RECISTERED COMPANI. NIJ￿1BF.R: 0375.190tI (F.ngland and 1S'ale$}
REGISTF.RF.D CHARITY NIINqBER: 1082954
REPORT OF THE TRUSTEES AND
UNAIIDITED FINANCIAL STATEMEf*TS
FOR THE I'EAR ENDLD 31 L¥IARCH 2026
FOR
THE C..4RDEN C.ATE PROJECT LTD.
Spurling Cannon
Chartered Certified Accoun¢aDts
424 Nlargate Road
RamsEate
Klnl
CTI 2 6SJ

THE GARDEN CATE PROJEcf LTD.
CONTENTS OF THE FI)A.NCIAL STATE.IIENTS
FOR THE YE.AR ENI)ED 31 MARCH 21126
Report of the Tru51ee5
Independent Examiner's Report
Statement of Financial Aclii'Aties
Balante Sheet
Notes to the Financial Statemtnts
X to 13

THE CARDEN CATE PROJEC[ LTD. IRECISTERED NUMBER: 0375390R)
REPORT OF THE TRI'STEES
FOR THE I'E.4R E￿DED37 NIARCH 2026
The Irusle¢% who a￿ 21%0 dire¢iot5 of Ihe ¢haiity for the putwJse5 of Compani<% Act 2(M)6. present their report with the financial
statements of the charity. for the year ended 31 Mareh 1076. Tie ￿SleeS have adopted the provision£ of Accounting and Reporting by
ChaiitjL'S.' StatLn]Lnt of RLLUltitnLndcd PidctlLL apJlicdblc ts) LlwitiL% prCP￿￿lTr￿ their dccounts Jn dccurduncc with the FinanLidl
ReportinE Standard applicable in the UK and Republic of Ireland {fRS I O?) (effectiN't l Javuary 2019}.
OBJECTIVES AND.4CTIVITIES
a. POLICIES AND OBJECTIVES
Thl objLLtivcs of thL ChaTity arL to prvmotc thL prthcrvatioll und sufc¥uar(Jing of n]Lntal hcalth anij thc [￿lIcf of ￿r50￿5 suffL'ring
trom menial disorders in association with the National Association ol Nlental Health. The charity also proi'ides support tor adults
with Itarning disabilities. The Tru5lees have an asreejnenl with Kenl Couniy Council lo provide day suppori Services.
b. ACTIVITIES TrOR ACHIEVING oBJ￿cTIVEs
Our funding LoniLs from dJL G2rdLll GaiL faiiliiy inc liftonvillc. This Th)w nlljs with rLgards to dircci paymLnis atid outsidL rLsoufLLS
le. PTivate donations, fund raising and giani applical￿Tr5.
Page I

