16APR
REGISTERED COMPANY NUMBER.. 04351567 IEn9land and W•knl
REGISTERED CHARrrY NUMBER: 10904Y
Roport of th• Trustee* and
Unaudlted Fln*ncio1 Slatem•nts
for the Year Ended 31 Juty 2025
f¢x
Pulvertaft Hand Charlty
M. J. Shapcolt & Co. LSmit
Ch8rt8r8d AccountÈnl8
¢￿thr House. w￿rn C<yJrt
Stan￿Or Way
Derby
DE216BF

Pufvertaft Hand Charlty
Contents of tho Flnanclal Statpm•nts
for the Y¢ar Ended 31 July 2025
Pagt
Report ofthe TfUSte•$
1 to 2
Ind•pendont Examln•ls R¢pgrt
St*tsm•nt of Flnandal Ac¢lwltlo$
8alan¢• Sheet
Notes to the FI￿nCIal Statemènts
6 to 9
Delaikd Statsment of Flnanclal ktMII
10

Pulvortaft Hand Charlty
Rgport of the Truslees
fr•r Y•ar Endod 31 July2025
The I￿Stee$ are pkased to wesent th8ir annual dif8clor8' report Iwth8r ￿1th the consolidatod finaThckql statgm&nts of
the charity for thè year ending 31 July 2025 ¥thich arè a180 prepared tr) meetthe requlr8ments for a dir8ctors' rwrt ar
accounts for Companies Act purposes.
The finan¢hil statèments ¢omply with lh8 Chartties Act 2011. the Cornp8nie$ A¢t 2¢X6. Ihe MemoraJ)durn and Articles Df
As5walon. and Accounting and Reporbng by Charibes.. Statèment ol Recommènded Practlce applirJble to eharlthi$
preparing Ihoir accounts in acwrdanc8 Vith tt)a Financial Reportin9 Slandard appI￿able in thtr UK and Republic gf
Ireland IFRS 1021.
OBJECTIVES AND ACTivrriES
Objectlve$ and aims
The object of Ihe Charity 15 that of premotsng and deVda￿n9 for the benefit of thg publlc r8s8arch Into and aducatlrg
8both the causes and treatment of upper Umb di5abilttKps and11kn4ss86.
ACHIEVEMENTS AND PERFORMANCE
Charftsbl• a¢tivltl88
Aside from the pmmsion of eour58s there wer8 no other charftablè 8dvttlgs durtng Ihe year.
Fun(*a151ng activllies
The PU￿èrtaft Hand Centre has ¢ontlnuod to be very a¢tfvè in th# year uThYtr ra￿$￿. runn1￿ courses.
The Ineome from the eours88 rxjvers thg I￿￿¢ ol runnlng such wur6&s and a180 pays for various items ol ctiniul
8quipm8nt, stsff training, g8neral offi¢6 ￿UIpment etc.
Th* main beneficiary is the research that is conducted h￿thIn the departmént the tr￿t funds support res•arch regist
anij ￿SearCh therapy SèSSK>n8 as well as a ¢ertain amount of secretarial support during tho financkal year. r( aL
supports the presentation of res•arch findings at National and Intamational wentffic eonfèTen¢es.
FINANCIAL REVIEW
Prrncipal fundlng sourc
Th8 Chanty is not in r8ceipt of any grant or funding frorn crtttslde sour￿, all I￿oMe is from Iho aclgvit18s of ¢ou
proviwon.
R•s•rves poll¢y
The funds of th8 Cha￿ty are adrninistr8ted applied by the tru5tee8 trj effe¢bvely rn8et the oblecilves of the Charity,
adhgring appropriate to any restrictions placad on specific funds. Funds are retained to en$￿￿ that the Chwiw
can continue io ffleet its objeotives. The balance of funds avaijable at 31 Juty 2025 was £214,890 12024.. £156,355>.
Dotall of Op￿￿tIng costs
Included in Sundries afg the follow￿n9 ￿$t$-
W&bsrte and wmputereosts
£8.039
STRUCTURE. GOVERNANCE AND MANAGEMENT
Govgmlny document
Th& charity is ￿ntrOl￿ by ts govemlNJ (locument. a deed ol trust, and CO￿StituteS a limltad company. limitwj bi
guaranteo, as defined by tha Companies Act 2006.
Charity is ¢￿StitUted as a company Ilmited by guarant8è. and is thgrafore gjvemed by 8 m8morandum and
of association dated 11 January 2002. hjl directOT$ of the company a￿ also thjstees of Ihe charity lor Charitie5 Ad
ptvpose8 and there arè no other trustees. The board has th8 power lo appoiTrt addits'onal truste88 as it ¢onsidor8 fjt lo
so. Th9 trustees regular meetiiwjs to mr￿ltOr the progr85$ of Ihe charity.
Ro¢rultrnent and appointmont of new trustees
The Trus188$ are elact8d and appointed at thg Charity9 Annual General me8b.ng and also as v8wcies arise. The
trust￿8 have Th) financial interest In Ihe r4)mpany. InduC￿n of Ihe appThnig9 was based upon the eXp￿ti5* of eath
candklate.
Oryanlsatloml $lTU¢ture
The affairs of Ihe Charity are govemod by the board of the ¢harity, whlch has eslabllshed rul88 for the managemgnt and
eontral of the charity'3 funds. Day to day managernent of the affair5 of the charlty is d818gatsd to the offir*rs, and to
particular indivhluals who are respon5ibl8 for specific asp8¢ts of the charftys operations.
Th8 tnBtees of the company constitute directors for Companles Act purposes. Thefv are no ot￿r trustee5. Those who
hav8 held olfKo a5 trusteg in ihe PariDd upder reviow 8xcept httere tsth8rwise Indicated are shovm on pag8 2 of thL%
ro￿rt.
Paga 1

