Charity Reglstratlon No. 1101348
company Regtstration No. 4934904 (England and Wales)
NATIONAL ASSOCIATION OF FLOWER
ARRANGEMENT SOCIETIES 2003
(A COMPANY LIMITED BY GUARANTEE)
TRUSTEES. REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2022
tc
accounts . tax . legal financial planning

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
IUMITED BY GUARANTEED)
CONTENTS
Page
Trustees, report
statement of twsteo5' resp￿￿SIbilitieS
Independent audftors. ￿pOrt
1(>13
Statement Offinan￿￿ aetiwties
14
Con801idaled balance sheet
15
Charity balanca SI￿
16
Cash flow ststement
17
Notes to the acEourts
18-30

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
(LIMITED BY GUARANTEED}
LEGAL AND ADMINISTRATIVE INFORMATION
STATUS
The Association is a charitable corllpany limited by
guarantee incorporated on 16 October 2003 and registered
as a charity on 5 January 2004.
GOVERNING DOCUMENT
The company was established under Memorandum and
Articles which established the objects and powèrs of the
charitable company. TheArticle5 were amended by General
Meeting on 20 January 2021.
COMPANY NUMBER
4934904
CHARITY NUMBER
1101348
REGISTERED OFFICEIOPERATING OFFICE
1* Floor
42-44 Bishopsgate
LorKlon EC2n 4AH
TRUSTEES:
Mrs Katherine Kear MDPF, Chaimian
Mrs Nicky Wylie, Vice Chairman
Mrs Susan Castle
Mrs Mala Williams
Mrs Ann Harding
Mr Peter Malhers
Mrs Ell8n Meaking
Mrs Philida INing lappoinled 05 October 2021}
Mrs Linda Wales lappoinled 06 May 20221
CHIEF EXECUTIVE OFFICER:
Mr Steven Lane
FINANCE OFFICER:
Mr Richard van der Graaf
AUDITORS..
TC Group
The Courtyard
Shoreham Road
Upper Beading
West Sussex BN44 3TN
BANKERS:
National W6stminster Bank
PO Box 282
216 Bishopsgale
London EC2M 4QB
FOUNDER PRESIDENTr.
The lat8 Mrs Mary Pope OBE VMH
NATIONAL PRESIDENT:
Mr Michael Bowyer MBE
UFE VICE-PRESIDENF
Mr Robin Herb8rt CBE VMH

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
{LIMITED BY GUARANTEED)
TRUSTEES. REPORT (INCORPORATING DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2022
REPORT FROM THE CHAIR OF TRUSfEES
IYS bèen a yearthat could be de9cdbed as a Yo-yo one. W&w9rg obviousty awara that Selling Osborne Hou8
was not neces8arity going to be quic* given il's unique thararter. svze and the Currènt dimate of change and
wortd restrictions. What we were not anticipating was thè stop and start na￿[8 of inleTe5tsd parttes. However
we aro dellghted lo say that thg sale ￿Mplet￿d on June 24th 2022. This signals tha start of a new chapter in
the Asso(aallon's history and now we can start to build and plan for the future, offering more guidance and
support lo our cjubs and promoting the work of our membtsrs to th8 98n8ral public. Proceeds from the sale are
rknv Invested with our chosen Inve5tsnent Manag6r, RathbonÈs PJ
The ideal rented office space for the Assoaalion is just around the comer from osborne house and has been
sourced to operate for a 5 yeartemi which will Allow the Board sufficiant time to map out our long temi plan. A8
th8 new Offi￿ is $0 ciosg it means we can keep dl our valued Staff, and we welcome Layla Hil lo lh8 t&am.
We 8re, as anAssoclatlon st511 In a good posmon thanks tothg t3r8ful and consldered 8dvic8 ofsteven as CEO,
thankyou. Zoom meelings continue to keep tra￿] and accDmmodallon costs down, maintsin Serw￿ as u8ual,
and as lar as th8 budg&l Is concémad costs are kept lo a minimum. Our one faG8 to face National Advisory
Council m¢¢ting early In the y¢ar was a good chance lo me81 and chat lrt 8 reI8xad env￿onment and it was a
hance to re bon(L
Our ￿ntinUIng re$È8rch and work towards Ofqual recognitton continues. It Is a Compl￿ #nd fjma consumlng
process looking tM>lh at our syllabus cont$nt but also governance and flnandal structure. It will be woth it.
Ofqual's raLwnttion is universal and will ensure the IDngevity of our educational posliion. IYS this that makes u8
unique. 11 will mak8 as stronger. more viabEe and appe8llng, especially to peuple wtsldo OurAsswa￿0￿. ￿'S
about rno￿ng wlh current trends. delivering valuè and ￿￿¢￿10n to all.
We ￿ntinue to reysgw our structure, tt's all ongoing process. f( will bring forth fruits overtime. Next year in May
we have the fSrsl large eventwe've organlsed 8inee 2019. Tha National Show in Gloucester Cathedral. Itmrill ba
a stsnd8lone show, not a Clone of prèvious shows ora tèmplate for following show8. We are tyjtting our doth lo
fft, if we cannot budget for a certain Ihing we don't have r(1 We ¢anr￿1 assume Msitor numbers will be as pa81
y8ars so w8 must b8 ￿reful yol creative.
I would like to thank the 8taff team, our Slandln9 Commmees and Area Chairrnen for 811 I￿1r hard work durtng
another drfficult year. My spwal thanks go to my fellow Trusfieeg, and 8 wami w8knme to Lynn Wales. who
joined the Board in M8y and brings a wealth of bus]ness manag8m8nt expeTience. My thanks also to our
National Prasidant. Michaèl Bovry•r MBE whosa contrfbulion and advice to the Board has been invaluable.
Kath8rfne Kear MDPF
National Chairman
LrGJ

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
(LIMITED BY GUARANTEED)
TRUSTEES, REPORT {INCORPORATING DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2022
The Trustees present their report together wth the audited financial statements for the year ended 31 March 2022.
The financial statements have been prepared in accordance with the Companies Act 2006, the Statement of
Rewrnmended Practice- Accounting and Reporting by Charities {SORP FRS 1021, applicable law and the Charity's
goveming document.
The Charity pr8fers to be known by the acronym °NAFAS' and is a UK registered trademark no. 2109171.
Structur
Gcvem
e and Mana
The Tru5fres are also the Directors of the Company for the purpose of company law. The Charity is a charitable
company limited by guarantee and without share capital. In the event of the Company being wound up the liability of
each member is limited lo £10. It was incorporated on 16th October 2003. The purpose of ils lomation was lo acquire
the assets and undartaking of N81ional Association of Flower Arrangement Societies, an unincorporated eharitable
association first formed in 1959. 11 Is governed by Articles of Association and its objectives are to advance public
education in the art ol flower arranging and related subjecls. The wembership of the Company is comprised of 21
unincorporated Area Association8 providing geographicAI representation throughout Ihe United Kingdom and
represented at meetings through a single elected representative for each Area. A network of more than 900 flower
clubs are affiliatèd lo IheArea asso¢iations and their members form the affiliated memb&r8hip of the Charity.
The Votfng Members of Ihe Charity are made up ol the 21 current Area Representstives and the current Tfustees.
Th& National Officers are appoint￿ by the Board and comprise the Chair of Tmstees and the Vice-chairman. There
shall be a minimum of 7 Trustees and a maximum of10 Trustees. A minimum 015 Trustees to be elected by the voting
members, additional Trusleos can be appointed by the Board. The National President is a non-executive appointment
s&lacted by a panel. Life Vice-Presidents are appointed in recognition of outstanding service. The daY-l￿daY
managem8nl of the Charity is the rosponsibilily of th8 Chi8f Executive Officer. SalaTies of ?11 staff are roviewed
annually by th8 Board of Trustees.
The Trustees. as stsled on page 3, are eligibf8 to serye ￿ terms ofthree years. The Board meets monthly Ivirtually)
and receives quarterly reports from the Charity's Stsnding Committees, who administer th8 operation of each facel of
the Charity's objecb"ves. On8 Trustee attends each meeting of the Standing Committ88s to 8nsure continuity within
the rÈporting pr￿ess. The Board ofTrustees tske direct responsibility for the management of th8 assets and liabilities.
Financial management itKluding conlroi and monilgring of budgets, is overseen by the Finane8 SLJb Comrnittee.
The National Advisory Council meets 4 ts'mos a year and compris&s a single representstive from eaGh of the 21 Area
Associations. They repres8nl the affiliated membefs and act as an advisory body and as a forum for the exchange of
views and information betW8en the Board ofTwsloes and the affiliated membérs.
Tr
tees Induction
d Trainin
NewTruslees are invlted and èncouraged lo attend training COLJrses and seminars in order to briefthem on their legal
obligations. They are also introduced to the Cha￿ty Commission's own booklets and infomiation bulletin$. Funds are
availablè to facilitate Trustee training in undertaking their role.
Subsidia
Com
The Charity's w￿)llY owned subsidiary, NAFAS Enlerprlses Limited Iwmpany No. 18290111, undertakes fundraising
through the publishing and sal6 of books, leaflets and booklets relating to flower arranging and the publication of The
FlowerArranger magazine. Profits are transferr8d lo the Charity through Gift Ard. The Board of DireGtor5 comprises
the National Chaimian and two other Trustees of the Charity.

