Company registration number 04530654 (England and Wales)
Charfty registratlon numbèr 1097354 (England and Wales)
KERNOS CENTRE
ANNUAL REPORT AND UNAUDITED FINANCIAL
STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025

KERNOS CENTRE
CONTENTS
Poge
Trustees report
Independent oxaminefs report
Statèment of finanual acbvities
8aLance sheet
Note5 to the financial 513tements
7-14

KERNOS CENTRE
TRUSTEES REPORT (INCLUDING DIRECTORS. REPORT)
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Thg Trustee8 pl￿nt t￿￿ annual reF*yi and finanraal statement5 for the year •nd*J 30 Septaftknr 2025.
The financial 5t8t¢ments have been prepared in accordance with the accountsng policies set out in nole 1 to the
finanaal statem¢nls and comply wrth Ihe entrty's goveming document. the Companies Acl 20LIS, FRS 1Q 'The
Finanual Reportsng Slandard applicable in the UK and Rèpublic ol Ireland. and the Chanties SORP 'kcounting
nd Reporting by Charrties" Staternnt of Recommended Practsce applicable lo ¢hafrties prepafing theii a￿ntS in
aw)Idance with the Flnanual Reporting Standard applKabk In Ihe UK and Republic of Ireland IFRS 1021"
Objectlvu and •ctlvltl
The tharity s exdu$ivè chantal￿* object Is to provmle couns•lling an¢J supporl servi¢4s to peoplo with Omotr'onal and
psychological drfficullies from a wde vori&ty of causes by Ihe provision ol 8 Cent￿ ol exceller￿.
The Iru5tges confirn that they have referred to th• guidan¢x ¢Mtain8d in tha Charity Commission's g¥n•ral
guidance on public ￿nefi1 wthen reviowing the tharrty's aims arwj otiiecb'ves •nd in planning future acttvili¢8.
The tharity carries out 1tt88e obiec*s by..
Counselling individu•l$ is not ¢Mfined by IAIig LY ri)Bt •$ th8 th¥rrty bel￿ve$ it i¥ •88ential lo ¢ontinue
therapy for as bng 85 il is roquired. Many people Ore unable to afftyd private ￿￿nSelling and th• charity enable$
ihose wrthout suth means to berbefft Irom the eypertis¢ available at the cenlre ts as long as required.
Much work has been donè on the value lo soaety of eaty inter¥entK>n fof those wrth gmotional p$ychologieal
problern5 and the charty's aim Is to this by way of attractin9 granls and donatKJns In order lo finance
counselling. Wrth I￿￿e lunds significant be￿rrt rart b• aCh￿ved lor those who woukj olherwise b• unable lo
participate in Iherapy. resulting in potèntialty adverse ¢Msequences for themselves and SOfAety in ggneral.
Th¢ ineomo Off￿ tr>np8ny muBt be ap￿1¢￿ onty tv*ards th• W￿not￿l￿ of 11$ obpcts •¥ set in IIB ￿em￿￿dUm
•nd Artide¥ olAuoaation.
Publle b•n•fit
Th• Tnjstees hove paid due regard to guid8rK• iSSL*d by th? Chanty Cc¥nmiu•)n in d•¢iding what aLli¥ilies lh¢
ontity 6hould undèrtakè.
Volunt••rn
TnJste•8 and Mem￿r5 ar¢ unpaid volunt••rn.
A¢hl•¥•m•nts and p•rfomi•n
In considering the outk)ok for 2026 we are ￿n￿Ag•d by the succ4s6 we aig having in faising more grants and Ihe
efforts made by rnany supporters. both within the d)airty and ¢yJ¢side. in thwr lundraisin9 efforts. We a￿ also
8ddr8ssing counselling capacity and attendan(x perlomancè by our clients in an effort lo in¢rèase tho number ol
counselling sessions we can athieve tn Ihe o)ming y•ar. T￿S hvJher capauty and the contsnuing cost ol the
transition programme wll of course need lo be met by h￿tter ir£ome but we havtr m•J• an ¢ncoura9ing Start to
2026.

