000 to £99,999
£100,000 to £109,999
Number of employees
Please provlde the total amount paid to
key management personnel lincludes
trustees and senior management) for
thelr servlces to the charity
11.2 Average head count in the year
The parts of the charity in which the
employees work
Thls year
Number
Last year
Number
Total
CC17a (Excel)
15101r2024

11.3 Ex-gratla payments to employees and others {excluding trustees)
Please complete if an ex-gratia payment Is made.
Please explain the nature of the
payment
Please state the legal authorlty or
reason for making the payment
Please state the amount of the payment
{or value of any walver of a right to an
asset)
11.4 Redundancy payments
Please complete if any redundancy or termination payment is made in the period.
Total amount of payment
Thè nature of the payment (cash, asset
etc.)
The extent of redundancy funding at the
balance sheet date
Please state the accounting pollcy for
any redundancy or termlnation
payments
CC17a (EX￿1)
1510112024

Section C
Notes to the aGGouritS
Icontl
Note 12
Defined contrfbution pension scheme or defined benefit scheme accounted
for as a deflned Contribution scheme.
12.1 Please complete this not8 If a dellned ¢ontrlbutlon penslon scheme is operated.
Amount of contributions rncognised in
the SOFA as an expense
2,363
Please explain the basis for allocatin9
the liability and expense of defined
conlrlbution pension s¢heme between
activities and botweon restrfctsd and
unrestricted funds.
100% to thg unr8strictsd fund.
12.2 Please complete this sectson where the charitypartl¢lpates In a deflned benefftpenslon plan but is
unable lo as¢ertaln its share of the underfying assets and liabiliU8s.
Plea¥e confirm that altough the scheme
Is accounted for as a defined
contrlbutlon plan, It Is a deflned benefft
plan.
NIA
Please provide such Infornia￿On a$ 1$
available about the plan's surplus or
doficlt and the Impll¢ation$. rf any. for
th* roporting ¢harlty
12.3 Please complete thls se¢tion where the ¢harityparticipates In a muftlwemployer defined benefit
pension plan that Is accounted foras a defined conthbution plan.
Describa the extent to whl¢h the ¢hartty
can be liable to the plan for othor
èntities. obligations under the temis
and conditions of the rnultiwemployer
plan
NIA
CC17a (Excell
1510112024

Seclion C
Notes to the accounts
Iconll
Note 13
Grantmaking
Please complet• thls note if the charitymade anygrants ordonallons whkh In aggregate foTm a materfalpartof
the eh•rltable activities undertakèn.
13.1 Analy8ls of grants pald Ilnelud•d In eost of eharitable actlvltlesl
Grants to
Grants to
Institutions
individuals
Analysls
Actfvty or proje¢t 1- see below
Support costs (£1
Total (£1
39,601
39,801
A¢li
or
Act
oi
ro
ect3
Activi
or
Totsl
Plèasé •nter"Nll" If the chartydo•s not Id•ntlfyand/orallocatè support costs.
13.2 Grants made to InstltuUon$
My charlty has madè grants to parti¢ularlnsdfvtlons thataro mat•rtal In
the eontext of Its grantmoklng. Detalls of the Instltutlon supported.
pU￿0$e of the grant and totalpaldto each instllution ts avallable on tho
charllys w•b slt•.
Pleaseprovldè
detalls of charlty
URL.
Pmvldg detaits
bèlow
No
Names of in¥titutlon
Purpos•
Restorab"on ofAbb&y
Work on Re$erves
Total amount of
rants
aid£
6.351
32.e20
430
Evesham Abbey TTU51
Herefordshire Wildlife Trust
Welcorne To Our Future
Bench for Reserve
Totalgrants to In$titutlons In reportlngpertod
Oth•r unanalysedgrants
39.601
TOTAL GRANTS PAID
39.601
CC17a (Exctrll
1510112024