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
ILIMITED BY GUARANTEED)
TRUSTEES. REPORT (INCORPORATING DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2022
Charftabk Ob.
ectives a
d Actlvlues
The CharSty 18 88tablished to..
Advance public educ8tion in the art of flowtrr arranglng and rel8ted subjécts
Further any other chamtable purpos6 or purposes
The charity's Actmlles arÈ:
AdmlnSstratlon of NAFAS Courses in Floral Art & Deslgn
Attendlng and exhlblting at major shows and ffloral eventÈ
ANational Showwh•Tè afflllaled members m3y enter competholl8 and where both member$ 8nd 1h8 general
public may enjoy thè )loral attangements exhibited
Training and assessmènts ofjudges, demonslratots and speakers
Encourdgemènt to affiliated clubs to develop their Memberships
NAFAS Mi
sion and valuè
The nÉw Vlsion, Mission and Values were adopted In 2021 by the Board. A Strat8gy Team had been W up to
pecifically rewew an<J update the statem&nl8.
NAFAS Msion Statemgnt
To impmve the Iiv8s ofeveryon8 thmugh
'on Slalement
Shartng the creative u$& offfow8fr5 through eduG8ti1)n, to biTng joy and inspir8tion to all
We achleve this through..
Welcoming •v8ryone to our Assoclatlon, events and 8hOWS by rem￿￿9 barrfers to access
Sharfng our artisty, Greati￿ty, skills, experièneè and Innovation
Encouragbng ¥￿at￿e use of)loweTS to ald mental heatth. ￿?1￿>¢Ing and sodal Interaction
Dgveloping imaglnalive and accessible prornouonal programmes and publieAtions
Providing the highest qualty edu¢slional ond training schemes and upholding their quality
Supporting opportunities ta develop ski118 thTough cornpetition5 and exhibitions al all I￿elS
Ensurfng ex¢Èll8nt organisational and COTnmercial support for affiliated clubs and socielte8
Es18bli$hing a culture Whe￿ collaboiotion and shaiing best pracuce is the norm
W0￿1ng closely with horticultural, trade and 8dueAtional bodfjes with simllar goals
Conlinuous improvement lo everything we do by embT8ung incremental change
R8gular renewal of our rEpresentation and plans to t*pture new trends and voices
Minlmlslng tyjr impact on the envlronment
rval es
Ensurè a fri8ndly welcome for all. Ihat embraces equality and dlverstty
Ensure open and posilNe behavlours at all limes in dèliv•ring our goals
Make full use ofthe knowledge, energy and commltmellt of all of ourAs$￿18t10n's mernbers
Sèèk posrtwe environmentsl sustBinabillty in all our aCtIv￿¢S

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
ILIMITED BY GUARANTEED)
TRUSTEES, REPORT {INCORPORATING DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 MARCH 2022
Publi¢ Benefit
In establishing the annual obSeclives and aetivlties which fulfil NAFAS overall alms, the Trustees have regard lo the
principles of public benèfit al all times. The TruslÈes are aware of and have received copies of the Charty
Commission's guidance regarding Public Benefit and have taken il into account, where relevant, in their planning and
decision making.
The Objeets set OLrt clearfy that the Charity is established lo advance public education in the art of fl¢)wer arranging
and lo further any other charitable purpose. It operatss throughout the whole of the United Kingdom and strives to
attract members from all age groups and ethnic backgrounds. The Association's exhibits al major floral and
horticultural shows, induding rts own National Show, are seen and enjoyed by large numbers of the general public.
The Trustee8 are conscious that many of 11$ affiliated members are elderfy with Some on low or fixed incomes.
Although each club is 8Utonomou8 Wth the ability lo sel ils own membership fees, the affiliation fee to the Charity
(which forms part of this) has been maintairTed al £6.10 since 2019 for each individual member through their dub.
While il is the Board's intention lo continue small annual incremental Increa￿$, il was decided not to inerease the
offi1i*ion fee in this financial y&ar dLJe to the impact of Coronavirus.
The AssocAalion also provides direct membership at a cost of £45 per annum which includes a subscription to ils
quarterly magazine, The FlowerArranger. The cost of direct membership also remains the same until such time as it
is deemed appropriate to increase. The Trustees lake Its eommitmenl to public benefit extremely seriously, examplified
by the fact that the affiliation fee remains very low not wishing lo exclude any member on economic grounds.
The Trustees believe that enty fees lo shows and events and affiliation fees lo members are set al such a low level
as to ensure that all members of the public ¢an afford them and the￿fore benefit from full enjoyment of the Charity's
semces The affiliated Flower Clubs play an important role in raising money for other charities.
The Charity's members alld the Area Associations. provide servi￿$ to the general public too numerous to mention
fully bul include workshops where th& public are invited to try their own skills al flower arranging, similar workshops
for school parties and thildren wth Special needs, assistance lo local ¢hurch6S to hold flower festivals lo encourag8
the public to support their local communities and floral demonstrations al flower shows and events throughout the
year.
Risk Man8
ement
Historically the risks idenlifie(I by the Charity have been restricted to contractual obligations related to the National
Show and other events. The Coronavirus, which began to have significant effects in the UK from late February 2020,
has enhanced problems that the Tnjstees were previously 8W8re of and ¢￿ated new risks to the Charity. Fbower Clubs
reopened during the year and gradually started lo hold club and 8rea events.
Risks include".
Club closures, several dubs will not reopen for various reasons including:
Mgmbers unwilling lo attend club meetings again
Difficulty attracting members tc sil on the club committss
Ageing membership
Difficulty in attracting new younger members
Increasin9 Costs of premises and flowers
Closure of village and community halls where our clubs have met previously
Adecline in membership due lo club closures.
A raluctsnce by members to travel. This will affect attendance at Area and National events.
A drop in sales of trading goods and educational handbooks due lo Coronaviru5. Although we are seeing
a Slow recovery.
Club closures resulted in a drop in affiliation fee5.

