2 8 APR 2025
REGISTERED COMPANY NUMBER: 04351567 IEngland and Wabs>
REGISTERED CHARrrY NUMBER: 11J90471
Report ot the Trustees and
Unaudited Financial Ststements
for the Year Ended 31 July 2024
Pthertaft Hand Charity
. J. Shapwtt & Co. Limited
Chartered ACc￿ntants
Charter House. Wyvem Cwrt
Stan￿r Way
Derfoy
DE216BF

Pulvertaft Hand Charity
Contents of the FinanGial Stslements
for the Ended 31 Juty 2024
Page
Report of the Trustees
1 to 2
kndependent Examinerfs Report
ststement of Financtal Activities
Balance Sheet
Notsg to the Financial SLitthi•nts
6 to 9
Dotslled Ststement of Financial Athitios
10

Pul¥e•laft Hand Charity
for the Year End￿ 31 July 2024
The trustees are pleased lo present their annual dKectors' report logether wth the i*)nsoSdated finanaal statements of the ¢harity
for the year ending 31 Juty 2024 which are akn prepared to meet Ihe rewirements for a direct￿, report arHI accAN￿ts for
CompaniesAcl purposes.
The financial statements compty with the Chaiities Act 2011, Ihe Companies A¢t 2006, the Memorandum arKI Artides of
Association, and Ac(tsunting arKI RetKwling by Charibes: Statement of Recommended Prac11￿ applKable to charities p￿ParIng
their accoun15 in a(x0rdan￿ wth the Finanaal ReFOr￿ Standard applit￿be li the UK and Republc of Ireland {FRS 102).
OBJECTNES AND ACTIV
Objectives and aims
The object of the Chanty is that of promotirvJ and devekjping kn the beneffii of the wblc research into and educating almrt the
causes and treatment of upper limb disabilities aThJ 11k￿￿es.
ACHIEVEMENT ANO PERFORMANCE
Charitable a¢tivitle5
Aside from the provision of courses there were nO￿her Charitab￿ a(Jivilies during the year.
Fundraising activitiès
The Pulvertaft Hand Centre has continued to be very active in the year under review, Tunning courses. Movement of course$ online
follo￿ng the covid-19 pandemic has enable a wider range of delegates to atiend courses, resulting in higher levels of income.
The income from the courses Ix)vers the o)st of ￿nnIng suth ¢XXJT5es and aL80 pays for various items of dinical equipmert, staff
training. general office equipment etc.
The main be￿￿¢Trary the research that is conducted wlhin the depaTlmen¢ the trust fvnds support research regstw and
research therapy sesslons as well as a certain anv)unt of se(xelarial suppxxt during Ihe financial year.
FINANCIAL REVEIV
Prlnclpal funding sources
The Charity is not in recdpt of any grant or funding from outside sour(gs, al income is from the *ivities of o)urse provision.
R￿•￿•$ poucy
The funds of thé ChaFity are administrated and appl￿ by the trustees to effectivety meel the objectives of the Charity, ajhering
where appTopnale to any restrictit)ns placed on sr*ufic funds. Funds are relained to ènsure that the Charity can continue lo meet
its objectives. Th8 balance of funds available al 31 Juty 2024 was £156,355 {2023: £150,336).
Detall of c￿ratIng ¢o$ts
Included in Sundries are the following costs:
Website and Q￿pUter costs
£6,797
STRUCTURE, GOVERNANCE AND MANAGEMEMT
Governing document
The tharity is ¢(￿lro118d by its goveming docurnenL a deed of trust, and (>xtstilutes a Imtted CoM￿ny. limited by guararl8è. ag
defined by the Companies Act 2006.
The Charity is constiluled as a company limited by warantee, and Iherefore govemed by a memorandum and artths of
associalion dated 11 January 2002. AJ direclors of the ciMnpary are alFA) trustees of the chanty for Charities Act purposps and
there are no other tnjstees. The t%)ard has the power to apwjint addibona trustees as it Con￿derS fit lo do so. The tnJstee5 hokl
regular meetings to monitor the progress of the chwity.
Recruitment and appolntment of newtrustees
The Trustees are eb¢ted and apwnted at the Charivs Annual General Meeting and a150 as vacancae5 arise. The trustees ￿ no
financial interest in the company. Induction of the app)intee based upon the expertise of ea¢h ¢andidate.
Organisation21 structure
The affair5 of the Charity are governed by the both af d)arity. has establshed rukn kn the management and ￿>￿trol of
the charity's funds. Day to day management of affairs of the charity bs Ikkgated to Ihe offws, and to particular iThJividua¥ WIM)
a￿ responsble for Specif￿ asF*cts of the Ch￿￿$ operdth)ns.
The trustees of the company constitute direthys for Companies Ad purposes. There are no other trustees. Those WI￿ ha￿ held
office as tsustee in the period under review ex￿pl %yhere othpJww indicated are Sh￿ ctt] page 2 ofthis rewt
Rolatod pa￿05
The charity trustee appointed was Miss Kate Brovm, ￿SUIta￿t Hand Surgeon arp)nted 4th May 2023.
Page 1