Sociiun C
Not• 14
Tanglblg Flxed assets
PIFas•Com￿￿t•th1￿nDt•I1￿•c￿•r1ty1￿S*nyIth￿Yth
Frnknld land
&bUlk￿￿￿
Qtsh•rland8
xturK,
I￿ngS
•4￿PTh￿t
Total
Allh• bagin￿ng￿l
Iheyear
Addthns
1.*2,645
232.288
20S,043
S,911
1.369,915
e5.253
6.977
71.43S
95
142.7fj0
Reve￿3￿￿1
01¥pu￿5
Tranth"
Alendoltheyear
1,907.e99
258,2S3
276.47B
6.0
2,508.677
14.2 lind lrnpaknmnts
RB
R8
strdh3hlLlne
I%L'I or
Rédu￿￿9
)pkabb
I"R87
IA
10-33%
25%
Al cllhe
year
DigpuW¥
179.357
)72,648
4.954
356.960
13.133
25.959
357
35,449
Im￿m*￿t
Translws.
Alfjndot¢h•
152.489
198.8Q8
396.409
f4.311¢tbatsk ¥al
Ne¢ book vdueAtthe
beglnnlTrg oIthE y4ar
Neit¥)akv8￿thItr
endofth&pai
1.922.645
52,929
32.394
987
2.008.956
1.987.e99
45.774
TT.870
725
2.112,267
14A I￿￿1r￿•￿
PleaMprovfd• •doserfpkn o1th••v￿￿*￿d
14.6
Ihom8thod•
Ihw ctt*model.
f4.6 0thèrthrI￿Ur•$
fl) P14•sè5(¥l•lh••nToynlolb(VToWlng￿$ts,
flo pl￿9p￿0VIrf• Ilpw•mounlol¢ontrxtv
mmhments forihe4¢4ulsldtsn ol(4nNlbl•
1114 Delalls 011￿￿x&fo￿C•#A￿¢&Th￿￿v
•movntsofprop•ny.
whl¢h thoch•rityhas rnstslct•dllW•orVwl•rn
plodg￿a& se¢urltyfvrllAbllldes.
' The tr4nslooE"ffjwkTforrno¥omentsbeh*en fL¥*dA$50tcJtwgori8&
CC17•<￿1
23

Section C
NOT APPLICABLE
Notes to the accounts
Note 15
Intangible assets
Please complete this note if the charity has any intangible assets
15.1 Cost or valuation
Research &
development
Patents and
trademarks
Other
Total
At beginning of the
year
Additions
Disposals
Revaluations
Transfers .
At end of the year
15.2 Amortisation and impairments
-Basls
SLorRB
SLorRB
SLorRB
SLorRB
Straight Line
{"SL"l or
Reducing
Balance
{"RB")
Rate
At beginning of the
year
Disposa15
Amortisation
Impairment
Transfers.
At end of year
15.3 Net book value
Nat book value at the
beginning of the year
Net book value at the
end of the year
15.4 Accountlng pollcy
Please disclose the accounting policy for Intangible fixed assets including."
CC17a (Excell
1510112024

Reasons for choosing
amortisation rates
Policies ft>r the recognitlon of any
capital development
15.5 Impainnent
Please provide a descriptlon of the events and
circumstances that led to the recognitlon or
reversal of an impaimlent loss.
15.6 Revaluatlon
If an accounting policy of revaluation is adoptsd, please pmvide."
the effective date of the revaluation
the name of independent valuer, if applicable
the methods applied
the ¢arrying amount that would have been
recognised had the assets been carried under
the cost model.
15.7 Other disclosures
(i) If your intangible asset was acquiredby way
of grant, pmvlde value on Initial recognitlon and
carrying amount of the asset.
(li) Details of the carrying amounts of any
intangible assets to which the charity has
restricted title or that are pledged as securlty for
Ilabilities.
(111) Please pmvide the amount of contractual
commitments ftir the acquisition of intangible
assets.
(iv) State the amount of research and
development expenditure recognised as
expendlture in the year.
(vi) Please detail the headings in the SOFA in
whlch a charye for amor&sation of Intangible
assets Is included.
(vii) For any material Intangible assets, please
provlde a description, Its carrying amount and
any remaining amortisation perlod.
The Iransfers. row is for movements belween fixad asset categories.
Pl8ase indicate the method of depreciation by deleting the method not applicable (SL = straight
line,. RB = reducing balance). Also please indiGate the rate of depreciation.. for straight line, what
is the anticipated life of the asset (in years),. for reducing balance, what is the percentage annual
CC17a (Excell
1510112024