KERNOS CENTRE
TRUSTEES REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Flnanclal rtview
Income rose by 23% to £151.127 in Ihe year lo September 2025 thanks to the budgeted increase in knding from
Ihe National Lottery I nsing £2.6fK) to £48,1WI and a belter ouicome in winning other restricted graftls lup from
£11,210 to £30.2661. This ￿flected the greater efforts that were made in the ye8r lo win giants. as did the
improvement in fundraiwng income. vthich increased from £2.3eé to £7,387.
Costs wer$ 6% higher at £149.691. This increase was a t1ir¢d resuh of the need to transi¢Jon the office systems
frorn paper based to digrtal systems and was amelioratet11o some e￿ent by the reduced costs deriving from a 15%
duL#ion in the numb•r ol couns•lling sessi*M undertaken during Ihe year.
Our lolal r•serve position remained steady at £67.B08 at the end of the year compared ￿th £&S.372 la$t year, ol
which 41% were ￿stn￿ed bjnds, leaving £39.508 as fvee reserv¢3 These unrestricted reservè$ are Lyoadly in line
with our Oicy to maint8in free re￿r¥e$ to cover approximatety su months of fixed costs.
Prlnclpal lundlng •ouvc
Th• Chartty is prinapolly knnded by gfants Irom Various bodies detsiled in the accounts. room hiTr rev•nue,
donations from our cli*nts. other supporb'ng rndmduals and organisations and lundraising acl1vrt￿S
The truste￿ conlinue to appty for more fund8 from gr•rrt ma￿"n4 bodtes and pursue r•f¢rring 8901￿$ lor finonry81
upport lo eslabli$h means by wh￿h fvndin9 ¢an follow 8 dient to the Kemos Cent￿.
Re8•rrfe• polley
The c•ntre retains • resem of 6 months fixed costs In free reseN•s. This pro¥￿e5 for financial re8eNè$ lo be get
asida lo ensure that the centre can continye to operat* •nd meet the needs of dienls in lh• event ol ufitsxpecled
contingencies IndLMling a ¢¢￿110n or inlemiplion of part of its funding.
StNctur*, gov•m*nc• •nd m¥nag•m•nt
Th• company was incorporaled ￿ 10 Seplemb•r 2LX)2 The tharity IB controll•d by rts govemin9 docurnents, a
deed ol trust, and constitutes a limrted o)mpany. limM•J by guarantee and has no share capital #s defined by tho
Compan*8 Act 20C6.
The Iruslees who are also th• dire¢lors lor the purp)se of c4Jmpany W. aThJ who sthyed during the y••r and vp to
th• date ol swJn8ture of the fin8ntJal Statements were.
Mrs CM BOa￿ng￿l
Mr PJ Brown
Mr GB Hill
Mrs K Smotjl
Mr DP Morris
Mrs M Argent
Mrs Janet cra￿e¥
John Franu$
Adam Tozer
Mis Linda 155ac
(Resigned 28 Apnl 20251
(AppointÈd 10 March 2025 And resNJned 30 May 2025
(Appointed 8 January 20251
(Apwinted 6 January 20251
(ApF¥)inied 17 October 20251
R•crultment and •ppolrrtm•nt of tru•tees
The Board has the power to appjint •dditicfflal Iws1￿ 08 rt cons#1ers fft to th) so.

KERNOS CENTRE
TRUSTEES REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Organisational strueturn
The company has lour registered members who have each undertaken to contritxrte an amount not exce£ding ten
pounds to the assets of the wmpany in the evenl ol the Company bw.ng wound up. The statutory recor(ts state the
obligation as <)ne pound per rnefflbef. The Chanty is organtsed so that the trustees have regular general rneetings
comprisin9 of elected and nominated members lo discuss pfogres5. ath"vrties, fvndraisin9 and administrats"on. AJI
directors of the company are also trustees ofthe tharity, and there are no othef trustees.
The rgport has been prepared in accordarKe wth the provisions appliGat￿e to compani85 •nI￿ed to the small
companie$ exemption.
The trustees, annual re￿￿t was approve(l on ... .
. and S￿ned on behall of the board oftruslee5 by..
Date..