Pufvertaft Hand Charity
Report of the Trustees
forthe Year Ended 31 Juty 2024
REFERENCEAND ADMINISTRATIVE DEfAILS
Registered Cjmpany number
04351567 {ErgLqnd and Walos)
Registered thrity number
1090471
Registered olice
Chartw House
Wyvem Court Slanier Way
Wyvem BUSI￿SS Park
Derby
Derbyshire
DE216BF
Trustees
Duiing the N under review the trustees were..
C Hera&P
P G Russel
Miss T C Hor&)n
RCWaTd
A Selby
TRCres
K Brown
Consuttant Hand Surgec
Consultant Hand Surgeon
Consultant Hand Surgeon
Independent Truslee
Research Manager
Consullant Hand Surgeon
Consullant Hand Sw (Opwn￿l ¢M10512023)
Ind¢pendertExaminor
Mrs K F Shatwtt FCA
M. J. Shapo)tt& Co. Limited
Chartéred Allountanls
Charter Hous8, w￿eM C(xJrt
Stan￿r Way
Derby
DE2168F
Bankers
The Coopwafve Bank pk
1 Bdloon Street
Manthesl
M60 4EP
NabNest Group
36 Sl AndrgNSquare
Edinburgh
EH2 2YB
Approved by order of the t#)ard of trustees on 25 AFYII 2025 arKI sign&1 on ils behalf by:
C Heras-PabJ- Trustee
Page 2

IndoW￿nI Examinofs Report to th• Tntsteos of
Puhertaft Hand Charlty
Independent examIne￿$ report to tho trustees ol Pufvertaft Hand Charity (Ihe Compan
I rewrt to ihe L*arity trustees on my examinatK)n oflhe acc￿nts ofthe Company for the year ended 31 July 2024.
ResponsibIll￿eS and basls of report
As the Gharity's trustees of the Company {and 81s0 its threctors for Ihe puypjses of (Thipany law) you are res￿$￿￿ tr the
preparation of the accounts in accordance with the requirements of the Companies Act 2006 Ilhe 2006 A¢t).
Having sabsfied myself that the accounts of Ihe Company are not required lo be audited under Part 16 of the 2006 Ad and are
eligible for independent examination. I report in respect of my examination of tharitls atrounts as carried out under SectDn
145 of the Charities AGt 2011 Ilhe 2011 Act). In carryirKJ out my examina1￿ I have fo*)w8d the thrections given by the Charity
Commissi[￿ under Saction 14515) (b) of the 2011 ACL
Independènt examiner's statement
I have completed my examination. l u)nfimi lh* no matters have come to my attenlion in connection ¥￿th Ihe examination giving
me cause to believe..
8(tiiimting rècords were not kept in reSp￿t oflhe Company as r￿uIred by Section 386 ofthe 2006 ACL. or
the accounts th rnt acrJ)rd wtth tIK)se records,.
the accounts th) not comply wtth the ae¢ounting requirements of Section 396 of the 2006 Act other than any requirement
that the accounts givè a true and fair V￿W￿hlch is not a matter C￿sidered as part of an independent examination; or
the accounts have not been prepared in aco)rdanc* wth the methods and principles of the Stslement of Recomffthded
Pra¢kn.￿ for accounting and reFK)rting by charities lapplicab16 to thatilies preparing Iheir a¢wunts in accordan¢e wth Ihe
Finanual ReKM)rtbng Standard applicable in the UK and Rewtlic of Irela￿1 (FRS 102)).
I have no concems and have come across no olh8r mattets in ￿n￿dIOn with Iha eX￿￿nation to whth attention shoukl be drawn
in this report in orderto enable a proper Understandi￿ of accounts to be read*d.
Mts K F Shapcott FCA
M. J. Shapcott & Co. Limited
Chartered Accountants
Charter Hous8, Wyvem Court
Stanier Way
De￿Y
DE216BF
25 April 2025
Pa9e 3