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
IUMITED BY GUARANTEED)
TRUSTEES. REPORT (INCORPORATING DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2022
Evaluation of risk 18 conslantty under wiew. Financial risks are managed by..
M8intènanc• of reserves to be financialty resilient.
Regular consultation with the Charity's financi31, legal an¢J other professionol advisers.
Intsmal rtsk controls are In pT8ce basèd upon dual authorisation of financlal transact1017s. Employee and Third-P¥rty
Fraud insurBn¢e ¢oveT is also in force. The TN51ees conSiderth￿ a $uil8ble balance is maintsln8d betr￿en the level
of rfsk and Ihe effèctivene88 of controls.
ments and Performance
We wlll contlnue to presenl ourAGM vlrtually as thls attracts a larger audience ¢omp8Ted to a plryslcal Mee￿ng and
allows access lo the proce?dings to al our, momber$hlp. The 2021 AGM attracted over 1.800 vlews.
The Board of Trustees agreed to re￿1￿Me￿a the fuel alk)wanc8 at 45p per mlle. In line with HMRC.
NAFAS Stsndi
NaitronalJudges Commiltee
Joan Magèe. Chaiman
The Commrfteè have judged 8 s8rf8s of vlrtual shows during the year. Started thjring the pandemlc, vlrtual
$h¢)ws have continued into 21f22 but ￿11 n¢M be ph¥$e(J out as d￿￿ and ar88s rètum to th￿r norrnal
actwities.
Numbers are low for the Na￿O￿al Tests, S￿h just 7 potenliaS candidatss putting their n8m8s forward forth8
2￿22 test8.
A Judgès conf8r8nrE Is beitry planned for August 2023 In DromanlTne, Northem Ireland.
The committee are revising the ComrR*tions Manual, which wlll be rgatly fw publi(3tion later in 2022.
The Nallonal Show 2023, to be held al Gloucester Cathedral. Is now a maln focusfor the Judges Commtitoa.
A meetiTh3 of AdjudicatOTS & Instructors took pla(* viriually in February 2()22 almost full attendance.
Follomng dls¢u*on, it was agreed the allocation of Mark3 for Judges Tests need8 lo be r￿leWed.
Corrmittee lo liaisewilh AdlU¢JS￿r$. Itwas agreed th¢ fee IoTTralnee AdludScators should Temaln al £30.00
Most Areas offer accommodaUon when required and hospitality.
Natmal D
Elizabeth Grsham, ChaI￿n0￿
A successful virtual Adludlcators and Instructors Day was held Sn September 2021
Tranin9 and Testing took pla￿ in the followlng Areas..
South Wast, NIGFAS. SAFAS, Wessex & Jersey, North Midlands,
Mercia & North W¥le8 and East of England (holding rÉfrèshèr day)
The cclmmhtee revlewed thè guggested Fl0warAlt￿aftcè and incr•as8d the amount to £150.00- Clting
Brexit and Coronavirus as the maln cause of increased pri¢es.
A successful Demonstrators Symwsium look pla￿ in AF¥il 2022 8t th8 Tèlford Hot81 & Golf Resort
attgnd¢d by over 50 attendees. Delegates returned home, refresh&J. Inspired, rekindle(I friendships, and
took wth them a few samples
Atthe Symposlum a Nattonal Dem￿Strator undertook a total ec¥)-friendly demon8tration, but there is a lot
ol work required behind thè sthÈmès. howèvèr 8vèryon8 was Insplred gnd Can tske smdl patts fon¥a
Into their own demonstrations
Pre-Nallonal Asse8$ments 8nd National arn boing plannad for March 2￿3
Three naw m8mb8rs VAII loln th8 commlttee In Octc&er 2022
An Area Reps Day toc4( place in June 2022

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
(LIMITED BY GUARANTEED)
TRUSTEES, REPORT {INCORPORATING DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 MARCH 2022
al S e&keis
omm
Brenda Eyers, Chaiiman
In 2021 the Speakers Conlribution to the Virtual National Show gained 1.831 view8.
Kent Floral Art had two certified virtual training dates and an Area and Mock Test are planned_
An Adjudicators and Instructors day was held in September 2021.
1 81 Edutt8tion Com
Susie Barwck, Chaifman
The Ofqual application is continuing, and regular updates are shared wth th8 Board
7 Qualified T8ach8rs ware approved lo join the National Lists
deo Tutorials were prepared for the NAFAS Virtual Show 2021
Over 100 copies of the Basic Teaching Course have been sold
The committee continue lo review publKations'. Miniatsjre & P81ites and Church Flowers ￿11 be ￿tle1 Flowers
in Worship lo incorporate other faiths
Perigd Flower Arranging publication revised, printed and in stock
Leisure Class Inttialive document is being updated
A Tutors & Moderators Day was held on 26th July 2022
Plans are being discussed Icx Teachers Conference in 2023
I Committee
Kalh Slan
aard Chai
The covar price of The Flower Arranger magazine increased to £4.99, annual subscription lo club members
will be increasing with effèct from sprfng 2023 issue lo £15.00 and annual individual subscriplions to £24.00
The Team attended Hampton Court Palace Flower Show to promote the magazine
ArÈa pholoshoots have been held in the BB&O, Sussex and South Wesl areas
Flower Show Wot* and Summer Floral notecards were added lo the trading portfolio
For 2022 an additional ￿ designs of Christmas cards will ba available
Each NAFAS area has been provided with a banner and tablecloth to use * t￿1r Area sh¢)WS to advertise
the magazine
An AFAO meeting was held in November 2021
V I teer involvement
The Charity relies on the suP￿rt of its members who give many thousands of hours voluntarily to assist in the
provision of services and activities. It is impossible to put a value on this support for which the Charity is very grateful
and wthout which much ofthe work undertaken could not be achieved. The Trustee8 appoint functional ar¢d advistsry
committees, eomposed of experienced volunteer5 to assist in Carrying out the work of the Charity.
Fundraisin
The Charity does not actively undertake any fundraising directly from the general public.
Membershi
Following the pandemic. clubs slowly started reopening and m@mb8rs return8d with som8 apprehension. At the end
ol December 2021. we recorded 28,659 members, howev8r we are aware that some clubs did not collect fees for the
enb.re 12 Month period and we wll have lo wail until December 2022, when il is expected that all our dubs will be
open again, before we can accurately report on the full impact of the pandemic on the Asso￿all0n.
on￿ we are back to 'normal' there will b8 a great deal of work to do to in attracting new m8mb8rs, supporting our
dub$, particularly those in deprived areas. Ageing membership. changing lifestyles and rising costs are common

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
{LIMITED BY GUARANTEED)
TRUSTEES. REPORT (INCORPORATING DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2022
problems facln9 8 number of charitBble organlsatlons. yet NAFAS, remains on& of the be$1 supported membershlp
organlsations in the UK
Future Plannin
Up to the sale of 08borne House. the charfty wa¥ working to a cash tlow forecast. Now the 8ale is complèt• w• can
start lo plan ahèad. Once established into the new office. we wlll introduce a new bvdget to year end March 2023.
Thls wlll be accompanled with • 3 year Businèss Plan and Strategy.
Tho charity I￿11 Inv8st In a new databa8e to gather informalon aboulthe rnertjership and ensure we remain compliant
wlth our dats. ITwestm8nt wll akso be made into a new online digilal booklng 5eNKe for our4reas and clubs.
The ArtTcles of Assoclatlon aulhorise the investment of the Company's fvnd$ or any part thereof in the PUTchase of
such stocks, $h8res, seujrities or other Investment or property of whatsoever nature Tru$teE5, rnay In Iheir
absolute discretSon deddB. All investments Bre held in accordance with these powers. The Trustse5 do not hgv?
specific target Telurn$ on Investment income amhough generalty. Ihey exped invèstment p•rfomianc• to r8fiect
movement in the London Stock Exchange indi¢trs.
Financial Review
At the ènd of the finan¢kl year, the Assoclalion recorded a deficit of £￿.940,thIS ￿)MpAr@S lo th8 pr￿ouS years
surplus of £31,999. The main contributing f8ctor is the decllne In affiliation fees, due to c4ubs 8111 recoverfng from the
pandemlc and some members apprehensfve about retuming to the club environmonL
A loan of £150K was tak•n out In 2020 under the Government backed Coron8vlrus Busine$$ Intemjption Loan
Stheme, repayments of£2.5(X) per month, stsrted in September2021. The loan has been Se￿ed in full, followlng the
sale of Osbome House.
Group Income
Consolidated income decreased by fjS% to £438,015
Group Expendfj￿re
Consolillateil expenditurn Incrèasad by 8% to £523.955
Entér
rtses
radin
Su
Tumover decreas8d by to £239,227.
Cost of sales and 8dmini$tratWa eXP8nses lnua￿d by 8% to £239,508.
Loss for the yearwas £281 Versus £36,720 proffl In 2021.
Th8 rnsults forthe year ended 31 March 2022 are shown In this summary of Income and expendtture..
2022
2021
Net movewnenl in funds
Unrestricted funds
Désignated funds
Reslricted funds
188,3191
2,379
28.81 D
12.911)
6.100
185,9401
31,999