Section C
NOT APPLICABLE
Note 16
Herllage 888ets
Plwse ¢ompleie this Jjatstrthe charttyha5 hwlt&yO eSS8lS
16.1 GonèAI disclosures for all ¢harltkg$ holdlng ha￿1890 assèts
Notes to the accounts
111 Explain thg n3tur• and ￿al8 of
herilago assets held.
1111 Explain the pollcy torth8
ae4Ui$4tlan. pr•Sor¥a￿On.
anagprnent and disposal ol h8rttage
8sspts.
1&2 Co¥tor valuatlon
HBrftagea55et
Herlthgp ASS•t
Tot•1
At beginnirvJ of ihe year
Addillons
Oi5POS
Rèvaluations
Transfers.
Al end of the year
16.3 Dopr6¢1atiot) and Imylrmor
-Basl$
stra￿h1 Lhe
r'sL'I or
RedurA
B8lar
Al beginning of the year
Depreciab"
Impalm￿l
Tran5th'
At end of year
16.4 W book y￿ue
Nai va￿8 ai beginniry ofthe
N¢t book value at ihe end of th8 year
16.5 Impalrni•nt
Plea5eprnvldo a d•scrfptton oftho events atsd¢irtunrstances
Ihatl6dto the ￿tO￿nitY0n orr•vvsolol•n Imwlnnentloss.
1&6 R•valua￿on
If •n a¢counUngpoll¢yofrevaluation is •dopte4 pleas•pnwld•.'
the effecbvedote of ther•v•lu•iio
Ihi nam¢of Independentv•ltser. if •pplicable
oualillc•tions ollndependentv•lu
Iho m•thods Opp￿&￿￿819￿1ffc•￿t•s5UmPllQn5
anyslgnlRl¢•ntllmll•llon$ on the Val￿110￿
CC171 (E￿
15101r2024

16.7 Aftalytsls of herltag• assets ty class or group d18UEb9ui$hlny th¢w at costand those atvaluatlon
AtGOs1 Q¥ovp
Total
Gr0￿pA
tarrying ai beyinning oflhe
pert
Addityong
Disposas
Dep￿¢w￿nrImp3inrenl
Revaluation
Carrying amou￿ at lh8 of period
16.1 Herftagé assets Iwhere h8rf14908589ts are not Fecolgniseo on the balancg ¥hggV
(Q Explain thg roa$on why heritayg
a$$•ts ha￿ not boon re¢o9ni¥ed on
th• b•lance sh4gL
1111 Descrlbe the 5ignifi¢ance 8ad
nHtur8 ol horitaye a55ets.
11111 Dl¥Glox Informaiion that l&
holpful in ai$¥¥sln8 the valu• of
h8rit89è assets.
Ilwl &%plaln thp reason why not
pr*¢U¢abltr to oblaln a valuatlon of
h•r41aw a¥sets.
16.9 Five yur surnm•ry of hvrftapa55ets trnnsacUon¥ KIA
2015
2014
2013
2012
Pur¢h4808
GroupA
s￿PB
GrtyJp C
ljher
Dona￿0￿5
GroupA
Group B
Group C
Other
Total ftrfdlt6on8
Charye forlmpalrmont
GroupA
pB
Group C
Totsl charyefor Impalrment
D18posal8
Grwp A- C8Trying am￿jnI
Group B. carylng amunl
Group C
Olher
Total d1$pt￿lS
CC17a (&ol)
IS10112024