Pul¥ertaft Hand Charity
Statement of Flnanclal Acllvltl•s
(Incoryx>rating an Income and Expendtiwe A¢¢ount)
for the Year Ended 31 July 2024
2024
2023
Tot81
funds
nd
Notes
INCOME AMD ENDOWMENTS FROM
Donations * kgacies
3.251
Charitable a¢ttvitles
General
113.908
126,557
Total
117,159
126,557
LXPENDrruRE ON
Raising furKts
51,349
48.943
Charitsble *llvltles
General
56,811
50,137
Total
111.160
99,080
NET INCOkf
5,999
27,477
RECONCILL4fioN OF FUNDS
Totsj funds thgm fomard
150.336
122.859
TOTAL FUNtS CARRED FORWARD
156,335
150.336
Page 4

PY￿•rtaft Hand Charity
Balante Sheet
31 July 2024
2024
Unrestricted
fund
2023
Td21
furnd5
Notes
CURRENT ASSErs
stocks
Cash at bank and in hand
170.157
157.300
170,657
157,300
NET CURRENT ASSETS
170,657
157,3(X)
TOTAL ASSETS LESS CURRENT UABILtnES
170,657
157,300
ACCRUALS AND DEFERRED INCOME
(14,322)
16,964>
NET ASSETS
156.335
150,336
FUNDS
Unrestrictad funds
156,335
150.336
TOTAL FUNDS
156,335
150,336
The charftabk company Is entiued to exempth￿l trl￿ audit under 471 of the Companies Ad 2006 for the year ended
31 July 2024.
The members h8ve not requlr8d the (x)mpany lo obtain an audit of ils ffinancial sialements for the year ended 31 Juty Z]24 in
accondan(E wth Section 476 of the Companies Act 2006.
The trusttes acknowkdg8 Iheir resp)nsiblllties for
(a)
ensuring that ts charitatAé Company keeps &cx)unting recoTds 1hat Sections 386 and 387 of the Companies
Act 2006 and
preparing financial statements wthith give a true and fair vw of the state of affairs of the chaiitalAe company as at the end
of each financial year and of its Surplus or 4Jeficil for eath finanaal year li accordance with the requirements of S&ction$
394 and 395 and wh￿h othewise compty wth the reqUIren￿ of th8 Companies Act 2006 relating to fnancial
slalemenls, so far as applicable to charitable cJ)mpany.
Ib}
These financial statements have been prepared in accixdance with tho provisi￿ 4plcable to charitat48 CoMpan￿S subpd lo th8
small compaThes regime.
The finan¢kal statements were approved by tr￿ Board of Tnjstees arNI aulJKfyrised ts issue on 25 April 2025 and were signed on its
behalf by..
C Heras-PalcAs - Trustee
The ncrtes form part of these financial statements
Page 5