THE CARDEN CATE PROJEC[ LTD. IRECISTERED NUMBER: 0375390R)
REPORT OF THE TRI'STEES
FOR THE I'E.4R E￿DED37 NIARCH 2026
ACHIEI'EMENTS AND PERFoRf*l￿NCE
a. KEY FINANCIAL PERFORN1AhCE ￿DIcAToRs
The Garden Gate projeci is a Comlnunil￿ garden f(Kused on the cohesion and wellbeing of our local comrnunity. li tnables people
with ILurniThg disubilitlLb andlor mental htrdlth nccds to impruvc the￿ q￿lIty of ljfc. s(Kial IntcrdLtion phySJLdl und mcntal hcalth
in a 5upponivt community enNironwnent.
The Garden Gate receiveq %tattitory fiinding either directlv or indirectly via ihe Care Act 120141 but this fuiidinby 18 no IDngper
su(ficieni 10 meet ever increasing eosis and as such. the Gard¢n Gale supplements its income ihrough fund raising activities and other
mLthods Ot iniumc gLniration.
The main aiin of the irusiees is to conLinLLt Itp meet the needs of ils clien15 for a5 long as ihey are able to e%'en if all public funding
wcrc to CCiL%C Thc Ciard¢n Gatr's rcscrvc pTrli¢Tr %tslc.% that Ihi charity should hold %uifici£nl rc%crvcs at all timc% which allow for Ihc
continuaiion L)f qiiality s¢Tr'ices to lis ¢lienis for a period of ai leasi >iX monih> in rhe unlikel!. scenario of all public funding ¢e85ing.
ThL of providing six mondjs ol scrviLL% LhangL% annually. partiLularlJ as thc trllsiCCS afL conyniltLd to inLfLasing thL wagLs of
their ernplojees on an annual basi5 so ihat the wages of these staff rnatch the c075umer price index (CPI) and Ihei, do Trot suffer Teal
ternis reduciions in pay.
b. Rk.VIP.W OF ACTIVITlk.S
ThL tiardLn (iatL madc a profjt for thc ytrJT of L¥.64611O'i". i8 ?691. Total inco]nL for thc *Lai was £157.9071?025.. £155.6691 with
expenditure of £149 ?61120?5'. £147.4(Ml}. The Garden Gaie'$ in¢ome increased by * modesi E?.238 or 1.42Q/o.
In Ihc y￿[ cnding 31 Nlarrh 2025 thc fjawdcn Ciatc [￿¢¢1￿Cd fiindin(F &ia uranLN' of £IO.D29 (£7.6R6 of ihis trorn CJroundwork
who finan¢ially supponed a member of no lon@er emploved. and ￿lIdual funding of£2.341.65 from Thanei Disiricl Council for
hosting Lommulllty LOtTLL mornirtgsl. NLiihir of thLyC funding sircams wcrc akailablc
in ihe y£ar ending 31 March ?0?6. Howe&'er, the Garden Gate did acceK5 grants of £8,0(N) for the newly-launched flower subscription
project. This project also generdied iniome from cu%iomers of £?.657 an<L whilsi in its infancy. li is hoped ihai ihis seivice will grow
and bccomc all altern4LiiVC sourec of funding.
ExpLndilure ItiLriasLd by Ll.861 or 1.25°I•. principally bc£ausc of inLTca5cd wage5 as t￿. tnLStccs CtthanlL￿ wagcs in linc with thc
cpi.
Thc ¥rdnt, fiindrai%iny oihcr inLomc off*Ct thc shortfall ir. public findJn¥ dnd allowcd the Gatdcn Gatc to gcncratc u stnJll profjl
of £8.646 for the Wear. Th15 profit increased ihe Gaié¢n Gal¢-! re5eTh'es to £186.186 of wthich
£179,4.A4 was unrcstrict
The money received from Ihe Global Gi14ng bund {GGF) in 1021 a]yJ 2023 ￿'aS for ihe purchase and insiallaiioi) of solar ￿e18
whiLh, in aLLordancL ￿'l¢h thc tiJrdcn CJatc'.¥ fi.lcd p)IiL)'. Ilfc bcing dcprcciarcd L)vcr a pciiod ot 4 ycarb. Thc iutiil LLISI uf thcsc
panels once fully depreciated will be £1,166.49 less ihan ihe grani rec¢iN'ed. and it now seems cenain ih&i GGF will not require Ihis
balallcc to bL fLpaid. Should Ihis bL ihe ia5c th¥D this will bc trdnslcrrcd to unrcsllicicd funds.
Summary
Fundrdi%ing dLti¥itjLS dnd light idshflow mand¥Ltninl hds lcd io ihc Gdrdcn Gdti ginLrating dnothLr sinall ￿nual protii. Thi% ha
incieased the ulliestricttd fund5 available lo £179.434 whjch means ihal the Garden Gate could surviTre for two and half years without
any funding ￿.ha1$OeTrer. The trustees will ¥oniinue. as per the reserves w)li¢y. l(} ¢onsider invesling this surplus bui only when su¢h
an inve%iment ¢nhanc¢% and improves the services to its clients and is aftordable. feasible and provides good or b¢tter value tor
mthney
STRUCTURE. GOVERPIANCE AND MANIIGEMEIYT
Governit]g document
The charity 1% cnnlri)Iltd b}. It% dorutnenL a deed of ¢rus1. and constitutes a IiTnited cntnpany, limited ¥uaiant¢e, a4
defJi)ed by ih¢ Compani¢s Exci 2006.
RL TrTrKLIYCL AIYD ADMI￿lsTRA"[llvL DET.IILS
Registered Company number
03753908 IEn¥land and Walc81
Page 2