Section e
NOT APPLICA8LE
Note 17
Invasknentassets
17.1 Flx•d a5s•ts Inv05tments Iplt8*e provlde foreach clus of Irweslment)
¢4sh &¢1th
Inv•iliii•nt
prop•rf•$
Inv•Blin•nlJ
StsnOnt#
To
C￿1￿9 (raw) v4ue at Wnnlry of
Add- •YdNJonBt0ln¥e￿mentJd￿riI10
od.
L••s'. Impalrmlnty
Add: Rèv•tsaloflrnp•lrrnvnts
Ad￿(dId￿¢l]..ts1￿¥￿rIrfcth>1ThIh0
period
Addlldedu¢t).' nth9#w￿knjSs1QTr
revaluation
{falr)vthe atend ofytar
'Pl•aoo 8PocSfyAdd4tk)ni r•#u￿￿8￿9M
cquls(t(vn•through bu8ln•si tarth&¥pny.If
Pl•ts• ntst•VJ•lF*lrV•lu•ln thls¢ot)tsxrts thw•Jrivuj¥tlwwhkh￿Is¥w￿￿1Llh e￿￿￿￿e￿b￿AVeW1
Irnowltyabl•andwMlhJoprtknth •n•rmSkn9*h lrnn&q¢llon. ForfF8dods•GuFIrf•s. Ih•fatrv•lu•ls th•v•l¢m
lthes•cutyquotedon theLw)dot) StOrkExch•ng• D•tyOffl¢hlLtstorequfval•nt Forothw4SSats whern
Ihqrn l¥nom&￿¥t￿rkO on a 67d•d￿rf¢rt Mls the Irtssts¢s'orvkn'b•5tqsllm4l•oll•try414M.
17.2 PFgase provlda 8 breakdowm ol investrnonts Shown above agmlng whh thè balance
shEet row B04 dlllor8ntthtln9 b8iwéo11 those hqld atfalrv•luoond tho88 htrld at cost le$5
lrnpairmenL
Analysig of Invgstmonts
F￿r¥*J•￿tYurl￿d
Cwt l•Fs IrrtP41rThrt
¢Mh orcuh •qut¥ikThts
Inv￿￿￿*￿tPmpPrd￿s
5oclal Invwkngnts
Totsl
Grnnd total IFalrtMlw atywr•nd+Co•thM lrnpalnngnt)
17.311 yourcharity hDlds Inv•stm•nt propwOe¥. p￿889 complète thè following note..
111 Expl&ln th• M•thpd5 4nd8lgnTrant
a58umpUon6 Ind•tsmAhlng th•latrva￿• of
Inv•51rnentpropertyhold byth•th*rfty
1111 t•*rng orlnd•pendontvAlu•r, WippNcabJ•.
11111 Provklo d•tsii* olknyty¥tADllon•oDth•
ablltyto reall88 InwggbmèntWOP•rty oroTrth•
rnlltsncg of Incom• ordlsp0901 Prn¢eBd#
I1￿ Explaln •nY¢O￿traC￿MtObl104￿￿ns lorth•
pur¢haAo, etsnAtrvcYon ordev•Jopmgnt
Inw•BkneTrtpropèYtytsrl•r rylr4. ￿lD￿nance
or•nhanc•monta
CC17•
1&Q111