Pufvortaft Hand Charity
Not•s lo the Financial stat￿￿ts
torthe Year Ended 31 July 2024
ACCDUNTWG POLICES
Baw of prnparing the financial statéménts
The Inanual statements of the chanlable company, which ts a pubk benefit entity under FRS 102, have bèen prepared in
accordance bmth the Charitses SORP {FRS 102) Accounting and Reporbng by Charities: Stalement of Recommended
prac￿ applicable to charities weparing ther accounts In accordance with the Financial ReF)Orting Standard applicable in
the UK arKI Repubfic of Ireland {FRS 1021 (effe¢kn"ve 1 January 2019>.. Financial Repo￿ng Standard 102 'The Financial
Rwting Standard applicable in the UK and Republc of Irelan¢Y and Ihe C(Thpanies Act 2006. The finanaal slalements
have been prepared under the hi￿rical (x)s1 ￿)nven1K)n.
wesentstion Curren￿ ofthe ffinarmxal Staten￿ is the P0￿d st￿Ing {£).
IncorTr2
Donattons, legacies and slmllar in¢omTng Te50urces
These are included in the Statement of Financial Activities (SOFA) when:
The tharity becomes entitled to the donati￿. or similar irKome and any conditions for receipt are me(.
The ￿$teeS are reasonabty c£rtain they will ret*ive i(. and
The trjstees are reasonabty certain that the vakne can be reliably measured.
T* rnclaims on donations and glfts
Incoming iesources from tax claims are induded on the SOFA as they are retelved from the Inland Revenue when
apF*able.
kn¢¢ming resources from fund ratslng
are rep￿ed gross in the SOFA.
Gifts in klnd for sah or distsibuti¢)n
These are in¢bJded in ts aux)unts as gifts onty when sold or distributed by the tharity. Gifts in ￿nd are a¢(x)unted for at a
reaswabl8 estimate of their value lo the charity or the amount received.
Gifts In kind for use by the charity
These are inckjded in the SOFA as in(y)ming res￿r¢e$ when re￿1¥able.
rtarqlble Income {¢g donated fxililies)
This B onty i￿luded In In(xJmir¥ res￿r￿ Iwith an equivalent anM)unt in resourc8s expended) where another party is
beariro the financial cost of the res(MJrces YJpp1￿ and the benefft Is quantifiable, receivaile and material. Intangible
incorre is vakted at tha ILwér of cost bom8 by the party bearin9 the cost and a reasonabl6 estimats of thè value of th8
donalon to thè charity.
Vdunteor help
The Yalue of any vO￿nteer hdp re￿Ived is not in the accounts.
Inveslment income
This ald ary associated tax uedit is I￿1th￿ed in the a(x>)unts vh)en re¢eivabk.
Liabibt'es are recognised as ex￿ndthre as So(￿ as Ihere is a legal cw ￿n$t￿ctIve obtytion committing the Charity to that
eXPe￿itUre. it is probable that a transfer of eu)nomic beneffts wl be required in settkment and the amount of the
oblpjab'on can be measured reliab￿. ￿endFlUre is accounted for on ab acctuaLs basis and has been classified under
headngs that aggregate al o)st related to catewry. Where ￿sts ￿nn0t be directly attritxjted to partÈcular headings
they have been alkx3ted to ￿tt¥l￿eS on a basis C(￿S4$tent with the use of resour￿.
Grants offered subject to conditKJn5 which have not been met at th8 year end date are noted as a commitment but not
ac{L￿d as expendiiure.
Stocks
Stock% are vakFed at the k￿r of c05t and net reatsab* value. after MakN￿ due aknvance obsolete and sk)w rmving
ite￿.
Taxalon
The tharity is ex•mptfrom corKKTrbon lax charitable aCtivit￿S.
Fundxcountlng
urYeY￿ted funds can be used in ￿t￿r￿an￿ wilh tr￿ tharttdle obJe¢tives at the dis(xetton ofthe twstees.
RestrrAed funds can th be used for resblcted wrposes objects of the d￿lIty. Restsictions arise
W￿Specified by th8 donor orwhen fvnds are raised lor partrJJlar restrirted puryws.
continued...

Putlwtaft Hand Charity
Notes to the Flnancial Statements. conlknued
forthe Year Ended 31 July 2024
ACCOU￿rING POLICIES - continued
Fund acu)unting
Further explanation of the nature and purp)se of each fund ￿ inckned in the notes to the financial statements,
TRUSTEES. REMUNERATION AND BENEFrrs
The￿ were rN) trustees. remuneration or oth¥ beneffts for the year ended 31 Juty 2024 nor for the year ended
31 July 2023.
Trustees. expenses
There w￿e no trustees. expenses paid for the year ended 31 July 2024 the year ended 31 July 2023.
COMPARATIVES FOR THE STATEMEpif OF HNANCIAL ACTMllES
Un￿S￿'Cted
fund
INCOME AND ENDOWMENTS FROM
Charitable a¢tivities
Gen8ral
126,557
EXPENDITURE ON
Raising furKIs
48,943
Charftable aclivilios
General
,137
Totsl
99.080
NEf INCOME
27,477
RECONCILIATION QF FUNDS
Total fvnds broughi forward
122,859
TOTAL FUNDS CARRIED FORWARD
150,336
ST¢XKS
2024
2023
stocks
500
ACCRUALS AND DEFERRED INCOME
2024
2023
A(xnJals and deferred income
14.322
6,964
Page 7
¢￿ntinued...

