Jacobs Well Qre Centre
Tru51ees Annyal Rpport
The trustees present theii rel￿t with the unaudited financial statements of the d￿rity forthe year ended
31 December 2023.
AEFERENCE AND ADMINisfRATIVE DEfAILS
harfty N•x 1104075
Prlnclpal Olnce
Unlt 4
Toronto Place
G05PQrt
P012 4UZ
Trustees
The followin8 trustees s¢ryeql durin8th¢ y¢¥r.
WJ. Ellls
J.D. Molyneaux
A. Pottln8er
C.S. Pottlnger
L.L. Pottin8er
S. Pottln8er
l. T￿$t￿Ine
A¢(ount
8rènt Kin8
Unlt 4G
Oaklands office P•rk
Aerodrome Ro•d
Gosport
Hampshlre
P013 OGY
MSchele Johnson FCCA
Johnson Accountin8 Solutions Limlted
Unlt fA
BasepD4nt Bulsness Cent
Harts Farrn Way
Hmnt
P09 IHS
OBJEcfivES AND ACTIVTllES
The charty ex15ts to advance the Chrlstian fabth and to help relieve poverty in Hafflpshire and other parts of
the world.
We work wlth other agencies and charltles on a dally basis from our SI￿ loeation In Toronto Place. Gosport.
There we PTovide a stor4ge facility, a second-hand fyrniture. a 5thoDI unifvrm proiert and gri¢-a-Brac shop
and provide home delivery and collection of furniture.
W¢ also collect food from 8 dtfferent lo￿l.￿n.$ g wffk •rKI distribute thi5 free from our site to •pproxlmately
6CI) families.
We have expanded our social medh presente to ifilofm people wh•t 15 h•ppenin8 on gte {whEn food i
available etcl and to market our fvrnitUfelBrk+Brac.
The charlty b establishe4 for th¢ pyblic benefrt ￿o￿tIlne0 In Chatlty C¢rnmlssk)n 84lida￿e.
ACHIEVEMENTS AND PERFORMANCE
The ¢h•rity pr￿lde¥ fr¢¢ 109¢ pn 9 49ily Iw th¢t ¥i¥ls
Po8e 2

Jacobs Well Care Centre
Tru#e¢s Ahnual Report
We also provtde free clothin& furniture. kttd￿n aTrl beddlng pack5 when necessary tothose in need.
Normal retail 5ale5 through the Shop, our stOrn8e facilities. fyrnl1v￿ ￿mOVal fvll hovsp dearan
provide the majority of our income
ANANCIAL REVIEW
2023 saw the eharrty maintain its perfomiance and ono more have a tradiTha surplu5. A surplus of £129,028
was achi¢ved forthe year.
We have reorgani2ed the space within the building to provide a lar8e food storage area from where we have
inrreased the food we supply ir) in neEd. We contlnue ¢0 work T*lth I￿1 a8enries and fj0sPQrt
Borough Council in this regard.
Re5erv¢5 Ot 3tsr December ZQ23 ¥rtre £231.5TJ12022; f102.5511.
PLANS FOR FLwfuRE PERIODS
We are plinnin6 to Q9en a 'warm room. and roffee shop to support oureklerty and vulnerable custorners.
After th• year end we purchased the buildin& Unit 4 Toronto Place. with • mort8a8e from Kin8dom B•nl we
re now in 3 position to UPBTède the building.
STrUCTURE, GOVERNANCE ANO MA14AGEMENT
The Charity was created as an un￿COrpOrated charlty ￿ a Trust In 2(1)4.
New trustees are elected by the exi5tlng Tru#ees of whlch thert must be a rninlmum of 2.
The chaflty trustees are r•S￿nSIble for Preparin8 • tru5tees' annu•l report and flnanclal statements In
?¢¢ord4nce wlth appllcjble law and United Kingdom hwnlin8 Standa￿* Iunited KID8dom Generolly
A￿epted Accountin8 Prattice).
The trustees a￿ responsible for keepin8 prop¢r a¢¢ountin8 rewrds that dlth with ￿asOnable accurnw •t
any time the finarbcial position of the charity and to enabk them to ensure that the financlal statements
comply wilh the Chgrities Act 2Q!I, the appltable Charitte5 (Accounts and Reports) Re8ulations, and the
provSslon5 of the TNst deed. The Trustees are aSso responsible for safeguarding the assets of the charity and
hence tskin8 reasonable steps for ihe preventlon and detectipn of fraud and other Irrezulafltles.
S*ned on behalf
he charrty's trus¢¢es
S. P¢)ttin8er
Trustee
29 OLtober 2024
Pago 3