## **KERNOS CENTRE** 

## **INDEPENDENT EXAMINER'S REPORT** 

## **TO THE TRUSTEES OF KERNOS CENTRE** 

I report to the Trustees on my examination of the financial statements of Kernos Centre (the entity) for the year ended 30 September 2025. 

## **Responsibilities and basis of report** 

As the Trustees of the entity (and also its directors for the purposes of company law), you are responsible for the preparation of the financial statements in accordance with the requirements of the Companies Act 2006. 

Having satisfied myself that the financial statements of the entity are not required to be audited under Part 16 of the Companies Act 2006 and are eligible for independent examination, I report in respect of my examination of the entity's financial statements carried out under section 145 of the Charities Act 2011. In carrying out my examination I have followed the Directions given by the Charity Commission under section 145(5)(b) of the Charities Act 2011. 

## **Independent examiner's statement** 

I have completed my examination. I confirm that no matters have come to my attention in connection with the examination giving me cause to believe that in any material respect: 

- 1 accounting records were not kept in respect of the entity as required by section 386 of the Companies Act 2006. 

- 2 the financial statements do not accord with those records; or 

- 3 the financial statements do not comply with the accounting requirements of section 396 of the Companies Act 2006 other than any requirement that the financial statements give a true and fair view, which is not a matter considered as part of an independent examination; or 

4 the financial statements have not been prepared in accordance with the methods and principles of the Statement of Recommended Practice for accounting and reporting by charities applicable to charities preparing their financial statements in accordance with the Financial Reporting Standard applicable in the UK Vincent Chandler FCA FCCA and Republic of Ireland (FRS 102). **---'\J•=** I have no concerns and have come across no other matters in connection with the examination to which attention shour be drawn in this report in order to enable a proper understanding of the financial statements to be reached. '- . 

Independent Examiner **Moore Green** 

22 Friars Street Sudbury CO10 2AA 

Dated: .....21.04.2026................... . 

- 4 - 



KERNOS CENTRE
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Unrestricted Restricted
fund$
funds
2025
2025
Total Unrestricted Restricted
lunds
fund¥
2024
2024
Total
2025
2024
Note8
Income and andowments from:
Donations and legaryes
Charitable actiwties
other trading activitie¥
Other income
25,284
34,734
7.387
5,356
78,366
103,650
34,734
7.387
5.356
22.232
37,387
$6,710
78.942
37,387
2.366
4,209
4,209
Totsl incom•
72,761
76.366
151,127
66,194
56.710
122.￿
Expgnditur• on..
Charitable activities
149.350
341
149.691
141.173
456
141.629
Total expendlturg
149.350
341
149.691
141,173
456
141.629
Net incomèllexpenditurel
6,5891
78.025
1,436
174,9791
56.254
118,7251
Transfers betrleen
funds
57.439
157.4391
72,086
172,0861
Net movement in
funds
119,1501
20,586
1.436
12.8931
115,832}
118.725
Recon¢ili?tign of funds..
Fund balances at 1 October
2024
58.658
7,714
66,372
61,551
23,546
8S,097
Fund balances at 30
Sept•mber 2025
39,508
28.300
67,808
58.656
7,714
.372
The ststemenl of financial aciivities includes all gains and losses reryjgnised in Ihg yèar. All itYLJme and expenditure
derive from continuing activittes.

KERNOS CENTRE
BALANCE SHEET
AS A T 30 SEPTEMBER 2025
2025
2024
No
F4xed assets
Tangible assets
11
1,616
2.159
Current assets
Debtors
Cash at bank and in hand
12
3.125
71,476
3.108
69,747
Creditors.. amounts falling due wlthin
one year
74.601
72.855
13
18,4091
18,6421
Net curr•nt assets
66,192
64.213
Total assets le￿ current liabilltlès
67,808
66.372
The funds of the entity
Restricted income fund8
Unrestricted funds
15
16
28.300
39,508
7,714
58,658
67.808
66,372
The cornpany is enliued to the exemption from the audit requirement contained in section 477 of the Companies Ac¢
20C6, lor the year ended 30 Seplernbei 2025.
The directors acknowledge their responsibilities for complying with the requirements of the CornpaThé$ Act 2C¥J6
with respect to accounting records and the preparalion of financial statements.
The members have not required the company lo obtain an au¢Jit of rts finanaal 5taternents lor the year in question in
a￿rdance with se￿19n 476
Thes& financial statements have been prePa￿d in accordance with the provisions applicable to companies subject
to the small companies regime.
The financial statemen
were approved by the Trustees on ......
os
B Hill