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
(LIMITED BY GUARANTEED}
TRUSTEES. REPORT (INCORPORATING DIRECTORS, REPORTI
FOR THE YEAR ENDED 31 MARCH 2022
An analy3is of funds Is given un(tsr notè 20. Th8 maintenanEg of ade4uat& re5eNès und8rpins the Tnkn8' Risk
Managerngnt pollcy as a countsi against rfsks ￿entified in th9 rggular Risk Review. In vi8w of the genero1 historical
liabi5ity ol the Charity's incomè straams, the Trustegs ¢On5ider that the Charity's general reserv8, excluding fixed
assets but induding the v4ue of mart(&table inveslrnents. Shou￿ be maintsinéd ata levd sufficientlo cov6rsix months
charitable operations expènditure and governan¢% wsls. At 31" March 2022 the level of fr88 resarv8S Stands al
£53.33012021. £28,100).
Suljsidi
kin
NAFAS Enterprises Limrtéd Is a wholly wned 8LJbsidiary. It undertakts all trading activities and transfers the whole
of Its profit to the Chanty by gift aid. Due to a changè in accounting Nl¢$, the git aK1 payabla is not recorded as
liability in the8$ a￿unIs.
Accountin9 pdicigs a￿ dlsdosed on p898s 20 to 22 of the ffnancial statements.
A ￿sOLUtiOn proposino Ihe apptsintsnant of Auditors to the Charity will be put to theAnnual Goneral M88ts"ThJ.
Thè Trustees. Report was approvèd by the Tru8tee8' on September 2022
BY ORDER OF THE BOARD
Kalhering Kear MDPF
National Chaimia

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIEITIES
2003
{LIMITED BY GUARANTEED)
STATEMENT OF TRUSTEES, RESPONSIBILITIES
Thg trustees, are also the directors of National Association of Flower Arrangement Societies 2003 for the
purpose of ¢ompany law. are responsible for preparing the Trustees. Report and the accounts in accordance with
applicable law and United Kingdom Accounting Standards (United Kingdom Generally A￿pted Accounting
Practice).
Company law T8quires the trustees to prepare accounts for each financial year which give a true and fair view of
the slate of affairs of the group and of the incoming resources and application of resources, including the income
ar¢d expenditure, of th& charitable company lor that year.
In preparing these accounts, the trustees are required to..
- select Suitable accounting policies and then apply them consistenlly,.
- observe the methods and principl8s in the Charities SORP.,
make ludgaments and estimates that are reasonable and piudent,. and
- prepare the accounts on the goin9 ¢c￿Cern basis unles8 It18 inappropriate to presume Ihatthe charity will contnue
in operation.
The Iruslees are responsible for keeping adequate accounb.ng records that disc10s6 wlh reasonable accuracy al
any time the financial position of the charity and enable them to ensure that the accounts comply wlh the
Companies Act 2006. They are also responsible for safeguarding the assets of the charity and hence for taking
reasonable steps for the preverrtion and detection of fraud and other irregularities.
The trustees ar8 responsible for the maintenance and integrity of the group and financial information included on
the charity's website in accordance with legislation in the United Kingdom governing the preparation ar
diss8minats.on of financial stslemenl8.

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
ILIMITED BY GUARANTEED}
INDEPENDENT AUDITORS. REPORT
TO THE TRUSTEES OF NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT
SOCIETIES 2003
Oplnlon
Wè have audited the financial ststemenls of National Associath"on of Flower Affangement socieb.es 2003 Ilhe
'charilable company'l for the year ended 31 March 2022 on pages 14 10 30. The financial reporting framework that
has been applied in their preparation is applicable law and United Kingdom Accounting Standards, including Financial
Reporbng Standard 102 The Financial Reporting Slandard applicab18 in th8 UK and Rèpubl￿ of Ireland (United
Kingdom Generally Accepted Accounting Practice).
In our opinion the finanGial stalemenl$'.
give a true and fair view of the state ofthe group's and the parent charitable company's affair$ ?s at 31 March
2022 and of ils incoming resources and application of resources. Including ils income and expenditure, ftx
the year then ended.,
have been properly prepared in accordance with United lQ"ngdom Generally Accepted Accounting Practice;
and
have been prepared In act¢xdance wth the requirements of the Companies Act 2006.
Basis tor oplnlon
We conducted our audit in accordance wth Intemational Sfandards on Auditing IUKI IISAS {UKII and applicable law.
Our responsibilities under those standards are further described in the Auditor's resp)nsibilities for the audit Df the
financial staternenls section of our report. We are independent of the group and charitable company in accordance
th the ethical requirements that a￿ relevant to our audit of the financial ststemerrt5 in the UK. including the FRC'S
Ethical Standard, and we have fuffillod our Dther elhiBal responsibilities in accordance with these requiremgnts, We
believe that the audit evidence we have obtained is sufficient and appropriate to provide a basis for our opini*￿.
Conelusions relatlng to going concern
We have nothing lo report in respect of the following mattèrs in relation to which the ISAS IUKI require us lo report to
you where-.
the trustees, use of tr)e going concem basis of accounting in the preparation of the financial statement5 15
not appropriate., or
the trustees havè not disclosed in the financial statements any identified material uncertainties that may cast
significant doubl about the charitable company's ability to continue to adopt the going Concern basis of
accounting for a period of at least bNelve months trom the dale when the financial statements are aulhorised
for issue.
Other Infonnation
The trustees are responsible for the other infomiation. The other information comprises the information included in
the twslees, 8nnual report, other than the financial ststements and our auditols report Ihereon. Our opinion on the
financial slat8menls does not cover the other infom)ation and, except to the extent otherwise explicrtly slated in our
reporL we do not expTess any fom of assurance Conclusion thereon.
10

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
(LIMITED BY GUARANTEED)
INDEPENDENT AUDITORS. REPORT
TO THE TRUSTEES OF NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT
SOCIETIES 2003
In connectlonwllh ouraudR of the financial staternents, our responsibility is to read the othwirrformation and, in doing
so, conslder whether the other infomation is m8t•rfally Inconsfstent wllh the financAal statements or our knNlpdgg
obtained In the audlt or utheTwlse appears to be Mate￿allY mlsstsled. If we idèntfy 8ueh material InC￿nSiSten￿eS or
apparent material misstatements, we arg roqulred to detsrmine whether there TS a material rnlsstaternem in the
finaneiaS statements or a mat8rtal misstatement of the other information. If, b8sed on tho work we have perfom)ed,
we wnclude Ihal there is a material mi8Stat8merrt of this othw infomation, wa ¥8 r8qulr•d to Trport that fact.
We have ￿th￿g lo rewrt in Il¥s regar(l.
Oplnlons on other matters pre8cribed by thg Companles Act 2006
In our oplnion, based on the wort undertaken in the cwrso oftho aua6L'
Ihe irrfomalion given in the ITUStees' report (IncorpLW8ting the direthrs, ￿pOrt) forthèfinand81 yearforwhl
the finandal sl¥tern¢nts arp prEpared is consistent with the finanaal statements- and
the Irusleg5' report lincorporaung the ¢JSredors' ￿￿rtI has been prepared In acLordance wllh appllcatAe
legal requlrernents.
Matters on whl¢h we ar* rnqulred to report by exceptlon
In the Ilght of OUT knts￿edge arKI understandTrwJ of the wup and chafftable company and rts environment obtained
in th8 course of the audit. we have not identrfied rnalerial misslalem8nt8 in the director8, report.
We have nothing to re￿rt In Yespect ofthe following matters in relation to which the Compenles Act 2006 requlros us
to report lo you If, in our opinlon..
adequate accounl.ng records have not been kept, or retums ade4uale for our audTt hgve not b99n r8¢8Ned
from branches not by us., or
the financial 8tatomenl¥ are not in agre8m8nt vrith the accounting racords and r8tums,' or
certaln d18do8ure8 of dir¢ctots' ￿MUnera￿On spectfied by law are not made.. or
we have not receNed all the wftjmation and ex￿anatIonS we requlre for our autht.
R￿pO￿lbill￿éS of trust••s
As expldned rn￿E fLrlty in the trust￿, responsibilities statement set out on page 4, the trustees (who are also the
dir8Cto¥s of the charitable cornpany for the purpose5 of ￿rnPany law) are resF￿n51IAp for the prEparation of the
flnan<xal gtaternénts *Jd for bÈing satisfi￿1 that thèy gN8 a truo and fair vlew, and for such intemal control as the
trustees detemiine is necessary lo enable th8 preparation of finan￿81 ststements th* fTte Irom m8tarlal
misstalemenl, whether due lo fraud or error.
In preparlng the Ilnanclal statements, the trustses are responsible for 88s88sing the ¢h8rilable company's ability lo
ntinue as a goln9 ￿nCern. dlsdoslng. as appllcable, matters related to going con￿rn and using Ihe going con¢em
basls of accounting unles5 the Iru8lees either interKI lo liquldate the thgrltable company or to cease OperatIc￿$,
have no realistic altemative but to do so.
li