JK4)h Well Care Centre
Charlty iw75
TTUSt•es' R•wt and Un•udlted Accounts
31 De￿nber 2023

Jacobs Well Cafe Centre
Pa8es
Trvstees. Annual Re￿rt
Independent ExamineV5 Report
Statement of Flnanoal ActNit*s
Balance Sheet
Notes to the Accounts
Detalled Statement of Financial Actlvities
ISto16

Jacob5 Well Care Centre
ststement of ￿Trandal Actl¥Ftie5
for tho year ended 31 D•Ceffl￿ 2013
Vnrestri¢ted
fvnds Trtal funds Total lunds
2021
Income and endowmeftts
Donations •nil le84ries
Charitable activbties
Investments
Other
59.680
329.545
124
15.338
59.680
329.545
124
15,338
14.012
273.371
29,070
Totsl
404,687
404.687
316,4&J
Expendltur• on:
Charitable artbvtties
Other
274,797
274.797
269,3rKI
5,062
Totsl
275.659
275,659
274,362
Net galns on h)vestments
Net Ineom•
129.028
129.028
42.098
Transfers between funds
N•t inco•m• bth ¢Jth•r
lain￿11[￿*)
129.028
129.028
42,098
Other pln> •nd105WS
Net nN>vement In lund¥
129.028
129.028
42,098
•¢on¢ili•t5on of fundj:
Totsl funds brought fonvard
102.551
102,551
60,4S3
Total fvnds forward
23L579
231,579
102,551
Page 5

J•¢obs Well Care C4ntre
Balance Sheet
at 31 December Z013
Charity No. 1104075
Z022
Tangible assets
12
626
956
956
626
Stocks
Debtors
Cash at bank and In hand
1.555
258,207
264.762
116,3091
248,453
1.678
142,220
148,898
117,9121
130,986
cr￿kOl$. Arnount fallin8 due wlthln one ytsr
Net current assets
Tot•1 •ss•ts Itss vJrr¢nt Ilabllllles
249,079
117.51KII
231.579
131.942
129,3911
102,551
Cr•dltws: Amount5 fallin8 due after mor• than one ye•r
Net assets exdudly penslon asset or Mablllty
Total nel assets
16
131,579
102.551
The lundj of the dwrlty
Restrfcted lunds
Unrestrlcted lunds
Genernl fund5
17
17
231.579
102.SSI
23L579
102.551
17
Total funth
231.579
102,551
Approved bythe tw5¢e￿ on 29 October 2Q24
And si8ned on their behalf lry:
S. Pottinger
Trustee
29 October 2024
Pa8¢ É