Pufvertaft Hand Charfty
Report of thè Trustsas
for1￿ Y•ar End•d 31 July 2025
STRUUUR& GOVERNANCE AND PIANAGEMEMT
Rolatedparties
There we no ¢harrfJes In the Charity Trusl8e¥ during Ihis acrountaThcy porfod
REFERENCE AND ADMINISTRATNE DETAILS
R8gi5tthpd Compony number
043515ST (England and Wglesl
Regl$t&Yd Charfty numb•r
1090471
Reg￿1•*d offic•
CharterHtsuse
Wyvemcourt. Slani* Way
WywemBusiness Park
De￿Y
DE2168F
Tru$1tt5
Durlng the yèar under rèwew Ihe truste8s were..
C Hgra>Palou
P G Ruwll
Mis5 TC Hortc
Rcwwd
A Sdby
T R
KBro
CLwullant Hand Surgeon
Consubnt Hand Surgeon
Consuhant Hand sUrg￿n
Independent Trustee
Research Manager
Consuthnt Hand Surgeon
onsuhant Hand Surgeon
Independetst Examln•r
Mrs K Fshapcott FCA
M. J. Shapwtt & Co. Lirnitod
ch8rt1￿J Awountants
CharteiHou89, Wyvern Court
Stsniwwoy
De￿Y
DE21
8¥nkè
The C4xperatThlg Bank pk
18alknDn Street
Manc*8stèr
M60 4EP
Nal¥%wt Group
36 sikndr8w Square
Ed&￿ur9h
EH2 2YB
ro￿1 by order
th8 board of trustees on 12 January 2026 and SIg￿d on its boh8W by..
C H￿￿aloU- Trustee
Pag8 2