17.4 Please pro¥ld• a bfvakdown of currgTrtwot Invo$tments, Ifapplicabj?, agmlrvJ wllh th•
laThcq shooL
Anatysis of ¢uTh8Thta888t
invostments
ThIBy•ar
*ty•*r
Ca6* or ¢A#h
Llthd Inv￿￿ents
Inv•BknontproperUe•
8ocl•l InveJtrn¢nts
Oth•rlnv••trrtArfI
Totsl
17.5 c￿*￿ant•99
Pl•as• Pro￿d•dOtrlkn thnd arnuntol4ny
midetoororl blhaff ofththlfflyrty
N•Thg ofth•ontltyor•fvUU¥* bw•fftODgfthn
th¢￿9￿￿￿￿t0P8
o• explth h¢iWth•yu￿￿tsfj U
17.6 Con¢888lonary loir
0•￿￿pilOn
L*thy•4rt
Amountof Conr￿￿1￿0•ry loaTrJ madolAlulllpl*
Totsi
y•4re
ruw
T•mi$ edndWJDll• •g knt•rnJtrat•.q¢c￿
Valu•of411y C¢lrttWkJn•rylNn•whl￿ h4Yg
b••n cornrnlthd b￿Ln￿￿k•Tr up atthv rgpNUTrB
Amoun¢• l ye•r
A￿0￿￿% p•y•bl• aft•rrnrrfo thATr 1 y•4f
Amountv r¢c41¥*b14 1 y
17.7 Addltlonal Irbformatlon
Plg4Be pmvld4 InformilfoTraboutth•
•lgnffi¢ance of lthY••trh*htstoth• Charfty
p08tUon or perf0m￿Ne￿ ty.tymbS Ind
¢ond￿0￿* ofioanv orthè olhodglngto
rnAnaaè finan¢l¥l rfs*.
For?11 In¥96ts1WTrts #tfvlrv•luo,I
ba$li fordetermlnln9 th4 v41¥•. Inc￿¢1￿9 •Thy
•*$uM￿On3 Jpplled WhA￿ v*lu#d•n
l#¢hnlqu*.
w￿r* a charftyhaa prty4Jdpd fv4nelal4i9•r* #*
4 forni olwurty, iho canylng 4mOUntofthé
f*n4ncl•14&44¢plgdg•d a8 8•curlty and the tgTh
and ￿ndItIOn* to h plvdBv.
CC17a (Ekfal
ISfir2024

Section C
Notes to the accounts
NOT APPLICABLE I DE MINIMIS
Iconti
Note 18
Stock5
Please complete thls note rfthe charity holds any stock it•ms
18.1 Pl6a$o state thg carrylng amount of stock and work In progress analy88d betwèen
activltle8.
Stock
Donated goods
Work In
progress
For
distribution
For resale
For
dlstrfbutlon
For resale
Charltable actlvltles:
Openlng
Addedln perlod
Exp•ns•d In p•rfod
Impalred
Closlng
other tradlng aCtfvltl￿.
Opéning
Added in perlod
Expensedln p•rlod
Impalr•d
Closlng
other:
Openlng
Addedlnpèriod
Expensed In porlod
Impalr
Clo¥lng
Total th18 year
Totalprevious year
18.2 Pleas• spgcify the carrying amount of
any stocks pledged a$ socurity for liabilitles
CC170 (Exco
30
1510112024

Section C
Notes to the accounts
Icontl
Note 19
Debtors and prepayments
Please complete this note if the charity has any
debtors orprepayments.
19.1 Analysls of debtors
Thls year
Last year
Trade debtors
Prepayments and accwed income
other debtors
14,145
11,170
14,145
11,170
Total
Please eompl¢te 19.2 where a material debtoris recoverable more than a yearafter the reporting date.
19.2 Analysis of debtors recoverable in more than 1 year {includod in debtors above}
This year
Last year
Trade debtors
Prepayments and accrued In¢omo
other debtors
Total
CC17a (Excell
31
15101r2024

Section C
Notes to the accounts
(cont
Note 20
Credltors and accruals
Please complete thls noto if the charity has any ¢reditors oraccruals.
20.1 Analysis of credltors
Amounts falling due
wlthln one ygar
This year
Last year
Amounts falling due after
more than one year
This year
Last year
Accruals for grants payable
Bank loans and overdrafts
Trade creditors
Paymont$ received on account for contracts or
performance-related grants
Ac¢rual$ and deferred income
Taxation and soclal securlty
other creditors
450
350
4.193
3,249
Total
20.2 Deferred income
Please complete this note If th• charity has deferred Income.
Please explaln th• reasons why income 1$ deferred.
Movement in deferredincome a¢¢ount
This year
Last yoar
Balancg at the start of the reporting period
Amounts added in current perlod
Amounts released to Incorne from prevlous perlods
Balance at the end of the reporting perlod
CC17a (Excel)
2l
1510112024