THE CARDEN CATE PROJEC[ LTD. IRECISTERED NUMBER: 0375390R)
REPORT OF THE TRI'STEES
FOR THE I'E.4R E￿DED37 NIARCH 2026
Registered Charitv nU￿ber
laS2954
Rlgistircd offit¢
424 Margate Road
Weslw'ood
Rani4gate
Kent
CTI? 6SJ
'Iru5tee5
N M Rattcrbcc
Ms S L E3igg
Ms A L NiLhols
R Salfery
D P Johnston Trusiee lappoinied IOI101*0251
CJ Pdrry Tru%tcc lappointcd lo11￿2025)
Cthmp*ny Seerttrdr>'
N Condron
Independent E¥arniner
An(JT¢W CdnHon
Spurling Cannotj
Chartered Certified Accountant5
424 Margaie Road
Wc%twood
Ramsgate
kLnt
CT12 6SJ
Approvcd by ordcT Ot thc busLTd of tn]stcc% 31 July 2026 atKI %i¥ncd OD It% bchAlf by".
R SatTery- Trnsiee
Page 3

IPIDEPENDEW F.X.ANIINF.R'S RF.PnRT TO THF. TRUSTEES OF
THE C.ARDEN GATE PROJECT I.TD.
Indep¢nd¢nt r¢port to thc trust¢cs ofThe Ggrden G*te Project Ltd. I'th¢ Company'l
repon io the iharii}' Irusie¢s on MJ. examination gf the avCQimts of the Compani. for ih¢ wear ¢nded.I l March 2026.
Rp5POT15ibilities b¥515 Dr report
As the charii}'s i￿steeS of the Company land also its direeiors for the p￿￿oseS of company lawl you are responsible for the
prcpurution uf thc ULLuuntS ￿ ULxordsLncc with thc r4uircmLnL4 uf thc Con7p￿￿lL￿ ALI 2(Kkn i*hc 2006 ALVI.
Hjving saiisfied myself Ihai the a¢¢ounts of Ihe Company are noi rwuiryd io be audiied under Part 16 of the 20U6 Act and are
eligkible for independent examinatii)n, I report in respect of mv examination of your charity'% accouiits as carried out under Section
145 of the Chanli¢s ALI 2011 I'the 2011 Act,). In caming oui MN exatninaiion I have followed ihe Direciions given bs, the Chanly
Commi55ion undcr ScLtion 145{51 Ibi of t1￿ 2011 Act.
Independent examiner'5 5taternent
haN'c coniplctrd my cxaTnin(iliTrD. I cnnfJTJn thal maltrys havc comc tn wny att¥ntion in conncction wilh thc cxatnination giving mc
cause lo beliew¢'.
accou￿ti[1g record5 were Dot kept in re5pecI of the Cornpany a5 required by Section 386 of the 2W6 Act; or
Ihe ac¢oun¢s do noi accord wilh Ihose re¢or&.' or
thc acf ount% do not comply with thc accoujiting rcquircincnts- of Scction 396 of ihc 21K)6 Act oihcr than any rcquircmcffl that
the account5 gipe a Inie arbd fair view H'hich is nol a Tnatlei COTbSidered as part of an independeT>t exaTnination' or
thL accounts havi not E￿L'll PlLparcd in aiLoidancc with thL mLihod5 and prin￿lPILs of thi Starcmint of RLtommindcd
Practt¥e for accounting and re￿ning by chariii¢s (applicable io charities preparing their accounts in accordance with the
Financial Reporiing Standard applicable in ihe UK and Republic ofirelalld IFRS 1021).
I have no ¢on¢ems alld have Come a¢ioss no oiher ma1￿￿% in ¢onneciion wilh Ihe examinaTion to which aTiention should be drawn i
this rLPOrt in ordLr to Lnablc a propLr undlrslanding oftht accounis io bL" reachLML
AndTew Cannon
Spurlillg Cannon
Cliariered Cemified AccDunrants
424 Margatc Rodd
WesN'ood
Ram58alc
Kent
CTI• 6SJ
Date..
Page 4