Jacobs Well Care Centre
Notes to the Accounts
lor the year end￿ 31 December 2023
l A¢￿￿11￿1 policles
The financial statements have been p￿Pared in accordance wtth Statement of Recc¥mmerthd Practice..
Accounting and Reportin8 by Charities p￿￿riTh8 their Kwynts in *C￿r￿ance with the Finanoal
Reporting Standard applicable in the UK and Republic if I￿land IFRS 1021 Issued on 16 July 2014 and the
Financial Reporting Standard appI￿able in the United Kingdom and Rewblic of I￿land IFRS 1021 and the
Charrt￿5 Art 2011.
Change ln basls otaccoun￿ry or to ￿￿OU$ accounts
ThèfÈ has beèn no change to the accountlng policies IvaluatK)n rules and method of accountin81 slnce
last veor aDd no th•n8es have beeTr mad¢ to acrounts tor previous year*
Fund a¢c•untl
Unre5trirted fvnd5 These are available fol use at the disc￿￿>￿ of the trustees In furtherance of the
8eneral objects of the charity.
Designoted funds
These are unre5tr•tted funds e•rnwrked by the tTUStces for particular purp05e&
Revaluation funds These are UnreStr￿ted lunds which include a revalu•tlon ￿SeThe ￿preSentIng the
Teslatement of investment assets at their market values.
These are avai5abk for use subiect to restrKtions imposed by the donor or through
tern￿ of an appt•l.
Restricted funds
In¢om•
Recognltlon of
Income
Income Is Included In the Statement of Flnand•l Actbrfitle$ ISOFAI when the charity
becomes entitled to. •nd virtujlty ¢ert)In to re¢elve. the Income •nd the •mount of
the income can be measured with wffKient rellabllity.
Sncom¢ wlth ￿l￿ed whe￿ Income has retsted ¢xpendllvre the Income and rel*ed expendtture Is
expenditure
reported gross In the SOF
Donatlons INI
a¢les
Voluntsry inwrne r¢celved by w•y of grants. donat￿￿5 and glfts Is Included In the
the SOFA when recwdble and only when the Charlty uncondlttonal entltlement
to the mcome.
Tax reclaims on
Income from tax reclaims is included In the SOFA at the same time •$ the
donation5 and g1ft$ 8fftldonatlon to whlch it relates.
Ponated services
These are only included in income Iwlth an equiwalent amount ift ewnditurel
and frdcllrties
where the benefft to the Charity15 reasonably quantifiable, measurable and
m*teri*l.
Volunteer help
The value of any volunteer help received is not induded In the actounts.
Investment Income This15 ir¢cluded In the acrounts when re￿1¥able.
Gainsll1055e51 on
This Includes any 88ln or IDSS resulting from revalulng Investments to market Value
revaluation of fixed at the end of the year.
Gain511105se51 on
investment assets
Th15 Includes any gain or10ss on the sale of Investments.
Pue7

J•cob5 Well Care CentrE
Expendlture
Reco8nition of
expendityre
Expenditure 15 rpco8nised on an accruals basls. Expenditure Includes any VAT which
nnot bp fvlly remred, and 15 ￿p)rted as part of th¢ expenditure to whith it
relates.
Expenditure on
These comprise the costs a$S￿lated with attractln8 voluntsry income. fundraising
raising funds
tr4ding costs and Investment m4naEement C05t
Expenditure on
These comprise the costs Incurred by the Charity in the delivery of its actNities and
charitable attivitles 5eTriices In the furtherance of it5 objects. incJudtnB the makin8 of grants and
Grnnts payable
All 8fant expendlture is ￿￿o￿nted for on In 4ctual pald b4si5 plus an •t(rual for
grants that hove been apprO￿d byth¢ trystees at the ehd of the ye•r not y¢t
paid.
Governance costs These knclude those costs 4ssoriated wlth meetln8 the constltutlonal and statutory
requirym¢nts (rfthe Charity, inrluding ary auditlindependent examination fees,
costs l•n*ed to the strategic mana8ement of the Charlty. tc*ether wTrth • share of
other administratlon t05ts.
Other expenditure These are supp)rt costs nor allO￿ted to a PartI￿laT artlvlty.
T•xatSon
The charity b exempt from tsx oft Its dwTitsble acti¥it*&
Tan8lblo flxed assets and depredatl
Oepreclatlon Is provided at the folkswin8 •nnual ntes in order to wrfte off each asset ob*r Its estlmated
usefvl lrfe..
Plant & Machlnery
Motor Vehicles
Office Equlpment
25% Str•l8ht Une
25% Straight Line
15% stra￿h1 Line
Investment properties I￿ meaw¥ed Inltlalty at C￿ and 5tsbsequently at fairvalue èt bal•nce Sheet
date and are not depreci*ted. All 8ains or losses are ta*en to the Statement ol Finand•l Actfvities as they
arise.
Stock Is In¢lvded at th¢1gw¢r of gf net realisable Donated Item5 of #oc* I￿ recognised at fair
vilue whlth is the amourt th¢ thjrity *wuld have been williftg lo pav ft)rthe lrems on ihe open mafket.
Trnde and other debt(•rs
Trade and other debtors are recogni5ed ai the settlement am(wnt due after *ny trade dlseount offered.
Prepayments are valued at the amwnt prepaid ofary tfade di5wunts due.
C•sh and cash ewl¥alents
Cash and cash equivalents comprtse cash at bank and Dn hand. demand dèposits with banks and othor
short-teTm hi8hFy liquid Investments with Qfeinal m4¢yri¢ips of three month5 or les5 ènd bank overdrafts.
In the statement of financTral position. bank overdrnfts are shown within borrowin￿ or current liabilities.
In the Statement of Cash Flows. cash and Gish equivalents ère shown net of bank overdrafts th* are
repayable on demand and fonn an integfal of the companvs ¢th managemenL
PoEe 8