Section C
Notes to the accounts
NOT APPLICABLE
Icontl
Note 21 Provisions for liabilities and charges
Please eomplèto this note Myou have in¢luded in charity expendlture anyprovisions. A pmvision Is made
when the charlty has a liability of uncertaln tlmlng oramount.
21.1 Please provlde..
a brlef description of any obligations on the
balance sheet and the •xpocted amount and tlmlng
of resulting payments.
an indication of the uneertaintigs about the amount
or timing of those outflows; and
- the amount of any expected relmbursement,
stating the amount of any asset that has bggn
rocognised for that expected reimbursement.
21.2 Movements in recognlsed provlslons and funding commitment durlng the period
This year
Last year
Balan¢e at the start of the reporting period
Amounts added in current period
Amounts charged against the provision in the current perlod
Unused arnounts reversed durlng the period
Balance at the end of the reporting pgriod
21.3 For any funding commitment that is not
recognlsed as a liability or provlsion, provide details
of commltment made, the tlme frame of that
commltment, any perfomiance-related conditions
and details of how the commltment wlll be funded
(with contracts for capital expendlture separatgly
Identlfigdl.
21A whe￿ unrestricted funds have been designated
to a fund ¢ommitmgnt. please dlsclose the nature of
any amounts dosignated and the Ilkely tlmlng of that
expendituro.
CC17a (Excell
?3
1510112024

Section C
Notes to the accounts
Icontl
NOT APPLICABLE
Note 22 Other dlselosures for debtors, cmditors and ¢)ther b•slc financial Instruments
22.1 Plpas8 provlde It)fomiatlon abouttho
8lgnlfl¢ance ol flnanclal Instruments lèg. debtors,
etedltsjrn. Invo$tments otcl to thè tharlty'5 flnanclal
PDsMon or perfonnanco, for •xèmplg, the torms and
cond6tlon8 of loans orth• uso of hedglng to managg
fln8nclal rlsk.
22.2 11 the ¢harlty has provld8d flnan¢lal a8sots as
forrn of Securlty, tho carrylng amount of th• financlal
assots pl8dged 85 sècurlty and tho tsm)$ and
conltlo#8 ￿l￿ta￿ to Its plodgo should bo glven here.
CC17a (Exd)
1510112024

Section C
Notes to the account5
NOT APPLICABLE
Note 23 Contingent liabilities and contingent assets
Icontl
23.1 Contingent liabilities
Where the charlty has contingent liabllllitles, please completg the following section unless the posslbility
of their existence 1$ remote.
Description of item including its legal nature. Please
describe any Socurity provided in connection to the
liability.
Estlmate of flnanclal effect
23.2 Contlngent assets
Whero the charity has contingent assets, please complete the following sectlon when thelr existgnce Is
probable
Descrl
lon of Itfrm
Estimate of financial effect
23A Other dlsclosures for contlngent assets andlor Ilabllltles
Please provide the followlng Infomiatlon where practlcable..
Explain any uncertainties relatlng to the amount or
timing of settlement: and the possibllty of any
reimbursement
Where It Is not practlcal to make one or more of
these dlsclosures, please state this fact
CC17a (Excell
3S
1510112024

Scction C
Notes to the accounts
Icontl
Nots 24
Cash at bank and In hand
Th1$ yoar
L¥5tyear
Short torm ¢a8h Imi88knonts11886 than 3 mot)th8 maiurlty data)
short lenn dep051ts
Cash at bank and gn hand
Othor
Tot41
780,360
566,464
780.360
CC17a IEx¢dl
36
1510112024

