Charity Registration No. 1100348
HIZEN FOUNDATION
TRUSTEES. REPORT AND UNAUDITED ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2022

HIZEN FOUNDATION
LEGAL AND ADMINISTRATIVE INFORMATION
Trnsteos
Mr J Humm
Miss A Hosono
Mr J Martin
Miss H L Lok
Charity number
1100348
Principal addrts$
113 Grangehill Road
Lon¢Jon
SE9 1SF
Bankors
Unity Trust 8ank

HIZEN FOUNDATION
CONTENTS
Page
Trustoés. Report
sM¢ment of financial activilies
Balan¢• Shoot
Not•s to th• accounts

HIZEN FOUNDATION 

TRUSTEES’ REPORT 

## FOR THE YEAR ENDED 31 MARCH 2022 

eenSas AE i od! rae The trustees present their report and accounts for the year ended 31 March 2022. 

The accounts have been prepared in accordance with the accounting policies set out in note 1 to the accounts and comply with the charity Charities Act 2011 and the Statement of Recommended Practice, "Accounting and Reporting by Charities”, issued in March 2005. 

## Structure, governance and management 

The trustees who served during the year were: Mr J Humm Miss A Hosono Mr J Martin Miss H L Lok 

Objectives and activities The chantty’s objectives are promotion of community participation in healthy recreation for the benefit of the inhabitants of inner London by the provision of facilities for learning kendo and other similar sports. The trustees have paid due regard to guidance Issued by the Charity Commission in deciding what activities the charity should undertake. 

On bahalf + dial gs of trustees Y- : Med Hunn Chairman Dated: 23(12\2%72. 

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HIZEN FOUNDATION
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2022
2022
2021
Incomlr
resources from
Donations and legacies
Invesimeni itFcome
enerated funds
30,292
8,434
20
30,301
5,190
other Incnmiro resources
4.737
Total incomin9 yesour￿$
35,491
13.191
Resources ex
Charitable activities
Depyeciation of Fixed Assets
1,251
45
Governanoe c03
10,oa?
7.896
Total resources expended
19,290
7,941
Net expenditure for the yearl
Net movement in funds
16.201
5.250
Fund b818nces at 1 April 2021
31.064
25,814
Fund balan￿5 at 31 March 2022
47.265
31,064

## HIZEN FOUNDATION 

## BALANCE SHEET 

## FOR THE YEAR ENDED 31 MARCH 2022 


**----- Start of picture text -----**<br>
oo eeeeeSeSeSSSSSSFSFSMSSSSmmmsSsesesesFFFFSsSsSs—S—SsSs<br>2022 2021<br>Notes £ £ £ £<br>Fixed assets<br>Tangible assets 7 3,709 4,960<br>Current assets<br>Debtors 8 4,124 950<br>Cash at bank and in hand 41,746 25,154<br>45,870 26,104<br>Creditors: amounts falling due within<br>one year 9 (2,314) -<br>Net current assets 43,556 26,104<br>Total assets less current liabilities 47,265 31,064<br>SS SSS<br>Income funds<br>Unrestricted funds 47,265 31,064<br>47,265 31,064<br>**----- End of picture text -----**<br>


The accounts were approved by the Trustees on 


**----- Start of picture text -----**<br>
YY<br>Mr J T Hurt<br>Chairman<br>**----- End of picture text -----**<br>


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HIZEN FOUNDATION
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2022
l Aecounlifig policies
1.1 Basis of preparntion
The accounts have been wepared under the historical cost convenlw)n.
The accounts have beon prepared in aCcO￿ance wth 8ppIl￿ble accounting standards. the Statement
of Recommended Practice, "A¢￿UntINj 8ThJ Reponirvj by Chartties". Issued In March 2005 and the
Chanlies Act 2011.
1.2 Tangible fixed asséts and dèprÈciatton
Tangible fixed awts are #ated at cfjst less deweuation. Depre￿atiOn is provideA at rates cal¢ulated
to write off the cost less eslimated residual value of each asset over its expecl&J useful life. a5 follows..
Plant and amchinery
25% straight line bass
2 Donations •nd199acies
2022
2021
Donation5 and gifts
30.292
8,434
3 Inveslment incoffle
2022
2021
Int8resl receivable
4 Other Sncomln9 resources
2022
2021
Membership fees
5,190
4,737

HIZEN FOUNDATION
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 AIARCH 2022
S ToLI1 resources expended
2022
2021
haritable aclNities
Oepre(iatron of FA
1.251
45
Goveman¢• costs
18.039
7.896
19290
7.941
Govemance costs comprised of:
Rent
Insurance
Travelling
Legal and professional
Accountsncy
M8n8gemenl 8nd alministralknn
Mo•tings and pros•nlgtions
Bank charges
Cleaning costs
Eundry ¢xpenè¢¥
11200
180
5.675
454
122
6 Trustees
Mr J T Humm received remuneratv)n of £5.QQO duiirvJ the year for his seNices.
7 Tangib￿ fixed assets
Plant and
machinery
C¢)st
At 1 April 2021
Adthb'ons
At 31 March 2022
17.506
17.586
Depreciation
At 1 April 2021
Charge for the year
At 31 March ZQZZ
12,626
1,251
13,877
Net book value
At 31 March 2022
3.709
At31 Mareh 2021
4,960

HIZEN FOUNDAnON
NOTES TO THE ACCOUNTS {CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
8 Dèbtors
2022
2021
Olher debtors
4,124
950
9 Cr•ditors: amounts falling due within one year
2022
2021
Other creditor
Accruals and deferred income
2.314
2,314