Jxobs Well Care Cefttre
Notes t¢> the Accounts
Trade and other uedltors
short term creditors are measured at the tfansattion p￿. Other Creditors and pr¢wisions are recognised
where the tharlty has a presert obli8•tiop ￿>Y1t1￿ from a post event th* will probablv r¢5utt In the
transfer of funds to a thtrd party and the amwTht due to settle the obli8ation can be measured Of
e#imoted reliabty. Creditor5 and prthilslon5 a￿ nom¥lly recogfjlsed at their settlement amount after
Ilowin8 for any trade discounts due.
R¢se*rth and d¢*•rt
Expenditure on ￿starth and development 15 written off In the year In whith it is incurred.
Fore1￿ ryThend¢s
Monetsry assets and Ilabllllles denomlnated In currencles otherth•n the lunctional currency of the
chartty 4re tfonsl•ted at the ratrs of exthange pre￿111￿8 at the end ofth¢ wrtinB penod.
Transartsons in currenaes other than the fvnctlonal currency of the chaiity are recorded at the rate vf
exchan8e on the date that the transaciion occurfed.
All ei¢hange drfference5 afe are taken into acrount in arTfvI￿ at net incoryWexpeThliture.
Le•sed assets
Where the charlty ente￿ Into a l¢Jse whlth ¢ntslls taklng 5ubstantslty •ll the rLsks and rew•Td5 01
ownership ¢f an asset. the lease Is treated as a finance lease.
Le•s*s which do not transfer substsntially all the rlsks and rtwards of ownershlp to ch•rlty are closslfied
as operating leases.
Assets held under finance leases are Initially re(08n15ed as assets of the charity at thelr lalf value at the
nc¢ption of the lease or. rf bwer. at the present value ofthe minimurn lÈ¥se payments. The
corresponding liatmlty to the lessof is included in the balance sheet date as 3 finance lease obligatlon.
Lease payments a￿ •pportioned lkneen fln•nce expenses and redurtion ofthe1¢4se obli8atK¥n so as to
achleve 4 constsnt Yate of interest on the remainins balance of the lilbility. Finance expenses are
recosnised ImMedhte￿, unlt55 they are directly attrilwtable to quallfykn8 •ssets, lft whlch ta5e they are
¢apltsllsed In a¢cord•nce with the tharlty's policy on Ix)m)wing costs.
A55ets held under flnance ￿aSe5 are depreciated in the 5am¢ Way a5 owned assets.
Oper8tln8 lease p4yments a￿ r¢¢o8nised as an expens¢ on • strni8ht4ine b•sis over the le4se temi,
In the event that lease incentives I￿ received to enter Into operatin8 leases. such inonlr¥es are
recognised as a liability. The a88re8•te benefit ot incentfves Is reco8nised as • reduction of rental
exp¢n5e on a 5trni8ht-line basi5.
The Charity operates a defined contillmrtlon plan for Its employees. A defined contrlbution plaft is a
penjiyn pl•n under wh￿h ¢h¢ chartty pays flxed ￿n￿lI¥JI10n$ Inio • separate ¢ntbty. once the
contributions have been paid the charity has no further payments obllgations. The contributions are
P)8ni5ed as expenses when they fall due. Amounts not paid a￿ shown in arr￿al5 in the balance sh¢et.
The assets of the plan are Iteld separatefy from the d*rity In indewdenthy administered fvnds.
All donated goods, facllltles and services recelved are recogftised wlthin incoming resources and
penditure at an estlmate of the value to the chaflty.
Paa8 9