Section C
Notes to the accounts
NOT APPLICABLE
{cont}
Note 25
Fair value of assets and liabilities
25.1 Please provlde details of thè charlty's exposurg to
credlt risk (the rlsk of incurring a loss due to a debtor not
paying what 1$ owed) , liquidity rlsk (the rfsk of not being
able to meet short term flnancial demands) and market risk
{the rlsk that the value of an investment will fall due to
Changes in the market) arising from flnancial instruments
to which the charity is exposed at the end of the reporting
period and explain how the charity managgs those risks.
25.2 Please givg dgtails of the amount of change In the fair
value of basic financial instruments (debtors, creditors.
Investments (see section 11, FRS 102 SORP)) measured at
fair value through thè SOFA that is attributable to changes
In credbt rlsk.
CC17a (Excell
37-
1510112024

Section C
Notes to the accounts
NOT APPLICABLE
Events after the end of the reporting period
Please complete this note events (not requlrlng adjustment to the accounts) have occuffed after the
end of the reporting period but before the accounts are authorised which relate to conditions that
arose after the end of the reporting period.
(contl
Note 26
Please provide detai18 of the nature of the evont
Provide an estimate of the financial effect of the
event or a ststement that such an estimate cannot be
mado
CC17a (Excel}
3?
1510112024

IEiiiiiiiiia
111111111111
11111111111
IINIIIIII
111111111
1111111111

llllEEIIIIIIIIII
111111111111
111111111111
111111111111
1111111111
111111111111

Section C
Notes to the accounts
Icontl
Note 27
Charity funds (cont) Not Applicable
27.3 Transfers between funds
Reason for transfer and where endowment is converted to Income,
legal power for its ¢onversion
Services provided by the Charity with are recognised as refundable
under the rules of the Landfill Communites Fund.
Amount
Between unrestricted and
restricted funds
19,301
Be￿een endowment and
reslricled funds
Be￿een endowment and
unreslricled funds
27.4 Designated funds
Planned use
Purpose of the designation
Amount
CC17a (Excel)
15101r2024

Seciion C
Note 28
Transa￿l0￿￿th trU8t8e$ ar￿ related parttO9
ofsu¢h sfvou1d￿PI0¥1ded1nIhlS￿ots. 11thort•n>no*Jnsa¢thsM pkn•¢fit4r"Tru•"th th•bpxw
"Fals•' MllJ•row•traJw¢rionsthfftport.
28.1 TfUSt•• r•nMJnof8tiuTr and benefft8
None olth*tru$t49S hav• bvryn pJld•ny rornuMraUon orrneolv•d4ny Dlh•rbon•fits frorn an
*￿￿￿￿9￿1￿1hth0lr¢knlrfty orat•lAt•d #ntltylTrury orFals91
TRUE
1h*pwlodlh•¢h•rttyh•s￿ttt￿s1j0s*￿￿￿nel•￿On•J?d￿￿1rOf1ts, Pl•aM9lvetheem0u*Jt￿, *ndl*g*l4uthotyfor, •nv
r•muJr4rnthn orolh•rèeneiitsp•ld104 truStaebyth•ch•ytyor•nylnsthrtlDA orGompHnyconnBCtadwllh IL
An￿￿rtts plld orbqn•1¢￿lU•
Thls
PMII
Lost
•ar
TOTAL
Lwl aut1￿￿ (•
ordgr. govgmlng
dollymqnt)
R•mun•rnUDTr
lojs
Offi￿NIX
pAovld•&n •¥phn¥tyon olth•naoM•offhep&ymort
28.2Trustees' expensés
INlh•Cfv•rttyhaSp4krM￿to*sex￿9ft￿%1Qr1uThth•lr￿￿tl8s. tlBtatsofts￿h tr4t)SAdlon*&houldbwpmvldedlnthls
o¢& IN*h•rnarnno tolwport pA•w ￿e•r'T￿0"1n th•boxbelow. Mlh*r••rn lrnn$4¢ttonsth reportpA￿
•nt•r-Fats¢".
NO￿$14• •Ap•n5•J ￿¥• bmn Incurrqd (Trt￿ orFth41
TRUE
Typ•of •Ao•D¥•• rqfjmbursed
Thls
Lastyear
TAvèl
Svbfjlstgncg
A¢rommad•V
Otherlploas*5peelfy>..
TOTAL
PIM59 provldv the numb•roltruStM$ nTrlmburW
expen￿$ or*tho p•¥J by the charty
28a Tv¥n8actlonlil wlth 1olat•d partlo
d•lalls of•tJytftn5VrtloTrundort&k•nby{vronb•b•lloQ fh¢chat*ytrt whleh A Y•l•l•dp•tyhJ$
Th•r• hJv• b￿n nowlatsd wtr1n$•¢U•￿ Inth• r•portlng perfod (Tr￿OrFAl￿
TRUE
ArnouThts
Name olth0 tru9ts
•rrnl¥ted pa
Rol•￿0￿5h1p
charlty
l>oKrfpUoDofthe
Pro¥l*ton lorbad dlbts
t ￿rfod end
*Thount
P9rfod ond
durfng
Orllng
InTrl4rion iothoir4rttseLltsJ¥S ibov•.pfv•wp¥pvld•WJ•
ofanyp4ymtntl¢onsld•rnllonJ loheprovldgdlnseiugmtht.
For4nyrnlatsdp*ity.pth•s•prnvlrf•rf•talts of•Try
CCIT•iEx¢•D
151011W24