Independent Examlnerf8 R8POrtto the TNstee8 of
Pulvertaft Hand Charlty
Independont *xarnln•rts report to thg trU$te•s ol Pu￿rtaft Htnd Charlty fthe Companll
I report to the tharity trustses on my &xamin8tion of the accounts of the Compar¢yfor the year ended 31 Juty 2025.
R•spon$lblNtl•s and basls of report
As the chantys trustees ofthe Company land also ts dlrectorn forthg purp)ses of wmpany 18wI you are rpsponslbb for
the preparatton of ac£ount8 in aecordance Mfilh the requSrern8nts of th& Companies Aet 2006 Ilhe 2006 AeVI.
Hawry satisfied rnysolf that the accounts of the Company 8r8 nol requir￿ to be auditsd under Part 16 of the 2006 Ad
and ar6 eligi￿8 for independent ex8mination, I report in Espect ol rny gx#minath)n of your charity's accounts as carrie¢
out under Section 145 of the Charili8s A¢t 2011 Ilh8 2011 Act'l. In c8rrying out my examinatSon I have followed the
Clrgctions gI￿n by Iha Charity CommissK)n under Section 145151 Ibl ol th? 2011 Act.
Indep•ndent examln•rfs gtatèmtht
I have (y)mpleted my gxamlnation. l Confirm tha¢ no mattars ha￿ comg to my attenth'on In connecion the
examination giwThJ me cause to believe..
8¢counting re￿d5 not kgpt in rnspgct of thg Cornpany as required by sect￿ 386 of th8 2006 Art or
th8 accounts do nol accord wth those r8ccKds", OT
th8 accounts do not comply wilh the accounting re(wirernents of SectK)n 396 01 the 2008 Act other than aw
requirement Ihat the accounts glve a true 8nd fair view whlch is not a matter considered as Part of 01
indgpendent exarninats"on,' or
the accounts have not been prepared in ac¢ordat)ce the m8thods and prin¢iple8 of ststem8nt d
Recommendod Practice for accounting and reporting by charlts"*s (applicab￿ to charitie5 preparing ther
a￿tsun￿ In a￿ance Wth the Finan¢xal Reporting Standard aFyli¢8ble in the UK and Rgpublio ol Ir8land IFRS
10211.
I have no concerns and have coma across no othermatters in crmnectlon wth thg exAmination lo attenlKJn $h)u
be drawn in Ihis report in uderto enable a propar understandlr#J of the accounts to be rea￿d.
Mrs K F Shapcott FCA
M. J. shap￿tt & Co. Lirnited
Chartered Accountants
Chart8r HtsJse, Wyvem Cujrt
Stsni8r Way
D8￿Y
DE216BF
7 February 2026
Page 3

Pulv¢rtaft Hand Charlty
Stat•m¢nt of Flnanclal A¢tlvttloS
Ilncorporatlng an Income and Expendlture A¢¢ounti
forthg Yoar End•d 31 July 2025
2025
Unrestiicted
fund
2024
Total
lunds
Notes
INCO1* AND ENDOWMENTS FROM
Donatkns legacles
540
3,251
Charftsble actlvltle
Goner4
138.414
113,908
Total
138.954
117.159
EXPENDITURE ON
Ralswfvnds
59.871
54,349
Charthlo ac¢lvl¢l•o
Genérl
20,640
56.811
Total
80,511
111.160
NET INCOME
S8,443
RECONCILLATION OF FUNDS
Totsl funds broughtfon¥ard
156,335
150.336
TOTALFUNDS CARRIED FORWARD
214,778
156,335
The noies fomi pgrt of these flnancl81 st#t*nwnts
Page 4