Jacobs Well Care Centre
Note5 to the Accounts
2 Statement of FlnandJl ActM￿. Pfbrye•r
Unrestrfcted
lunds Total funds
202Z
20
Donations ènd le8acies
Charitable activities
Investments
Other
14,012
273.371
14,012
273.371
29.070
29,070
Total
316.460
316.460
Exp¢ndltw• on:
Charitabte actfvllles
269,31XI
269.300
5,062
Other
5.062
Total
274.362
274.362
Net Income
42,098
42,098
B•ln$/(lo$5es)
Oth•r galns and lass•s:
Net mov•ment In funds
42.098
42.098
42.098
42.098
Reeohdllatlon ollunds:
Total funds brou8ht forward
Tot•1 funds eanl•d forw¥rd
60,453
102,551
60,453
102,551
3 Incam• from dI)n•th￿ and le￿￿05
Total
Total
2023
2012
39,879
41,212
14.012
14.012
4 Inco￿ from th•rltable •¢thftles
Total
Total
2012
329,545
329.545
329.545
3?9.545
273.371
273.371
PaRe 10

Jacob5 Well Care Centre
Total
2023
Total
2022
124
124
124
124
6 Other Incoffle
Totsl
Total
20Z3
2022
Gift Aid
2.643
12.695
2.643
12,695
Grants
29.oc
70
15.338
15,33B
29,070
7 Expendlture on ¢harlt¥ble Ktl
Total
2023
1022
Expèndlture on churltawe
Ottlvlties
260.632
260,632
256.431
Governuntht tosts
14,165
274.797
14.165
274.797
12,869
269,300
Tot•1
Totsl
2023
2022
Bank loan aftd overdraft
inierest payable
Amortlsation. depreciatlon.
impairment, PTofftlloss on
disposal of fixed assets.
532
532
1.643
3,419
862
862
5,062
23
20ZI
Thls is ststed after ch•r8in8:
Oeprethtion of DWr￿ Ilxed 455ets
330
3A19
Page 11

JKobs Well Care Centre
Notes lo the Atc(wnts
Ofie or MO￿ of Ihe tru5te¢s been plid Temunerrtion in the rurrpnt. or prior perlods.
Other
beneffts
Truslee
A. Pottlnge
C.5. Pottinger
LL. Pottin8er
S. Pottin8pr
l. Toastfvlne
11.730
11.730
30,630
19,%6
21,455
731
456
11 Staff costs
No employee received emoluments in excess of £60.(KK>.
12 T4n&ibl• fix•d assets
Plant &
•thln•ry Vehldes Equlpm¢nt
Total
Cort or rev•lu•tlon
At l January 2023
At 31 December 2023
Depredltlon and
Impalmient
Al l January 2023
Depreciation ch8rÉe for the
year
At 31 December 2023
3,183
22,120
22.120
5.713
5.713
31,016
3L016
22,llO
5.136
170
160
330
2,974
uo
5,296
30390
Net bo(* valu•s
At 31 December 2023
At 31 December 2022
13 Stocks
209
417
626
379
577
956
202Z
Raw materlaFs and consumables
Flnlshed goods
trylns ￿lu¢ aDaly¥ed bya(11
2022
Charitabl• #rtwltles
5.OlXI
Page 11