THE GARDEN CATE PROJEcf LTD.
gTATEf4lENT OF FIN￿￿cIAL.4CT1￿.ITIEs
FOR THE I'E.4R E￿DED37 NIARCH 2026
21126
TDlal
funds
2025
Tot31
fun
Unttt<tTi¢ied
fund
Re51ncled
funds
NvtCS
IIYCOME AIYD EI44DOW'MEI44TS FROTrI
Dvnations and l¢¥utic
126.630
13{630
133,491
OthLr trudin¥ aLtivitic
Tolxl
23,277
157.Y07
22.178
155,669
149.9117
EXPEIYDITLRE OF4
Rai%in¥ lunds
1112.624
102.624
97.774
Charitable activities
'.i'en15
TotAI
46.6.17
149 261
49.626
147.4Q
146,IZO
NET INCOME
3.787
4J159
8.646
8,269
RECOIYCILIATION OF Fu￿Ds
Total fund% bruughi fonv¥rd
175.fv17
lJ93
177,540
169,271
TOTAL FUL¥DS CARRIED FORWARD
177.540
The notes forni part of these fuk￿ClaI siatements
Page 5

THE CARDEN CATE PROJEC[ LTD. IRECISTERED NUMBER: 0375390R)
BAL￿NCE SHEET
31 111.4RCH ?026
2026
TDlal
funds
202)
Tot31
fun
Unttt<tTi¢ied
fund
Re51ncled
funds
NvtCS
FIXED ASSETS
Tun¥iblL ol5b¢t
1,179
2,451
CURRENT ASSETS
DebtOT5
Cash ￿tt bunk wid in h4Lnd
14,747
169.107
183.854
14,747
175 691
I￿.438
11,786
167.836
179.622
CREDITORS
Amounls falling duc wiihin on¢ yLar
(5.4311
(4 4311
14,533}
NET CURRENT ASSETS
178.423
J8.4.1107
175.089
TOTAL ASSETS LESS CURRELYT
L T ABILITIES
179.434
6.752
186.186
177540
r4lET ASSETS
FLNDS
UnrLstriLtLd funds
R¢slTicIEd funds
TOTAL FUNDS
177.540
10
179,434
175,647
186.1166
177540
ic Lhdiildblc companv is cntitlcd tu cxcmptjon fiom audit undci Scction 477 of thc Cornpanic4 Act 2006 foi thc ycar cndcd 3 L
Ma￿h 2026.
The members have noi required ihe company io obiain an audii of its financial s￿lements for Ihe year ended 31 March 2026 in
aLLOTddnLc with 5cLtion 47fi of ihc CoTnP¢inics Acr LOO6.
The ItU5tees arknoth.l¢dg¢ th¢ir respvnsibilities ItiT
ensuring that the chariiable Company keeps accouniing records that comply wilh Sedions 386 and 387 of the Companies Act
2006
(bl
prepannTT financial stateTll¢Trts which ffjye a mit and fail view of Ihe 51ate of affairs of the charitable Eompally as at the end of
eJ¢h financial year and of lis surplus or deficii for ea¥h finanLial }'ear in accordance with the requiremenis of Se¢iions 394
and 395 and which oiherwise comply with the requirements or the Compaiiies Aci 2(K16 relating to finallcial statements, so
far as applicable to the chaniable LOltJpaiis'.
The notes forni part of these fuk￿ClaI siatements
Page 6
continued...