Pufvgrtaft Hand Charlty
Balan￿ She•t
31 July 2025
2025
Unresth¢ted
fund
2024
Tolal
funds
Notes
CURRENT ASSErs
stocks
Debtors
Prepaymenls and accrued inc(*ne
Cash at bank and In hand
1290
8,815
590
211,162
170,157
221,857
170.857
221.857
170.657
TOTAL ASSETS LESS CURRENT LIABILITIES
221,857
170.6S7
ACCRUALS AND DEFERRED INCOME
17,0791
114,3221
NET ASSETS
214,778
156,
FUNOS
un￿strict8￿ funds
214,778
156.335
TQTAL FUNDS
214,77B
156.335
The Charitable company Is entiljed to exèmption from audlt undgr S¥tion 477 of the Companies Ad 2￿6 for the wr
and￿ 31 Juty 2025.
The members have not required the comp8lly to obloln an audlt of Its finonclal statements for the ￿ar endgj
31 Juty 2025 in accordance with Section 476 of the Companles Act 2006.
The trustees a¢knowl8dg8 Ih8ir responsibilities for
lal
gnsuring that the chaiitable company k98ps accoUntiW￿ records that comply Sections 386 and 387 of tto
Companies Act 2006 an¢J
preparfng financial statements whith give a true and fair vlew of the Stste of affalrs of the charitable iyjrnpany Is
at the end ol each financial yoar ard ol Its SLKplus or doficit for each financial year in accordance V￿1h
requirements of S8ctson$ 394 and 395 and which other¥4ise cornply with th8 wuiroments (pl Ihe COrnpan￿$
21)06 relating to finanaal statemertls, so far 8s appjicable to the ch8rit8ble (x)mpany.
Ib
Thosa ffinancial ststsments h8v8 b8en wepared in 8ccordance *lth Ihe provisions 8pplieable lo chartsbl8 (xjrnpanies
subject to the small compani95 regi￿.
T1￿ financial ststements ￿re approved by the Board ol Trust8es and wthorised for on 12 Jamjary 2028 *¥J
were signed on It8 boh81f by..
C Hgr8S-P8b>J- Trustee
Th& notes form part of Ihg8* fin8ncl81 statements
Page 5

Pulvertaft Hand Charlty
Notes to the Flnanclal Stst¢rnents
for the Y¢or Ended 31 July 2025
ACCOUNTING POLICIES
aSi5 Ot preparing th• financial slatsmonls
The financial Statements of the charitable company, whleh is B wblc benefrt entity under FRS 102, hav9 Lwn
i￿Pared in a￿ordanCe with Ihe Charities SORP IFRS 1021 ACCOUn￿ng al￿ Rewrbng by Charities.. Statement
If Recommended PractlC8 applicable to charitses preparing th&ir accounts in accordance with the Financial
Reporting Standard applicable in the UK and Rèpubllc of Ireland IFRS 1021 leffectiv8 1 January 20191.. Flnanclal
Reporbng Standard 102 The Fi$7ancial R8porbng Standard applicab￿ in the UK and Repu￿￿ ol Ireland, and th8
r￿panIeS Act 2006. The fiTh9n¢￿1 8tatsments havg trogn prapafèd Und￿ hlstodcal cost ¢onventDn.
The prosentation currency of Ihe financial slatgm¢nt$ Is thè Pound Storfing (£1.
mo
D￿￿10n0. legacie8 and similar ￿cOMIng r850ur¢•s
These aro included in th¢ Statement of Finan¢i81 Actiwbès ISOFAI ￿art".
The charity becLJmes entilla to the donation, legacy or slmllar Intom8 and any ¢￿d0￿cl)s1Or recdpt are met,.
rh8 tru5t8es ar8 rgasonabty certsin they will receive it.. and
The trusto6s are roasonabty certain that the value can b9 reliawy m¢&sur8d.
rax r•¢lalm$ on donatlon$ and gifts
hcoming re50urc88 from tsx claims a￿ induded (#) the SOFA as th8y are T8tsiv8d from the Inland Revenu&
thèn applieablo.
h¢oming r•sour¢os from fund ral$lng
Th8s8 8re reported gross ill the SOFA.
GSfts in klnd for sale or dlstrfbullon
These ere intKJded in th8 8ccounts as gilts only bvhen sotij or diStrit￿ted by Ihe charity. Grfts in kirKI 8rè
counlgd for at a reasonab￿ 8Stlmat• of thoir waluè to the charlty or Ihg amount rgC8iV8d.
Gifts in klnd for us• bylh& charfty
Ihese are in¢I￿led in tho SOFA as incomlng resour￿ *fien rec8lvabb.
tsngIb￿ Ineomè {•0 donat•d la¢llltle81
This is only included in incoming resources an equivalent amount in resources 8XP8ndedl vthere another
[4ty Is bearing the financial cijst ol the rgsources suppliod and the bonefit Is ouanb"fiable. receIva￿e and
material. Intsngiblg income 18 V81ued at the lower of cost bome by the party be8riro the c08t and 8 r88sona￿a
ptstimate of the value ol the don8lion to the tharity.
Volunteer help
The valw of aDy voluntser help rgceived18 Indud8d in Ihe accounts.
Inv•sthwnt Incomo
Thls and any asscthted tax ¢redit is indudgd in the accourrt5 Trhhen reteivable.
Expendlture
Uabilitlos are rowgnlsed as exp8ndliure as socm as Ihgre 15 a 18gal or construGtive Obliga￿On c(¥nmitting the
¢hanty to that expenditurg, It is probable that a tran8fer of 8(x)nomic benèfits VAII be roqulred in seiuement and
e aTTh)unl of the obligation can be measured reliably. Exp8ndi14Fre Is accounted for on an accruals bags and
s bèèn cLfjssthed undar headings that aggregate all cost r91at8d to the catogory. Where o)sts cannot be
threclty attritvjted to particular headings they have been allocated to acti¥￿eS on a bhsis consistent the use
of resourees.
Grants offered subject to conditsons whKh have not be8n met at thg yo8r end dat¢ are noted as 8 commlthent
Jt not accrued 08 8xpendI￿r8.
Sto¢k$
Stocks arg valu8d at the lower of cost and net realSsable value. after making du8 allowancé for {￿801￿18 and
sbw moving items.
T￿￿tiOn
The Charty is exernpt from corporalK)n lax ¢)n its charitab18 activities.
Fund aceountlng
Unre$tri¢ted funds G9n be u$ed ￿ 8cu%d8nce with the c￿rItable objectives at the dl8creb.on of the truste88.
Page 6
conlinu$d...