KERNOS CENTRE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Accounting policies
Charity inforniation
Kernos Cenlre is a private company fimited by guarantee ingyporated in E￿land and Wales. The r¢gi$to
office is 22 Friars StTeet, Sudbury. Sulfolk. C010 2M.
1.1 Basis of preparation
The financial statements have been prepared in ￿￿Or￿an￿ with the entys go¥èmin9 d￿Ment, the
Companies A¢t 20(A, FRS 102 The Finanoal ReFK)rting Standard applicable in the UK and Rèpublic ol
Ireland" and the charib.ès SORP "Accounb'ng and Reportin9 by Charities. state￿￿nt of R￿OrnMended
Practice applK8ble to chatrties preparing their a￿OUnts in a(wrd9n￿ wth the Financial Reporting Standard
applicable in the UK and Republic of Ireland IFRS 1021". Thè entrty is a Publ￿ Benefft Entity as drfined by
FRS 102.
The enlity has taken athiantage ol the provis*Jns in the SORP ts thaiilies not to prepare a staternent of cash
Ilows.
The financial slatements are prepared in sterfing. which is ihe ftJn(*"onal ¢urrency of the entty. Monetary
amounls in these financial ststemènt$ are rounded to Ihe neaiest £.
1.2 Going concem
There are no material uncertainties abcrtrt tharity$ ability to continue.
1.3 Charitable funds
Uniestricted fvnds are availat4e ts use at the disuetK)n of the Tmstees in furtherance of their charitable
obiedN85.
Designated funds comprise fijnds which have I￿n set asi¢Je at the di$￿tIOn of the Tnjstees for SFecific
purposes. The purposes and uses of Ihe designate(l ft&nds are set out in the notes to the finatKial statements.
Restrided fuThJ5 are subpd to SF4afic coN1itKMs by tkn￿$ ￿ grant(ws as lo Ihey may be usgd. The
purposes and uses ol the restn.cted fuThJs are set out in the rKJtes to the finanrbal stat8ments.
1.4 In¢om•
Incorne is recognised when the entity is 199ally ent￿8￿ to it after any performance cond￿￿On5 have been rnel.
the amounts Gan be meawred reliabty, and rt is pr¢)baL4t that M)come will be received.
Cash donation5 are recogni5ed on receipt other donatlOW15 are recognised once the entity has been notified
of the donation, unless perfomance COnd￿.0nS require deferral of the amount Income tax recoverab￿ in
relat50n to donatKJns receNed under Gift or deeds ol o)venant is recdO9nisgd at the timg of the donation.
Legaries are recogntsed on T￿lp1 or (rthe￿ile rf the entty has been notrf￿d of an impènding distsibution,
the amount Is known, and r￿elp1 is expeded. 11 the amount is not kntr*m, the legacy is treated as a
contin9ent asset.