THE CARDEN CATE PROJEC[ LTD. IRECISTERED NUMBER: 0375390R)
BALLNCE SHEET- eontinued
31 111.4RCH ?026
These financial sla1¢M￿lS have been prepared in accordanie with the provisions applicable io clwi"tsble CDmpanies 5ubjecl to ihe
Small compLnieb ￿&F1M¢.
Th¢ financial 51aternent5 were appioved by the lloard of Trustee5 and authorised for issue OT) 31 July 2026 and were signed on its
behalf by..
R Saffrry- TTu%Icc
The notes forni part of these fuk￿ClaI siatements
Page 7

THE GARDEN CATE PROJEcf LTD.
'OTES TO THE FI.N.4NCI.4L ST.￿TE￿IE.*Ts
FOR THE I'E.4R E￿DED37 NIARCH 2026
ACCOUNTING POLICIES
Basi5 of prep3Ting the financial s*atemeDts
Thc fiiiuncidl %tatcmLnts of thc Lhantsble comp%￿y. whiLh is a public I￿nefIt cnlity undLT FRS 102, havc bccji prLpaiLd in
accordance wilh the Chaiilies SORP {fRS 1021 'AccountlllE and Reporting by C.harilies.' SiateilleTrt of RecownTnended
PraciiLe applicable 10 chariii¢> preparing their accounis in a¥cordan¢e ￿.]lh ihe Finan¢i*l Rep(irting Swidard appli¢)ble in Ihe
UK and Republic of Ireland IFRS 1021 letTeciive l January ?0191', Financial Reporting Standard 102 The Financial
Reporiing Standaid applicable in Lbe UK and Republic of iieland, and the Companies Act 2006. The financial siaieinents
havL t￿ett prLparcd undii thc histvrital LX)bl iOTLvcntLOn.
Income
All inromc 14 rrco¥ni%cil in thr St21cTNCTJt of Financial Artii'iti¢R on¢c thc charity cntiilcrncnt to Ihc funds, it prohablc
that ihe income will be receI￿.¢d and the amouni can be mvdSUTed reliably.
Expenditure
Liabililies are recognised as expeTKlilure as s￿n as there is a legal or Lonstruciive obligaiion commiiiing the chariiy io thai
cxpcndiiure. il 1% probablc that a transfcr of cconomie FK"ncfits will bc reqllircd in scttlcmeiil and thc amount of thc obligation
cai) be Tneasured reliably. F.xpenditure is xcounied for on an accruals basis and has been classified under headiiigs that
a¥gieg#tL all Lost ILlatLd to thc catc¥ot%'. W'hLrc cosf5 cannot bc dire￿lY attributcd to particul￿ ￿ddingS thcy havL becn
allocated io a¢ti¥ities ot) a b&sis consioieni ￿1th the use of resowces.
TanLiible fiAed assets
Dtpr¢Liaiion is pro%'ided ai The following annual raies in order 10 wriie off each a￿¢1 over li$ esiimaied useful life.
Plant and machinery
.5 /D on cosi
Tax4tion
The clLarity IS Lxcmpi from Lory)ordtion tax on its. clwitsblc activitiLS.
Fllnd accountimg
UnrcstlLCtcd fund% Ldll uscd in ￿Cord￿nCe with thc Lhantdblc objcctiVL% at thc disLTCtion of thc tr￿￿teC%.
Rcstrittcd funds Can onl) bt us¢d for panieLLlar rcsirictLd purp)scs ￿"ilhiTh th¢ obj¢Lts of t￿. ¢haTily. Rustrictions arisL whcn
speClt-￿d by the donor or when ￿ndS are raised tor panicular Testricted purFK>ses.
Furthcr cxplarvdtivn vf ihc natuic putpo￿ of CJLh fund is includcd in thc t￿tc5 lo thc finAnLial staictncnt%.
Pen5i0n cost5 and olbcr p05t-retircJnent bC￿er11$
The charitable companv operaleK a d¢lined rontnbulitin pension scheme. contil￿tIOn% payable to the charitable Company's
pension sclitme are cliarged 10 the Siaiemeni of Financial Aciiviiies in tht period ILI which they relate.
Page 8
continued...