Puhrtaft Hand Charfty
Not•s to the Flnanclal Stat•m•nts- cont5nugd
for the Y•Ar Ended 31 July 2025
ACCOUNTING POUCIES - ￿ntInUed
Fund •ccountlng
Restricted funds can only b8 U58d for parfi¢ular reslrfded puws wpthin thè obja¢t5 of th8 charity. Restr￿110*
arise when specffi•d by the donor Or￿then fiJnd9 raised for partrcular resmctsd pu￿)588.
Further explanatnn of tho naiura and of •8eh fund 1$ included in the notes to Ihe finarKial 8taternents.
TRUSTEES. REMUNERATION AND BENEFITS
Th#r8 ￿ere tNstees' ramun8ration or other b￿•fi(B fef thg year ended 31 Juty 2025 nor for the y8hr enddl
31 July 2024.
Trust•eB' •xp•n•
There wwe no trust885' expenses pald for tha yoar ended 31 July 2025 rK)rts the year ended 31 July 2024.
COMPARATIVES FOR ThE STATEMENT OF FINANCIAL ACTIVITIES
Unrestrided
fund
INCOME AND ENDOWMENTS FROM
DOnats"0￿5 and ￿8cleS
3.251
CharFt•ble aGtiviti•8
C*neral
113.906
T4)tal
117,159
EXPENDtruRE ON
Raising funds
54,349
Charitable activltlg$
G8ngral
56,811
Totsl
111,160
NEf INCOME
5.999
RECONCILIATION OF FUNDS
Tolal fvnds brought forword
150,336
TOTAL FUNDS CARRIED FORWARD
1￿,335
STOCKS
2025
2024
Stocks
1,290
500
Page 7
continued...