KERNOS CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Aecounting policies
(Continu￿)
1.5 Expenditure
Expendrture is recognisecl once there is a legal or constructive obligation to transfer economic bènefit to a
third party, rt is probable that a transfer of economic benefrts will be required in settlement, and the arnount of
the obligation can be measured reliably.
Expendrture is dassffied by activity. The costs of each actNity are made up of the total of costs and
sha￿d costs. including support costs involved in undertaking each activity. Direct costs attributable to a single
activity are allorated directly lo that 8Ctivity. Shared costs which contribute lo more than one activity and
support costs which are not 8ttributable to a single activity are apportioned between those activit*s on a basis
consistent with the use of resources. Central staff costs are allocated on the ba518 01 time spent. and
depreciation charges are allocated on the portion tsf the asset's use.
1.6 Tangible fixed assets
Tangible fixed assets are initially measured at cost and subsequently measured at eost or valuation, net ol
depreuation and any impairment lossès.
Depreciation is recognised so as to write Off the cost or valuation of assets less their residual values over their
useful lives on the ftsllowing bases".
Fixlures, fittings and equipment
25% reducing balance
1.7 Impairment of fixed assets
Al each reporting end date, the entty rewews the carrying amounts of ils tangiblè assets to determine whether
there is any indic8tion that those assets have suffered an impairment 1055. If any such indication exists. the
recoverable amount ol the asset is estsrnated in order to dèlerniine the èxtent of the irnpaiment105s lif anyl.
1.8 Retirement benefits
Payments lo defined contribution retirement benefit schemes are charged as an expense as they fall due.
1.9 Limited by guarantèe
The charity is a company incorporated in England and Wales and is limited by guarantee. In the event that the
charty is wound up the liability of each member is lirnited to £1.
Ineome from donatlon8 and legaeies
Unrestricted Restricted
funds
funds
2025
2025
Totsl Unrestricted Restricted
funds
funds
2024
2024
Total
2025
2024
Donation8 and gifts
Grants
25,284
25,284
78,366
22.232
78,366
22.232
56.710
56,710
25.284
78.366
103,850
22,232
56.710
78,942

KERNOS CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Incom• from donations and legacies
(Continued)
Unr8Stricted R•strictsd
funds
fundB
2025
2025
Total Unywtricted R•striet•d
funds
funds
2024
2024
Total
2025
2024
Grants
Suffolk Community
Foulldation
Bures Music Festiv81
Tudwick Foundation
Colthestgr Catalyst
Great Comard Parish
Council
Lottery
Other
7.500
2.000
3,000
7,568
7,5CQ
2,000
3,000
6,000
750
750
1,2
48,100
9,000
1.200
48,100
9,000
1.1CK)
45.5
1.100
45,500
78,366
78,366
.710
56.710
In¢omg from ¢haritable #etivStie¥
Unrestricted
funds
2025
Unre8tri¢ted
funds
2024
Sale of SerV￿S as part of direct charrt8blè actNItiès
34,734
37,387
Incomg from othgr trading a¢tivitig8
Unr•strSetsd Unrestrict•d
funds
funds
2025
2024
Fundraising events
7,387
2.366
Oth•r ineom•
Unrestrlct•d Unrèstrictèd
funds
funds
2025
2024
Grft Aid
5.356
4,209

KERNOS CENTRE
'OTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Expenditure on charitable aetivibes
2025
2024
Direct costs
Staff costs
Depreaalion and impairment
Counsellorfs fees
Superv1310n costs
Rent
Rates and water
Light & Heal
Repairs & Maintenance
Insurance
Telephone
General administiative expen8es
Postage, stationery and prrnting
A(Jvertising and website
AC￿untancY fees
16,576
542
73,084
6,397
724
87.755
7,518
9,6(10
716
3,602
326
1,725
932
25,649
872
750
2.848
1.293
1,903
1.141
33.041
247
1,8
1,320
149,691
141,629
Anatysis by fund
Uniestricte¢J fvnd5
Restr￿e￿ fund5
149.350
341
141,173
456
149.691
141.629
Net movement in fund
2025
2024
The net ￿￿erne￿t in funds is stated after Charg￿￿{C[ed￿"ng)".
Fees payable for the indepeThJent examination of the tharrvs finan081
statements
Deprec4atltsn of owned tangible fix￿1 assets
1,320
724
542
Trustees
None of the Trvslees lor any persons wnnetted wrth thernl rtt*ved any remLrnerakn"on of benèfits from the
entity during Ihe year.
Travel l a¢Jministration rxTrSts amounling to nil (2024_ £nil) were reimbursed to no t2024_ nol memberls of the
mana9emeni committee. Of amwnt nil {2024. £rrill was donated bath to the centre as donat￿$.
10-

