REGISTERED CHARITY NUMBER.. 1088249
Unhudited Financial Statements lor the Year Ended 31 March 2024
for
Young Deaf Activities
Dux Advisory Lim¢ted
K2nnel Club House
Gatehouse Way
Ayle5bury
BuckinEham5hire
FIP19 8DB

YOUNG DEAF AcfiviTIES
Contents of the Flnandal Statements for the Year Ended 31st March 2024
Page
Ito2
Report of the Trustees
Independent Examlerfs RepDrt
Statement of Financial ktlvitles
Balance Sheet
Notes to the Financial Staternents
6t09
Detailed Statement of Financial Activities
io

YOUNG DEAF ACTIVITIES
Report of ihe Trustees for the Year Ended 3151 March 2024
The trustees present their report with the financial Statements L>f the charity IDr the year ended
315t March 2024. The trustees have adopted the provision5 01 Accountine and Reponing by Chorities..
Statement of RecommÈnded Practice applicable to charities preparing their accovnts in accordance with the
Financial Reporting Standard applicable in the UK and Republicof Ireland IFIIS 1021 leffectwe 1st January 20191.
OBJEcfivES AND ACTIVITIES
Oblectl¥es and Alms
The charity aims to provide help and assistance to ytsung dealchildren in the suriounding district. This is
achlevÉd by the varlous actlvlties put op by the charity throughout the Veèr. It l5 hoped that the activities
will hÈlp ift the development of the children and experience a wider choice of activlties
SibllnE5 Bre Welcotne to participate in activities arnd 5UPPOrt 15 offered to famllles through a monthly parent
support group and through si8nln8 se55ions in the famlly home.
Significant actwit4e5
Now that tlie implications of the pandernic are Dver, effort ha5 been m3d@ to retaln contart with
the children and help by using rnodern technology as a rneans of communications.
Publ1¢ beneflt
The Trustees have taken du& regard for public benefit. The fotU5 (bf our actjvities wlll remain a pro8rarnmE ol
event5 throughout the year to enhance the experieThces ol young deaf chlldren. Thè actlviries help their
5ell-confidence and social skill. All are welcome and we continue to reach to as many young deaf
children as possible within our di5tri(t.
FUTURE PIANS
We continue to reach out to zs many YOU￿ deaf thildren as possible and strive to give them a better Ilfe
experience from the various activities through0￿ the year. We are looking to develop our programme of
event5 wherever posslble.
STRUCTURE, GoveRNANCE AND ￿NAGEMENT
Governing document
ThÈ charity 15 controlled by Its govemin8 document, a deed of trust, constitutes an unincorporated charity.
REFERNECE AND ADMINISTRATIVE DETAILS
Regislered Charity number 1088249
Prln¢lple address
No 12 Woodbarnk
Loosley Row
Princes Risborou8h
BucklnEhamshlre
HP27 OTS
T[￿SteeS
Mrs A M Sracey
Mrs C McGuine5S
Mr D Robert5
Mrs J Freeman-wood
Mr Ljamleson
M5 R Cooke
Mr P Hayes

YOUNG DEAF ACTIWnES
Report ol the Trustees for the Yoar Ended 31st March 2024
REFERENCE AND ADMINISTRATIVE DETAILS
Blanca Permal
DuxAdvisory Limlted
Kennel Club House
Gatehouse Way
Aylesbury
Buckinghamshire
HP19 8DB
Approved by order of the board on
i?liaJ4
and signed on its behalf by..
Mf P Hayes- Trustee