Pulvertaft Hand Charfty
Notes to the Finan¢lal Statsm•nts- ¢ontlnu•d
for the Y•ar Ended 31 July2025
tÉBTORS: AMQUNTS FALLING DUE W￿H1N ONE YEAR
2025
2024
Trade debtors
8,815
ACCRUALS AND DEFERRED INCOME
2025
2024
k4)vals pnd defeThed Inc<>m6
7,079
14,322
IOVEMENT IN FUNDS
Net
movernant
infw
At
31.7.25
Ai 1.8.24
Unre8trictod funds
GenefW fund
156.33S
58,443
214,7T8
TOTAL FUNDS
1S6,335
58,443
214.778
Met movement in funds. Includad in the al￿2V¢ are as follows".
Incomlng
resources
ReSou￿e$
8xwided
Kknm8nt
in fvnds
nr•strkted funds
C*neTal fund
138,954
180,5111
58,443
TOTAL FUNDS
138,954
180,5111
$8,443
Comparntlv•$ for mov•mont In funds
movernant
in bJnds
At
31.7.24
At 1.8.23
Unrestricted fund•
General fund
150,336
5,999
158,335
TOTAL FUNDS
150,336
5,999
156.335
Comparative net movement in funds, Includèd In the abovè are a$ fouows..
Ineoming
rgsources
Resource$
expended
Movement
in fund3
Unr•strl¢tsd funds
G8n8r81 fund
117.159
1111.1601
5,999
TOTAL FUNOS
117,159
1111,1601
5,999
Page 8
eontlnued...

Pulwertth Hand Charlty
Not•s to the Financ￿1 Statements . contlnued
for the Yaar End•d 31 July202S
MOVEMENT IN FUNDS- ¢ontlnuod
A current year 12 rrtsnlhs and prior y8ar 12 rnonlhs uJmbin8d posllk)n Is as follow3..
movern8nt
in fvnds
At
31.725
At 1.8.23
Unr•8triGted lunds
General fund
150.336
64.442
214,7T8
TOTAL FUNDS
1SO.336
64,442
214,778
A curyent year 12 r(KX)ths and prfor yeJr 12 months combined net movgment In funds, included in tho above w9
a5 follows-.
Incoming
resource3
Resour
e)￿en￿l
Movement
in funds
Unrestrlctsd funds
Generdl fund
256,113
1191,871}
64.442
TOTAL FUNDS
256,113
{191,6711
64,442
RELATED PARTY DISCLOSURES
There wgre no felated pwty transactions for the year erKled 31 July 2025.
CAPITAL GUARANTEE
Each memb8r has undertaken to contrlbute to ihe a35ets tsl tha tompany In the 9Vgnt of thè same belng wound
up. such amounl as may be required noi exce8ding £10.
10.
INDEPENDENT EXAMINERS REMUNEIIATION
Feas payaNe to th8 Charrws independent 8X8rniner k*r the independent examinalJon'. £499.20.
Fees payable to Ihe Charitys indepeThlent examlner for ￿Count￿neY and other S8￿CeS.. £1,236.00
Page 9

Pulv•rt*ft Hand Charity
tletailed Statement of Financial Actiwti•s
fortha Year Ended 31 July 2025
2025
2024
INCOIE AND ÉND¢)WMENTS
Donalins and lryaclo$
DonatKns
S￿)dry1)Come
3.251
3,251
Charflthlg A¢tiviti08
Cour58f88S
138,414
113.908
136,954
117,159
EXPENJrruRE
Othrtradlng actlvttt•s
Cost rfwurs8 prov1810n
59,871
54,349
Cmritthle actiwties
PostaJe8nd $tstionery
SU￿
Eqilpmnt fep8ir and repk¢ements
Grantsty) In$Otutk)n6
4.869
12,961
3,434
25,465
1,239
25,000
18,776
55,138
SupJ>xtcosts
Gowmance c96ts
Actountsncy and legal fees
1.864
1,673
Totsl r*ur¢es 8ypended
80,511
111,160
Net IKoma
58,443
5.99g
Thfis pap does r#)tfcxm of tha staiutoryfinancAal statsmants
Page 10