Section C
Notes to the accounts
Icontl
Note 29
Additional Disclosures
The following are significant matters which are not covered in other notes and need to be included to
provide a proper understanding of the accounts. If there Is Insufficient room here. please add a
separate sheeL
CC17a (Excell
f+3
1510112024

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Section A
Independent Examiner's Report
Report to the trustsesl
mambors of
VALE LANDSCAPE HERITAGE TRUST
On accounts for the year
ended
3111 MARCH 2023
Charity no
{If any)
1080109
Sot out on pag•g
i~￿3
I report to the trustees on my examination of the accounts of the above
charity {'the Trusl") for thè year ended 3110312023.
Re8pon8lbllltlo$ and
basls of report
As the charity's trustees, you are responsible for the preparation of thè
accounts in accordance with the requirements ofihe Charities Art 2011
(Ihe Act.).
I report in respect of my examination of the TNSVS accounts carried out
under section 145 of the 2011 Act and in carying out my examination, I
have followed all the applicable Directions given by the Charity Commission
under section 145{5)(b) of the Act.
Independent lThe charlty's gross income exceeded £250,000 and l am qualified to
examlner'8 Statsment undertake the examination by being a qualified member of The Chartered
Instrtute of Management Accountants.
I have completed my examination. I confim that no material matters have
come to my attention in connection wrth the examination lolher than that
disclosed below") which gives me cause to beI￿ve that in, any material
resped..
the accounting records were not képt in accordance with section 130
of the Charities Act., or
th• accounts did not accord wth the accounting record6', or
the accounts did not comply with the applicable requirements
concerning the fomi and content of accounts set out in the Charities
(Accounts and Reports) Regulations 2008 other than any requirement
that the accounts give a 'true and fairf view which is not a matter
considered as part of an independent examination.
I have no concems and have come across no other matters in connection
wtlh the examination to which attention should ￿ drawn in this report in
order to enable a proper understanding of the accounts to be reached.
' Please delete the words in the brnckets rfthey do not appty.
Signed:
Dote:
Is/1/2L+
Name:
Geraldine Jones
Relevant professional
qualifi¢ation{s) or body
(if any}:
CIMA
IER
Oct 2018

Address."
70 Yellowhammer Court
Kidderminster
DY10 4RR
Section B
Disclosure
Only complete if the examiner needs to highlight material mallers of Gon￿rn
(see CC32. Independent examination of charity accounts.. directions and
guidance for examiners).
Give hero brlef dotalls of
any itsms that the
axamlnor wlshes to
dlsclose.
IER
Oct 2018