THE GARDEN CATE PROJEcf LTD.
r4oTES TO THE FIN.4%CiAL ST.4TEI¥IEP4TS- CO￿tinUed
FOR THE I'E.4R E￿DED37 NIARCH 2026
OTHER TIL4DIF4G AcfiN'ITIES
2026
2025
Fundroisin8 ¢ven15
Oilier incoming resources
20J25
18.322
2.1
NET INCOMEI(EXPENDITLRE)
Nct inLomcl{cxpcndilurel LS Statlxl aftcr LhargingliLrcditin¥)=
2026
2025
Depreciaiion- owmed asseis
TRUSTEES, REMUiNERATION AND BENEFITS
There were no trustees. remuneraiion or other ￿¢[115 for ihe year cnd¢d 31 March 2026 nor for the year t￿ded I l March
2025.
Tru$t¢es' ¢xp¢*$es
There were no iruslees, expenses paid for the year en(kd 31 March 2026 Dor for the year ended 31 MarLh 2025.
STAFF COSTS
The a%er4ge monihly number ofernployees during Ihe year was as follo￿s-.
2026
io
2025
Opcraiional staff
No ¢mployLLs r¥¢Liv¢d cmolum¢nts in ¢xiiss of £6V.U(X).
COTrIPAIL4TI¥'ES FOR THE STATEllfENT OF Fif4ANCIAL ACtllflTIES
Llnro%tfLclcd
nd
Rc%trictLd
funds
funds
INCOME AND ENDOlv￿1ENTS FROM
Donations and legacies
123.462
10,029
133.491
Other trading activities
Total
22,178
155.669
145.(AO
10,029
EXPENDITURE ON
Raisin&Tr ti]nds
$8,604
9.170
97,774
Chxrltable xctivltles
F.i'ents
47.969
136,573
1,657
10,827
49,1726
147.400
Page 9
continued...

THE GARDEN CATE PROJEcf LTD.
r4oTES TO THE FIN.4%CiAL ST.4TEI¥IEP4TS- CO￿tinUed
FOR THE I'E.4R E￿DED37 NIARCH 2026
COMPARATIN'ES FOR THE STATEIIIENT OF FITrIANCIAL ACtIVlTIES- tootinucd
Unr&stricled
nd
Restricted
funds
Totsl
fi]nds
PIET INCOI¥IEI{EXPENDITURE)
9,067
1798)
8269
RLC0Tr4CII.IA'I'IUN Ub fr UNDS
Toial Funds brollglit forward
166.580
,691
169271
TOTAL FUNDS CARRIED FORWARD
177 540
TAIYGIBLE FIXED ASSETS
Plant and
machinery
COST
AI 1 .4pTiI 2025 and 11 March 2026
DEPRECIATIO
Al l April 2025
Charge for year
Ai 31 MaiLh 2026
LYET BOOK I'.4LUE
Ai 31 MaiLh 2026
Ai 31 ￿tarCh 2025
211.613
272
DEBTORS: ATrIOUNTS FALLING DUE WITHIIY ONE YEAR
2026
2025
Trade debioTS
PrLI)dytncni
Accrued incorne
3540
1,083
6,155
1,64S
1.983
Page 10
continued...