Independenl Examlner's Report to the Trustees of
Youn8 Deaf Artivities
Independent examlner's report to the trustee5 Qf Young Deaf A¢tlvltles
5 report to the charity trusiees on my examination of the accounis of the Young Deaf Adiwitie5 (the Trust) for
the year ended 31st March 2024
Responslbllltles and ba51$ of report
As the charity trustees ol the Trust you are responsible for the preparation of the accounts in accordance
wlth the requlrements of the Charities Act 20111.the Act'l.
I report in respect ol my examination of the Trust's accounts carried out under section 145 of the A¢t and In
carrying out my examinatlon I have followed all appliczble Directions Eiven bythe Charity Ccrnmis5ion
under section 14515llbl of the Act.
Independent examiner'sstatement
I have cornpleted my examination. I conflrm that no material Matters have come tts my attentjDn In
tonnection with the examination giviAg me cause to believe that in any materlal respect..
accounting records were not kept In respect of the Trust as requlred bysection 130 of theAct,' or
the accounts do Dot atcord vAth those records.. or
the accounts do not comply with the appllcable requirement5 concernln8 the forrn Jnd content of
actounts set out in the Charities (Accounts and Reports) Reevlatlons 2008 other than anv
requirement thai the accounts give 3 true and fair view which is not a matter considered as part ol arb
independent examinatlon
I hane no concerns and have COMÈ a¢r055 no other matters In connection with the examination to which
attention should be drawn In thi5 report in order to enable a proper understand*ng of the accounts
to be reached.
8p
Bianca Perrnal
Dux Advisory
Kennel Clijb House
Gatehouse Wav
Aylesbury
8uckinghamshire
HP19 8D8
Date..

YOUNG DEAF ACTIVITIES
StatÈmÈnt of Finèniial Artivities
lor the Year ended 315t March 2024
31.03.24
UTrrosticted
Fund
31.03.23
Total
Funds
Notes
INCOME AND ENiJOWMENTS FROM
Donations and legacies
Charitable attivltle$
General
30,834
13.951
8.770
6.289
Investtnent income
451
181
Total
40,055
20,422
EXPENDITUE ON
Charttable activities
General
29.838
23.476
NET INCOME I {EXPENDrfuREI
10,216
-3,054
RECONCILIATION OF FUNDS
Total fund5 brought forwèrd
45,603
48.657
TOTAL FUNDS CARRIEO FORWARD
55.820
45.603
The Thotes f￿M part of these financial statements

YOUNG DEAF ACTIWTIES
Balance Sheet
At 3tst March 2024
31.03.24
31.03.23
Total
Funds
Unresticted
Fund
Note$
CURRENT ASSETS
Cash at bank
55,820
45,603
NET CURRENT ASSETS
55,820
45,603
TOTALASSEfs LESS CURRENT IIABILITIES
55,820
45.603
ASSETS
55,820
45,603
FUNDS
Un￿StrICted fund5
55,820
45,603
TOTAL FUNDS
55,820
45,603
The financial statements were approved bythe Board olTrustèe5 and authori5ed fcsr issue o
and were 51gned on Its behalf bv-
Mr P Hayes-Trustee
7he ncttes form part of these flnanclal statements