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
ILIMITED BY GUARANTEED}
INDEPENDENT AUDITORS. REPORT
TO THE TRUSTEES OF NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT
SOCIETIES 2003
Audltorfs responslblllt198 for tho audlt of the flnanclal statemgnts
Our objectives are lo obtain reasonable assurance about whether the financial statements as a whole are free from
material mi$statement, whether due to fraud or effor, and to issue an auditor s report that includes our opinion.
Reasonable a88urance is a high level of assurance, but is not a guarant* that an audit conducted in accordance
with ISAS (UK) wll atways delecl a material mis51aternenl when it exists. Misstatements can arise from fraud or error
and are conside￿d material if, individually or in the aggregate, they could reasonably be expected lo influence the
econ¢mi¢ d￿lS1On$ of users taken on the basis of these financlal statements,
A further description of our rasponsibilits8s forthe audit of the financial stalem8nls is locat8d on the Financial Reporting
Council's website https..Ilbw￿.frC.Drg.uk1oUr-workIAudlVAUdkl-and-asSurance1Standards-and-gUIdanGe]st8ndafd$-
and-guidance-for-audrtorslAuditors-responsibilitiÈs-for4udiVDescllplion-of4uditors-r8sponsibilitles-for-audit.aspx.
This description fomis part of our auditof s report.
Ext•nt to whlch the audlt was considered capable of detecting irregularities, in¢ludlng fraud
The trbjertives of our audit, in respect lo fraud, are.. lo identify and assess tho risks of material misstslemenl of the
financial statements due lo fraud., lo obtsin sufficient appropriate audit evidence regarding the assessed risks of
material misslalement due to fraud. through designing and implementing appropriate responses, and lo respond
appropriately lo fraud or suspected fraud identified during the audit. Howevef, the primary responsibility for the
prevenb.on and detection of fraud Tests with bolh th)se Charged with govemance of the entity and its management.
Our approach was 88 follows..
We identified areas of laws anQ regulations that could rea8tsnaLly be expected to have 8 material effect on
the financial statements from our general sector experience, and through discLJssion with the trustees,
directors and other management las required by auditing standards), ond di$cussed with the trustees.
ireclors and other management the policies and procedures regarding GL)rnpli8n¢e with laws and regulations
(see below),
We identified the following areas as those most likely to have such an effect." health and safety.. General Data
Protection Regulation IGDPR), fraud", bribery and Corruption", and employment law. Auditing slandards limit
the required audit proceéures 19 identify non-compliance wlh these laws and regul?tions lo enquiry of the
trustees. directors and other management and inspection of regulatory and legal correspondence, if any. The
identrfied actual or suspected non-compliance was not sufficiently significant to our audit to result in our
response being identified as a key audit matter.
We ¢onsider6d the legal and regulatory frameworks directly applicable to the financial statements reporting
fraM￿Ork IFRS 102, the Companies Act 2006 and the Charrties Act 2011) and the relevant lax compliance
regulations in the UK.,
We considered the nature of the charity and group's operations, the c¢xtrol 8nvironment and financial
perfomiance.
We cornmuni¢ated id&nlified18ws and regulation5 throughout our team and remained alert to any indications
of non-compliance throughout the audit,.
12

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES
2003
(LIMITED BYGUARANTEEDI
INDEPENDENT AUDITORS. REPORT
TO THE TRUSTEES OF NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT
SOCIETIES 2003
We con8ideTed Ihg proceilure8 8nd controls IhÈt the thaTity Bnd group has establlshed to address risks
Idèntified. or that othe￿ise prevent, deter and detect fraud.. 8nd how 8enior managemènt monitors those
pro9ramm8s and controls.
Basetl on this understanding w& deslgned our aud6t proc¢du￿$ to identify non-CLimpliane8 wtth such laws and
Tegulation5. Where the risk con*dered to be higher, we perfom)ed audlt prO￿dureS lo address Èach idÉntifi8d
frdud risk. Thése procedures induded.. testing manual loumals.. reviewng the fi￿ar￿1￿ statement disdosures and
testlng to supporting dorAJmen18tion'. yirfoming analyticAI proc8dur8s'. and enquiring of management, and were
deslgned lo provide reasonable assurance that the finandal 8laternents were freè from fraud or •rror.
I￿￿ng lo the inherent limttations of8n 8udM, thér8 Is an unavoldable risk Ihatwe may not havedetedpd somp material
rnisstatements in the finanrAal stslements, even though w8 hav8 properfy planned and performed our audit in
aC(xjrdan￿ with auditing $tandards. For example. the further removed non-¢ompliant* wtth laws and regulatlons
(irregularftiesl Is from the events and transactic￿3 refected In the fingndal sloternents, the less likely the inherent
Ilmrted procedures required by audthng $landard8 would id8nttfy it. Th8 rfsk Is a150 greater regarding irregularities
¢¢¢urring thJ¢ to fraud ¥ather than error, as fraud Invofves Intentlon￿ conc&almènL fotgery, collusion, omlsslon or
mtsrepresenlation. We are not r9sponsible prevenllNJ non-comp11ar￿e and canTh)I be expe¢iwJ to dètèct non-
¢omplian¢e wilh all laws and regulatfions.
Use of our rpport
This report is made solety to the cfTaritable t￿mpany8 members. 8s a t￿ly, In aCCo￿anGe wlth Chapter 3 of Part 16
ofthe Companles A¢t 20[￿. Our audit work has been undertaken so that we might stale lo the charitable company's
mèmbars those matters we are required lo slate to Ihern In an 8udilorf$ report and for no other pury)ose. To the fullest
extènt ￿MItt$d by law. we do not accept or assume responsibilty lo anyone olherth8n the charitab16 company aThJ
Ihe charKa￿e conwanys mem￿r$ 8$ 8 tr*)dy. for ow audit wcrt. for Ihls report, or for the opinions we have f￿med.
cqr
Mark Cummlns FCCA {Sènlor Statutory A￿l¢Or)
for and on ￿h&ll of TC Group
statutory Auditor
Offi¢e'. Steyning, West Sussex
Dale..
13

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
STATEMENT OF FINANCIAL ACTIVITIES
(INCLUDING INCOME AND EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED 31 MARCH 2022
G•n8ral Deslgnated
fvnds
funds
Restrictsd
funds
Total
2022
Total
2021
Income from:
Donations and legacies
Charitable adivilies..
Affiliation & direcl membership fees
Shows and assemblies
Other trading aclivilies..
Trading income
Investment incomo
Other
Notes
2,750
2.750
41.576
170,686
4.579
3.059
173.645
4,579
217,966
10
239.227
13
239,227
13
257,612
23
811
Total Income
434,956
3,059
438,015
517.988
Expenditure on:
Raising fvjnds..
Costs of trading subsidiary
Charitable activities..
Operations
Totsl expenditure
10
239.508
239,$08
220,893
283 767
680
265 096
523 276
680
485 989
Net In¢omel(expendltUTel
185.9401
Transfers betsveen funds
21
Nel movement In funds
(88,3191
2.379
185.9401
31,999
Fund balances 811 April 2021
1 437 395
6.100
1,472 326 1440.327
Fund balances at 31 March 2022
1 349 076
1386 386 1.472,326
14