KERNOS CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Employees
The aver8ge mnthly numbgr ol èmpyoyees durirvJ t￿ year was.
2025
Number
2024
Number
Employm•nt eo•ts
2025
2024
Wjges and sal8rig¥
Other penBiort ¢ost8
16.398
178
16.576
Th¢ chority UBOS Outsourced counsellofs and volunteers •knng with Ihe Trust￿ giving thelr timo free 01
¢harg8.
10 Ta￿119ft
The ¢h8rity 18 exempt from tax¥lion on its acts"vities becaus¢ al its income ￿ •Pp1h￿ for tharitabl¢ purpos83.
11 Tanglble fIX￿ *•*•ts
Flxlur•B.
•gulprn•nl
Co•t
Al 1 Oclob•r 2024
9.884
AI 30 Sept￿nbel 2025
9,884
Depr•clatlon and Impalm•nt
Al 1 October 2024
Depveaation charged in the ye
7.726
542
At 30 Septèmber 2025
8.268
Carrying •mount
At 30 September 2025
1.616
At 30 Septernber 2024
2.159
11

KERNOS CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2025
12 Debtors
Amounts falling duè ￿thIrt ont year=
2025
2024
Trade debtcKs
Prepayments and acc$u￿ i
45
3,125
3.125
3,108
13 c￿ditors.. amounts f•lling due within one year
202S
2024
Trade creditors
Accruals and defeTi8d Inco￿
5,113
3,296
6,687
1,955
8.409
8,642
14 Retirpmertt ￿nefIt #chemes
Defined eontrlbution schemes
2025
2024
Charge lo profrt or loss in respeiA of defined 0)ntr*JUtK￿ schemes
178
15 Restrict•d funds
The r&stricted lurTrds of the chanty comwtse the U￿Xpended balances of donat￿nS and grants held c¥) trust
Svbject to speufic conditions by donors as to they may be used.
At 1 October
2024
Incoming
r•sources
Regouree5
expended
Trnnsfèr¥
At30
Septembèr
202S
7,714
78.366
(3411
{57,4391
28.300
Previous y•ar.
At 1 OctC*b•r
2023
Incoming
resources
Resources
expended
Transfers
At30
September
2024
23.546
56.710
14561
(72,088}
7.714
12-

KERNOS CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2025
16 Unrestrict•d fund¥
The Jnrestn(led funds ol the tharity comprise the unexpended balances of donations and grant5 wh￿h are
not subject to specific condrtions by donors and grantrKs as to h(Mf Ihey may be used. These indude
designaled funds whith have been set as¥Je out of unrestsicled funds by the trustees for 5peafic Purposes.
At 1 Octobtr
IneomSng
2024 resources
Resource¥
expended
Transf•rs
At30
Sgptomb•r
2025
General fttnds
72,761
1149.39))
57,439
39,508
Previou$ yèar.
At 1 (ktober
2023
Incoming R•sources Transfers
resour
expend•d
At30
September
2024
General funds
61,551
66.194
1141.173)
72,086
58,658
17 Anatysls of net assets betwoen funds
Unrestricted Re¥trfclOd
funds
funds
2025
2025
Totsl
2025
At 30 Sèptgmb•r 2025:
Tangibk assels
Current assetsllliabilitiesl
1,017
27.283
1,616
66.192
38.9)9
39.508
28.300
67,808
Unrestricted
funds
2024
Restricted
funds
2024
Total
2024
At 30 Sepiember 2024:
Tarsgible assets
Current assets1O￿bI1theS)
801
57.857
1.358
6.356
2,159
64.213
$8,658
7,714
66,372
13-

KERNOS CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2025
18 Opgrating le￿ c¢)mmitments
At the rep)rting end ¢Jate the entty had outstandirKJ commitment$ for futu￿ minimum lease payrnents under
non-cancellable operating leases, whKh fall due as folkyws..
2025
2024
thin one year
19 Related party transactions
The￿ were no ¢JiscIosa￿e related party transath.ons durirKJ the year (2024- none).
14-