YOUNG DEAF AcfiviTIES
Note5 tu the Flnancial Statements
for the Year Ended 31st March 2024
I ACCOUNTING POLICIES
Ba51s of preparfn8 the flnanclal statemeftts
The financial statements of the charlty, whlch Is a public benefit entlty under FRS 102, have been
prepared in accordance with the CharStles SORP IFRS 1021 'Accounting and Reportlng by Charltles:
Statement of Recommended Practice applicable to charitles preparlng their accounts in accordance
with the Financial RÈportin8 Standard applicable In the UK and Republic of Ireland IFRS 1021
leffectlve l January 21091,, Financial Reporting Standard 102 The Financial Reporting Standard
applicable in the UK and Republic of Ireland" and the Charlties Act 2011. The flnandal statements
have been prepared under the historical cost ccinvention.
The financial statements have been prepared on a golng basls. The trustees have reviewed
and consldered relevant information, Including the annual budget and future cash flows in making
their assessment. In particular, in response to the COVID-19 pandemic, the trustees have tested their
cash flow analysis to take into account the impact on their business of possible scenarios brought on
by the impact of COVID- 19, alon85ide the measures that they can take to mitigate the current adverse
conditlons, and the current resources available, the trustees have concluded that they can continue to
adopt the going concern basis in preparing the annual report and account.
Income
All income is rÈcogni5ed in the Statement of Financial Activities when re￿ived. Donations are recognised in full
in the Statèment of Financial Activities when entitled, receipt is probably and when the amount can be
quantified wf(h reasonable certainty.
Expendlture
Expenditure is accounted for when paid and has been classified under headings that a88re8ate all
cost related to a Category. Where costs cannot be dirèctly attributed to particular headin8S they
have been allocated to activities on a basis ¢onsi5tent with the use of resource5.
Taxatlon
The charity 15 exempt from tax on its charitable activities.
Fund ac¢ountln8
Vnrestrlcted funds can be used in accordance wlth the charitable objettive5 at the discretion of the
trustees.
Restricted funds can only be used for particular restricted purp05e5 Wlthin the objectives of the charity.
Restrictions arlse when speclfied by a donor or when funds are ralsed for particular restricted
purposes.
Further explanatlon of the nature and purpose of each fund is included in the notes to the financial
statements
Cash at bank and In hand
Cash at bank and in hand Sncludes cash In hand, deposits wlth banks and funds that are readily convertible
into cash at, or close to, their carrylng values, but are not held for investment purposes.
2 INVESTMENT INCOME
31.03.24
31.03.23
451
181

YOUNG DEAF ACTlVtTIES
Notes to ihe Flnanclal Statements
for the Year Ended 315t March 2024
- contlnued
3 TRUSYÈE'S REMUNERATION AND BENEF￿5
There were no tru5tees' remuneration or other benefits for the year er¢ded 31st March 2024 nor for the
year ended 315t March 2023.
Trustees, expenses
There were no trustees, expenses paid fo¥ the year ended 315t March 2024 nor forthe year ended
3Jst March 2023.
4 COMPARATIVES FOR THE STATEMENTOF FINANCIALACTIVITIES
Unresitricted
fund
INCOME AND ENDOWMENTS FROM
Donations and legacies
Charitable artivities
fjeneral
13.951
6.289
Investment income
181
Total
20.422
EXPENDITUE ON
Charltable adi¥ltles
Generzl
23.476
NÈr INCOME I IEXPENDITUREI
-3.054
RECONCILIATION OF FUNDS
Totsi funds brought fO￿ard
48,557
TOTAL FUNDS CARRIED FOIiWARD
45,603

YOUNG DEAF ACTIVITIES
Notes to the Financial Statements
for ihe Year Ended 31st March 2024
. continued
S MOVEMENT IN FUNDS
Net
movernent
in funds
At 1.04.23
At 31.03.24
Unrestrlcted fund$
General lund
45,603
10,216
55,820
TOTAL FUNDS
45.603
10.216
55,820
Net tnovernent in fund5. included In the above are as follows..
Incoming
resourses
Resourses
expended
Movement
in funds
Unrestvl¢ted fund$
GEneral fund
40.055
29,838
10,216
TOTAL FUNDS
40.055
29,838
10,216
Comparatives for M￿eMent In fvnds
Net movemeni i
funds
At 1.04.23
At 31.03.24
Unr¢stricted funds
General fund
48,657
-3,054
45,603
TOTAL FUND5
48,657
-3,054
45.603
Comparatives net movement sn funds. In¢luded in th¢ above are as foll¢>ws-.
Inctsrning
Resourie5
re5our5e5
expended
Movement in
funds
Vnrestrlrted funds
General fund
20.422
-23.476
-3,054
TOTAL FLINDS
20,422
-23,476
-3,054
6 RELATED PARTY DISCLOSURES
There were no related party transaetions for the year ended 31 March 2024 norfor the year @nded 31 March Z023.