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
CONSOLIDATED BALANCE SHEET
AS A T 31 MARCH 2022
2022
2021
Notes
FIx941 assets
Tangibk assèt8
12
1,433 618
1.433.616
1,438,126
1.438.126
Current a•8ets
Stocks
Debtors
Cash at bank and in hand
14
15
12,834
43,289
198,169
9,472
26,755
334.436
254,292
370.e63
Cr•ditorn: amounts falling due wlthln
one year
16
{196,522)
(203,9631
Nèt ¢urront aBs•ts
57.770
166.700
Creditor8'. amounts falllng dug oft¢r
morn than ong y￿r
17
{105,0001
1132.50DI
T¢)tal a￿ets l•ss currènt lTrabilitleB
1.386.386
1,472,326
lrteomè funds
Unreslricte£l funds."
General funds
Designated funds
Rastricled fund$
1,349.076
31.210
6,11)0
1,437,395
28,831
6,100
1.386,386
1,472,326
The88 acco(uts havg b8*n pr•p4red in aC0)rdan￿ wtth the Sp9￿al prO￿¥10n$ ￿lating to small companies within
Part 15 01 th• CompartiÈi Ad 2￿.
The accounts w
ed by th8 Board o
Sèpt8rnber 2022
Mrn Kath•rln• K•ar Ichalrmanl
Compry Reglstration No. 49349M
15

NATIONALASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
CHARITY BALANCE SHEET
AS A T31 AIARCH 2022
2022
2021
Fix•d assots
Tangibl& ass&ts
Invèsbments
12
13
1N33.616
1.438,126
1.433.620
1.438.130
Current as50t8
Deiit(xs
Cash 8t bank and in hand
15
34439
162,238
50,985
26S,872
198,677
316,e57
Creditors: amounts lalllng du• wlthln
on• yaar
16
1187.160)
1198,6831
Net current {llabllltles)la￿?ts
9.517
118.174
Crodltor¥: amounts lalllng due aft•r
more than one year
17
{105.OIXII
(132.5001
Total I¥￿ts Igsg current IlablllUg8
1,338.137
1,423,8Q4
Ineorn• fund$
Unr•strict8d funds".
Gèneral tund8
Designated fvnds
Re51ricknY fvnds
20
1,300,827
31,210
6,100
1,388,873
28,831
6,100
1.338,137
1,423,804
These 8cc¢)unts h8ve been prepared in a￿ordance wf(h the special provisions relating lo ¥mall cornp&nies within
Part 15 01 the Companies Act 2006.
The accLJunts were
prov9
lh¢ Board on 2"
mt*r 2022
Mr8 Kathorlng Kgar Ichalrmanl
Company Reglstratlon No. 4934904
16

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
CASH FLOW STATEMENT
FOR THE YEAR ENDED 31 MARCH 2022
2022
2021
Note5
Cash flows from operatlng activltles:
Net incomelexp8nditure for the year
Deprgciation of tsngiblè fixed assets
Interest from investments
{Increase)Idecrease in stock
Increaselldecreasel in creditors
{Incréase>ldecrease in debtors
(85.9401
7A65
1131
13.3621
{34,9421
(16.6341
31,999
7,336
123)
11,640)
{82.183)
25,950
12
14
16
15
Net Cash provided byllused Inl
operatlng activities
1133,326)
(18.561)
Cash flows from investlng activStles'.
Interest from investments
Bank loan rèceived
Purchase of tsngibla fixed assets
13
23
150,000
18,074)
12
12,9541
Net cash provldèd byllused In
Investing actlvltles
{2.941)
141,949
Increasglldacreasel In cash
(136.267)
123,388
Cash and cash equivalents at the
beglnnlng of tho year
334.436
211,048
Cash and eash equlvalents at the •nd
of th9 year
198.169
334,436
1 April 2021
Cashflow
31 March
2022
Cash at bank and in hand
334,436
1136,2681
198.169
17

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2022
Statutory information
National Association of Flower Arrangement Societies 2￿3 INAFASI is a charitable company, limited by
guarantee, registered in England and Wales. The ettaritable company's règisterèd number and registered office
address can be found on the Legal and Administrative Information pa9e.
Accountlng pollclgs
2.1 8a$is of preparatlon
The financial statement have been prepared in accordance wtth Accounting and Reporting by Charities-
statement of Recomrnended Practice applicable to charities preparing their accounts in accordance wlh the
Financial Reporting Standard applicable in the UK and Republie of Ireland IFRS1021 lefieclive l January 20151
Charities SORP {FRS1021 and the Gompanies Act 2006.
NAFAS meets the d8finilion of a public benefit entity under FRS102. Ass8ts and Liabilities are initially
recognised at historical cost or transaction value unless othewse stated in the relevant aecounling pollcy
notelsl.
After Ma￿ng appropriate enquiries, the trustees have a reasonable expectation that the charity has a¢Jequate
resources lo continue in operational existence for th8 foreseeable future. This includes tsking into acBounl any
Potential impact of the COVID-19 pandèmic. There are no material uncertaints.es about the group's ability to
continue as a going concem.
The financial statement5 are prepared in 5terting, which is the functional currency of the charity. Mon8tary
amounts in th8se financi81 sl8temenls are rounded lo the nearest £1.
2.2 Group flnanclal statements
The financial statements consolidate the results of the charity, its wholly owned subsidiary, NAFAS Enterprisès
Limited on a line by lin8 basis. A separate Statement of Financial Activities and Income and Expenditure
A￿O￿nt for the charity has not been presented as the group has taken advanlage ofthe exemption afforded by
section 408 of the Companies Act 2006.
2.3 Income
All income is recognised in the Ststement of Financial Activities once the group has gained erbtillemenl to them
and the amounts can be quantified with sufficient reliability.
Donations and gifts are included in full in the Statement of Financial Activities when there is entitl8m8nt,
probability of receipt and the amount of income receivable can be measured reliably.
Gifts in kind represent asse15 donated for distribution or use by the charity. Assets given for di$tn"bution are
recognised as income only when dislribuled. Assets given for use by the charity are recognised when
eivable. Gifts in kind are valued al the amount actually realised from the disposal of the assets or at the piice
the charity would olherwse have paid for the assets.
Income from charitsble activikn"6s 18 recognised as eamed as the related services are provided. Income from
othèr trading adivities is recognised as earned as the related goods are provided.
Invèstment income is recognised in the financial 5talernents when receivable.
2A Expondlturo
Expenditure is recognised on an accruals basis when a liability is incurred. Expenditure Includés any VAT
which cannot be fully recovered and is included within the item of exponditure to which it relates.
Charitable expendiluTe comprise5 those costs incurred by the charity in pursuit of its charitable objectives. 11
includes both direct costs and support eosts relating lo such activities. Support costs. including salaries, are
apportioned on the basis of the lime involved on the ?¢tivity.
Govern8nce costs include those ¢cssts associated with meeting the statutory requirements of the group and
nclude the audit fees arKI costs link8é lo slraleyic management of the group.
18