Pufvertaft Hand Charity
forthe Year Ended 31 July 2024
MOVEMENT IN FUNDS
At
31.7.24
At 1.823
in fvnds
UNostri¢ted funds
General fund
150.336
156,335
TOTAL FUNDS
150.336
5.999
156,335
Nel ny)vemenl in funds, induded in Ihe aPy)ve are as folknys:
InconMrKJ
resoU￿S
Movement
in funds
eXp￿ded
Unrestricted funds
G￿1 fund
117.159
(111,160)
5,999
TOTAL FUNDS
117,159
(111.1601
5,999
C(Nwfatives for m0￿ment in funds
movement
in fund$
At
31.7.23
At 1.822
vnrthrkt￿ funds
Genwal fiJrKI
122,859
27,477
150,336
TOTAL FUNDS
122.859
27.477
150,336
Curyarative net movement In fvnds, inclxled in the above are as ftAkh¥&'
In￿rnIng
resources
Resour¢es
expended
Movement
in funds
Unrestricted fvnds
Gen¥al fund
126,&57
{99.080)
27,47T
TOIIL FUNDS
126,557
{99,080)
27.477
A mnt year 12 rrK)nths and prioryear 12 months combined powiw is as foth)ws:
[r￿vement
in funds
At
31.724
At 1.822
Unrestricted funds
Gwal fund
122.859
33,476
156,335
TOTIL FUNDS
122,859
33.476
156,335
Page 8
)ntinued...

Putvertaft Hand Chartty
Notss to the Flnancial Statements. conlinued
forthe Yèar Ended 31 Juty 2024
MOVEMENT IN FUNDS- continugd
A wrrent year 12 nN)nths 2nd prior year 12 nM>nth9 Ix>mbined net rnvement in tund4 induded in the above are as fokn5'.
Resources
Moven*nt
expended
in fuT￿S
Incoming
resources
Unrestricted funds
General fund
243,716
(210.240)
33,476
TOTAL FUNDS
243,716
(210,2401
33,476
RELATED PARTY DISCLOSURES
There were no related party transadiC￿S forthe year erKJed 31 Juty 2024.
CAPITAL GUARANTEE
Each mwnber has undertaken to conln'bule io the assets of the c¢Jmpany i) Ihe event of Ihe same being wound um swh
amwnt as may be required not exceeding £10.
INDEPENDENT EXAMINERS REMUNERATV)N
Fe8s payabb to the Charitys independent examiner for tho indewdent examinalion.. £342.
Foes payabk to the Chartvs indep8ndent examirw for acwuntary and other $￿iCe$. £1.230.
Page 9

Put¥ertaft Hand Charity
Detalled Statement of FIna￿￿ ActlvHI•s
forthe Year Ended 31 Juty 2024
2024
2023
INCOME AMD ENDOWMENTS
Donati¢ns and kgacles
Donations
3,251
Charitable thltlos
Course fees
113.908
126.557
Total incoming resourte5
117.159
126,557
EXPENDtfuRE
Other trading actiyitles
Cost of o)use proviS￿)n
54,349
48,943
Charitsble adivities
Postage and Stath￿ery
Sundries
Equipment rep8ir and repl8(*m8nts
Grants lo inSt￿tIOnS
3.434
25,465
1,239
25,1HX)
4.501
18,998
25,(KM)
55.138
48,499
Support ¢¢xts
GovernarK¢ costs
Accounlary and bgal fees
1.673
1,638
Totsl resourw expwKled
111,160
99,080
Net In¢om¢
5,999
27,4TT
This page does Mrtfomi part ofthe statrrt￿y fin￿081 statements
Page 10