THE GARDEN CATE PROJEcf LTD.
r4oTES TO THE FIN.4%CiAL ST.4TEI¥IEP4TS- CO￿tinUed
FOR THE I'E.4R E￿DED37 NIARCH 2026
CREDITORS: AMOUYTS FALLING DUE W'ITHIN ONE YEAR
2026
2n25
Trad¢ ¢reditors
S(Kial seiurily and oiheriLxes
Other creditor5
ALLruLd cA￿nIc¥
103
739
2.921
1.668
328
1,013
1,692
MOI'EMENT ILY FUNDS
Nei
mo%'cmcnt
In funds
At
3113126
At 114125
Unrestricted fund5
GLnLral fund
175,647
3,7¥7
179.434
Restricted fund
Global Gii'ing Fund
FIOWLY SubsLriPtion ProjiLt
1,893
(5591
5.418
59
lJ34
5.418
1.89.1
177 54fl
TOT.4L FUNDS
Nei move]neni in funds, included in the above are as follows=
Incoming
rtstsiircL
Resources
LXPtrtxI
Movement
in fiindg
Unrestricted funds
General tund
149,907
1146,1201
3,787
R¥slriilvd ftsnds
Global Giving Fund
Flower Subs¢ripiion Project
(5$91
2.>llZI
3.1411
149 !611
(559)
TOTAL FUNDS
157 9117
Pagell
continued...

THE GARDEN CATE PROJEcf LTD.
r4oTES TO THE FIN.4%CiAL ST.4TEI¥IEP4TS- CO￿tinUed
FOR THE I'E.4R E￿DED37 NIARCH 2026
Jo.
MOVEL¥IENT IN FUTrIDS- CODtinued
Comparative5 for movement in fuDds
Net
mo￿ement
in
Al
3113125
Ai 114124
Unrcstrieted lunds
General fiind
160,580
9,067
175,647
Restricted fund5
Global Givii)g Fiind
2.691
17981
1,893
TOTAL FUNDS
169
177540
Comparative nei movemeni in fimds, includ¢d In ihe atM)ve are as follows..
Incoming
resources
ResouTces
eXpe￿led
Movement
in funth
UJ]re5tricted fullds
(iLncral tund
145.640
1136,5731
Y,V67
Restricted funds
Cjroilnd￿.￿rK
Global Giving Fund
KCC Communitv CoffcL Mornings
7,687
17.6871
17981
17981
2.342
10.0?9
10.A?71
TOTAL FUNDS
A iurrcnt ycar 12 motxths and prior ycat 12 months Lombintd ]xtsition is as follows".
N¢1
Inovcnicnt
in funds
At
3113126
Ai 114124
Unregtri¢ted fund5
General fund
166.580
12.854
179,414
Restricted fund5
Global Gil it]g Fund
Flower Subscripiion PTDject
2,691
(l R571
5.418
4.061
1,334
6.752
IR6 186
TOTAL FUNDS
Page 12
continued...

THE GARDEN CATE PROJEcf LTD.
r4oTES TO THE FIN.4%CiAL ST.4TEI¥IEP4TS- CO￿tinUed
FOR THE I'E.4R E￿DED37 NIARCH 2026
Jo.
MOVEL¥IENT IN FUTrIDS- CODtinued
A cu￿ent year 12 months and prior year 12 months combined net movernent in funds. included in the above are as follows..
Resources
expeTh4ed
Movem¢nt
in funds
UnrestrA¢ted funds
(iLncrdl fund
295,547
1252.69.11
12,1154
Restricted t'llnds
Jrnundw'nrk
Global Giving Fiind
KCC Conutiunity LoffcL Mornings
Flower Subscripiion Projeci
7.687
{7.6S71
11.3571
12,3421
11,3571
8.0(H)
13.9681
2966611
TOTAL FUNDS
313576
Rfy.I.ATb-D PARTY DISCI.OSVR&.S
Thcrc wcrc no rclatcd party tian%artions forthc yCarL￿dcd 31 March 2026.
Page 13

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