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
A¢¢ountiftgwicl8s (continued)
2.5 Tartgib￿ flxod assets and *rerl4dan
Tangible flx8d assets are st8t•d at cost loss depreciat•)n. Depreclation is prowded at rates Calculated to wfft¢
off the cx)s1195s gstsmated ￿sIdUal value of e￿h agsét ovèr its exped8d useful lrfe, as follows..
Cclnputer equipment
Straighl1Sne- over fwr years
Furniture and ffttings
Straight lin•- ovér four years
Freehold land is not deprea8ted. The frothold bullding 1$ dep￿ated over 100 years from the yoar after
purchase and is sublect Iv an annual Impalm￿ revtew. The building c8rri•s a Grade 2 lisiing aThJ its useful
lrfe is exrActgd to exceed 1(K) yÈars.
2.6 Investments
Investments a￿ aforrn ofbasicflnanda Instruments and are initialty¥twn inthe fin￿￿al statementsal market
v#luè. Movèmènts In the martet values of Investments 8re $hNn as unr8alls8d gains and l¢)sses in tho
stst¢ment of Financial Activib"es.
Gains and losses on the reali5alion of Investmerts aTe shown as reallsed gains 8nd losses in th• Statement of
Flnanoal Activities. Realised gains losses on in¥estmentB are calculated b¢fvrfggn sg1¢s prucee(Is and their
Lyening (2rrying v81u8s or thelr purchase value if acquired subsequerrt to the first day of the flnanrial year.
UnrÈ8lis8d galns and losses are calculated as the diff￿nCe between the falr value at the year end and their
carrying value. Realised and unrealls&l Investsnentgainsand loss8s ar8 combined inthe Slalementof Flnandal
Activities.
2.7 Stock
stocks are valued at the low8r of cost and net realisable value.
2.8 Dgbto
Tr￿e and other debt￿5 ar9 Tpwgnised at the seluement amount due after any trade (Jiscount.
2.9 Cash at bank arKI Sn hand
Cash at bank and in hand Indudes ¢ash and short tem) highly 1Squld investmenlÈ_ The Trusteès s8ek to use
short and medium tenn ¢Jeposits wA)ere posslble to m8xlmise the rètum on monies held at the bank and to
manage ca$h flow.
2.10 Cr¢dltor8 and provlslons
Creditors and provisions ale recognised where the group has a present obligation rgsultin9 from a past event
that will probably result In the transfer of funds to a thlrd party and the amount due to settle the oNigation can
be n￿sUred or estimated reilable.
2.11 Leaging and hlro purthase comrnitmonts
Rentals payabl8 under ￿erating 188ses are charged again8t income on a stralght line basls overthe perfod of
the 1è8S8.
2.12 Employee ￿nefIts
Shttrt t8m benefits including holiday pay ar8 recngni9ed as 8n expense In the period in whith the semee is
rKgiv¢d.
Temiin8tion ￿A8fflS ara acLount&Y for on an accwal basls and In line wth FRS 102.
The charity contribules to employees, personas pension schamas. Th8 pertsion costs charged in the finandal
Ststements represent the Cc￿ributionS payable durin9 the year.
19

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Accounting policios (continued)
2.13 Funds
Unrestri¢tsd funds are donation5 and other income receiv8ble or generat8d for the objects of the charity.
Designated fvnds are unreslricled funds earmarked by the Trustees for particular purposes.
Restricted funds are funds provided for a specific purpose that must be spent In linè wth funder's raquiremenls.
2.14 Critical accounting estimates and Judggments
In the application of the group's accounting policies. the trustees are required lo make judgements, eslimales
and assumptions about the carying amount of assets and liabilities that are not readily apparent from other
sources. The estimates and associated assumptions are bas8d on historical experience and other faetors that
are considered lo be relevant. Actual results mav differ from these e3timatès.
Thé estirnale8 and underlying assumpllons are reviewed on an ongoing basis. Revisions to accounting
estimates are recognised in the period in which the estimate 1$ r8ViS6d.
The trustees do not consider th81 thèrè are any critical estimates or areas ofjudgemenl that need to bè brought
to the attention oflhe readers of the financial statements.
Donadons and Legacles
General Designatèd
funds
funds
Restrictad
funds
Totrdl
2022
Total
2021
Donations to Workshop Fund
Legacies
CJRS grant
Other
5,000
20,000
7,605
8,971
41,578
2.750
2,750
2,750
2,750
Income from charitable actlvltles
General Deslgnated
funds
funds
R8Strlcted
funds
Total
2022
Totsl
2021
Affiliation and direct membership
Shows and Assemblies
170,686
4,579
175,165
3.059
173,645
4,579
178.224
217,966
3,059
217,966
20

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
6 Analy919 of group ¢harftablo aGUvltlg$
Total
2022
Totsl
2021
Staff costs
WAFA
Westhminster Abbey Flowe
Chelse8 Flower Show
CoThmitiees:.
Photography Committ•è
Demonstiatots Committee
Educatlon Commlttee
Area Medla Officers
SAFAS
Supwrt and govem8ncè eosts
Other aclrvities
76.959
2.750
1,050
7,288
19
100
2.452
7.487
501
1.513
807
10,000
168.080
11,029
182,602
284447
265.0
Anatysls olcosts - 2022
Dlrect
Support Gov•mane•
casts
¢￿ts
Total
2022
Total
2021
Charlt•b10 actlv5tles:.
Op8rations
101,845
167,236
14366
284.447
285,096
101.846
167,236
15.366
284,447
265,096
Ral$lng funds:.
Costs of Iradlng subsidlary
234242
4266
239,508
220,893
337,087
167.236
19,632
523,955
485,989
Analys18 of costs- 2021
Dlrect
Support Governance
Total
Charftable actlvltle8:.
Operation3
97,018
141.887
26.393
265.096
97,016
141,687
26.393
265,098
Raislng fund5:_
Costs of tradlng subsldlary
Total
217,593
3,3C()
220,893
314,609
141,687
29,693
485,939
21

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Gov8rnanc• costs
Total
2022
Total
2021
Auditors. retlluneration
Audit
Other seNlces
Legal and professional fees
10.000
4.266
5,366
13,000
3,050
13,643
Total
19,632
29,693
Net Income for th¢ year
2022
2021
This is slated after charging..
Auditors ramunèration..
Audit
Olher servic88
Expenses reimbursed lo Tru8tees
Deprociation
10.000
4.266
1,152
7,466
13,000
3,050
7,336
22

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Comparatlvo Statsm•nt of Flnanclal AC￿VItIeS- Year endÈd 31 Mareh 2021
Gèneral
fvnd*
Deslgnatod
funds
Tatsl
2021
fund8
Inc¢)mg from:
Donatlons and legarAe8
Chgrtlalle actiwties..
Affillauon & dlrect membership fees
Ofher trathng actlvltie8.'
Tradlng Income
Invgstm¢nt inwne
Other
23.432
16,100
41.576
214,100
217.988
10
257,612
23
257,612
23
811
Total Income
495.978
16.100
517988
Expendlture on:
Raislng funds..
Costs of trading 8ubsÈdi8ry
Chaiitable a¢tivitips:
Operations
220.893
220.893
252.096
3.IXIO
10.000
265,096
Total expendlttJr•
472.989
3.000
10,000
485.989
Net gxpendSture
22,989
2,910
100
31,999
Transfeis btha8n funds
5.821
{48211
Not movement In funds
28,810
12,911}
6,100
31.999
Fund balan¢g8 at 1 April 2¢Y20
1.408,585
31.742
1,440.327
Fund balance¥ at 31 March 2021
1,437,395
28.831
6,100
1.472.326
23

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
10 Subsidiaries
The wholly ovmed subsidiary NAFAS Enterprises Lirlliled is incorporated in England and Wales {company
number.. 1829Q11). The subsidiary donates all of its profits to NAFAS.
The summary financial perforvnance of the subsidiary is as follows..
2022
2021
Turnover
Cost of sales and administration costs
Interest receivable
239.223
1239,5081
257,601
(220.8931
12
N8t profiVILossl
Amount donated to the charity
Retsined in subsidiary
1281)
36,720
1281)
38,720
The current assets and li8biltties of the subsidiary were..
Current assets
Current liabilib.es
66,487
118,2351
91,814
{43,2871
Total nel assets
48,252
48,252
48,527
Aggregate shao capital ond reserves
48,527
11 Staff costs
Number of employees
Th8 av8rage monthly number of employees during the year was..
2022
Numb8r
2021
Number
Charitable activities
Employment costs
2022
2021
Wages and salaries
Social s8¢urity costs
Other pension cost8
139,516
14,371
6,699
137,37e
10.487
14,282
160.586
1e2,145
No employee received total employeè b8n8fits of £60,0￿ or more in 2022 or 2021.
24

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
11 Stsff costs lcont1n￿1J)
The key m8naoèment personnel of the charity comprise the Chlef Exe¢utive Officer, Tl* Secretary and the
Admlnislralive Secretary. The total employee benefits of key Fnanagement p8rsonn81 of the charity were
£140.572 (2021.. £137,962}. Thls indude6 EmployÈrf8 National Insur8nc8 and pension o)ntribution8.
None oflhe Tru8tees recefve(l any ￿mUneratioN during the year.
12 Tanglble flx•d aB8ets
Freehofd
propgrty
Webslto Fumltttrè and
deslgn
equipment
Total
¢￿t
Al 1 Aprfl 2021
Addltion$
Dlsposals
1,534.717
2.367
12.977
518
569
1.548,212
2,9
At 31 March 2022
1,537,084
12,977
1,107
1,551,168
Depreclatlon
At 1 April 2(F21
Ch￿e fc*the year
Disposals
100,07T
6.404
9,451
976
518
110,086
At 31 March 2022
1C6.481
10,467
117,552
Nat book value
At 31 March 2022
1,430,603
2,510
503
1.433,816
At 31 March 2021
1,434.640
3,486
1,43e,126
13 In¥e8knents
2022
2021
Group..
Market value 8131 M8rch
Charlty
Investm8nt In subsidiary
14 Stock
2022
Group
2021
Group
Charfty
Charfty
Good& for resale
12,834
9.472
25

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT SOCIETIES 2003
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
15 Debtors
2022
Group
2021
Group
Charlty
Charty
Trade debtors
Prepayments
Amounts owed from subsidiary company
other debtors
20.304
21,636
10,835
19.012
3.243
1,349
15,580
11,100
8,418
9,380
33,112
75
1,349
75
43,289
34.439
28,755
50,985
16 Grgdltors: amounts folllng due within
ono year
2022
Group
2021
Croup
Charity
Charity
Trade creditors
Taxes and social security cos15
Accruals and deferred income
Bank loan
Other creditors
21,178
4.631
131.155
30,000
9.658
18.297
10,098
119,045
30,000
9.720
10,755
7.187
165.324
17,5LK)
3,197
3,820
12,081
162,085
17.500
3,197
196.522
187.160
203,963
198,683
Deforrgd Incomo analysls..
2022
Group
2021
Group
Charfty
Charity
Deferred incorne at 1 April 2021
Released during year
D8f8rr8d in year
135,557
1135.5671
109.763
135.557
(135.5571
109.763
170,324
{170,324)
135,557
170.324
1170,3241
135,5S7
Deferred income at 31 March 2Q22
109,763
109.763
135,557
135,557
Deferred incomè is in relation to affiliab.on fees received in advance.
26

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT 2003 NOTES TO
THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
IT Credltors: amounts falling due In
than ono year
2022
Group
2or21
Group
Charlty
Charity
Bar* loan
105,000
105,000
132,500
132,5C()
105,000
105.000
132,500
132,$00
18 Bank loan
Bank loan8 are wtrK)lty repay*)le in instalments as follows..
2022
2021
Due in less than l year
Due in 1- 5 years
Due In over 5 years
30.000
105,000
17,S]O
120,0
12,5C
135.000
150,000
The loan is unsecured and repayable over 6 years. Interest is paYa￿e at 4.48% per annum afterthe initial 12
month inl8r851 free period.
19 Opgrntlng lease commltments
At the year end, the follwln9 commltments were in plac8 in respeci of owating lea
2022
Group
2021
Group
Charny
Cha
thln year
wthin two to five years
4260
4.260
3,781
3,781
Lease pay￿nts recognised as an ex￿￿$& in the y8artot8118d £5.50412021'. £5.0411.
27

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT 2003 NOTES TO
THE ACCOUNTS (CONTINUED}
FOR THE YEAR ENDED 31 MARCH 2022
20 Analysls of net assèts- 2022
(consolidated)
Ganoral
funds
Designated
funds
Restricted
funds
Totsl
Funds
Fixed assets
Current assets
Current liabilities
Long teryn liabilities
1.433.616
216,982
{196,5221
{105,0001
1.433.616
254,292
{196,5221
{105.0001
31.210
100
1.349,076
31,210
6.100
1,386,386
Analysis of net assets- 2021
l¢onsolidatedl
General
funds
Deslgnated
funds
Restrlcted
funds
Total
Funds
Fixed assets
Current assets
Cutrenl liabilities
Long lemi liabilitie5
1,438,128
335,732
(203,9631
1132.5001
1.438,126
370.663
1203,9631
1132,5001
28.831
6.100
1,437,395
28.831
6,100
1,472,326
21 Anatysls offunds- 2022
Balance at
1 Aprll 2021
Incoming Rosources
resourc68
expended
TransfeB Balance at 31
March 2022
Unr•strl¢ted funds:
General funds
Dasignatsd funds:
WAFA Special Fund
Overseas Travel Resèrve
Heritage Fund
Rèmembrance Fund
Restrlctèd funds..
1,437.395
434,956
1523,275)
1.349,076
16,785
11,317
680
16,785
14,376
3,059
(6801
49
49
Workshop
C811igraphy & Engravin9
5,000
1,100
S.Ot)O
1.100
1,472,326
438,015
1523,955}
1.386.386
28

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT 2003 NOTES TO
THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
21 Analysls of fund$- 2021 Icontlnuedl
Balance at 1
Aprll 2019
Incomlng Resources
resources
expèndod
Trnnsfers Balance at 31
March 2021
Unrestricted funds:
General fvnd5
Designated funds..
WAFA Special Fun
Overseas Travel ReseTve
Education Fund
Heritage Fund
Remembrance fund
Restricted fvnds:
Workshop
Calligraphy & Engraving
SAFAS
1,408,585
495,978
(472,9891
5,821
1,437,395
14,741
10,451
5,821
680
49
2,044
3.866
16,785
11,317
13,0001
15,8211
680
49
5,OOQ
1,100
10,000
5.000
1,100
110,Ot)01
1.440,327
517,988
1485,S891
1,472,326
Deslgnated fund$
The WAFA Special Fund was opened to enable"Best in ShovK prize winners at future NAFAS National
sho￿ io represent the charfty at forthcoming WAFA World Shows.
Thè Overseas Travel Reserve provldes for officials, travel costs to the Worfd Association of Flower
angeTS (WAFA) Wortd Show, held every three years and for Ihe charity's annual subscription to WAFA. It is
fijnded by an annual transfer from the General Re5eNe at the rate of 1 Op for each affiliated member.
The Headquartets Herttage Fund wa8 opened lo provide for the periodic refurbishment of the charitys
freehold premises, which is a Grade11 listed building.
The Remembrance Fund consists of donations received in memory of members to be recorded in the book
of remembrance.
Restrictèd funds
Tha Workshop Fund Conslsts of a donation re¢eived for the refurbishment of a room at Head Office for
floral workshops to members and the general public.
Thg Calllgraphy & Engravlng Fund has orisen as a result of donab.ons received toward the engraving of the
Associations trophies, showing winners of various competitions, and the Calligraphy of framed pictures listing
thè Ass¢xiations Nation81 Officers and Presldents.
22 Taxatlon
The ¢harilable company is registered as a charity and all of its income falls within the exemptions under Part 1
of the Corporation Tax Act 2010.
29

NATIONAL ASSOCIATION OF FLOWER ARRANGEMENT 2003 NOTES TO
THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
23 R•lated party transactlons
The ¢harity has taken advantage of Paragraph 33.1 A of FRS 102 notto disclose transactions with wholly owned
subsidiariès.
During the year the charity paid expenses of £1.152 to four trusteas. During the prior year charity paid £74 to
Christina Curtis (previous Irusleel in respect of proof reading.
24 Post balance shg&t events
On 24 June 2022 the group sold Osbourne House for net proGeeds of £4.090,C44, resulting ill a g3iN on
disposal of £2.659.441.
In June 2022 the group entered into a rental lease agreement for S years from 151 August 2022 wth a value of
£40.000 per year- a total commitment of £200,000.
30

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