J•eobs Well Care Centr•
Notes to the Aco)unts
14 OebtOTS
2022
Trade debtors
VAT reco¥erable
390
1,555
1.5S5
1,288
1.678
15 Cred1￿$.
amounts fallin8 duo within one year
2022
Bank loan5 and overdrafts
Obllgatlons under flnan￿ ￿lSe and hlre
purthase contracts
Trade creditor5
Corporation tax
Other tsxes and social 5ecurfty
Other creditors
Accruals
iO.(KM)
10,1
1.124
3,260
510
238
3.391
3,Tll
513
16.309
512
17.912
16 Cfeiltor&'
amounts falllng due after more than one year
zou
2022
Bank loans and overdr•fts
Qbll8atlpns under finance leas¢ and hlre
purchase ¢ontr•cts
I7,￿0
27500
1.891
29.391
17.500
17 Mo¥Èft*nt In lunds
In¢omlTr8
Ilndudlni Resources
other ex￿nded
At l January salr￿lk￿eI
At31
December
Unrestrl¢t•d funds:
fj¢n¢rdl fvn
IQZ,551
404,687
1275,6591
231,579
Tatal funds
102,551
404.687
{275.6591
231,579
Pg8e 13

Jacob5 Well Cafe Centre
funds
Total
Flxed assets
Net current assets
cred￿Or5 due in more than one year èrrfl
provisions
626
626
248.453
248.453
117.5CKJ)
231.579
231.579
19 Retondliation ol net debt
At31
Dettmbei
2QZ3
At I ￿TrU￿ry
Cash fiows
Cash and osh equlvalents
142.220
142,220
115,987
115.987
258,207
258,207
Bank loans
Obllgatlons under HP/Flnan￿ Jeases
I37.5(￿)
15.1511
(42.651)
io,
4.027
14,027
127.5001
11,1241
128,6241
Net debt
99.569
130,014
229,583
Page 14

Jacobs Well Carn Centre
l>etsiled Ststefflent of Finandal Actl
for the year en41ed 31 December 1013
Unrestricted
funds Total lunds Total fvnds
2023
2023
2022
Income and efftdowm•nts from:
Donatk)ns •nd ￿8aCleS
59,680
59,680
59,680
59,680
14,012
14.012
Charitable activlttes
329,545
329,545
329,545
329yS
273,371
273.371
Investments
124
124
124
124
Other
2B3
12.695
2.643
12.695
29,CM)O
70
29,070
15.338
15.338
Totsl Inmm• and •ndwm
404,687
404.687
316,460
Expendltur¢ Im:
Ch3rltable actlvlties
260,632
260,632
260.632
260,632
256.431
256,431
Governance co#s
14.165
14,165
14.165
14,165
12,869
12,869
Total of on tharflabl•
actl¥ltles
274,797
274.797
269,300
Other expenditure
Bjnk loan and overdftft intwest
payable
Othèr Interest payable
532
532
1.643
1,643
532
532
Generèl administrative cos
including deprètiation and
8mortisatSon
Depfeciatlon of Plant &
Machinery
Depreclation of Motor Vehlcles
Depreciation of Office
Equipment
170
170
280
2,807
160
It
332
330
330
3,119
Pa8e 15

Jacobs Well Care Centre
Detsiled Staten*nt of FlnaTKlal Ac11￿leS
Total of expendlture of other costs
Total PIp￿dI￿re
Net 8ains on investments
5,062
274362
275,6Sg
275,659
Net Income
129.028
129,028
42.098
Net incume before other
Sainsllltw)
OtherGains
129.028
129,028
42.098
Net mo¥fftnt In fvnds
129,028
129,028
42.098
Recondlia150Th ol fvnds:
Total funds brought forward
102.551
102.551
60.453
231,S79
231,579
102.551
Page 16

Jacobs Well Care Centre
Independent Examlnerfs Rewt to the trustees of Jambs Well C￿e Centre
l ￿port to the trystees on my examlnation ofthe finan(ial St*tW￿ of ja￿b5 Well Care Ceiitre for the year
ended 31 D￿rnber 2023.
R¢spon4tyi.IIV.es and bmof rep(vt
A5 the charlty's trustees you are ￿ponSIble for the preparatkn of the flnandal statements in ￿cOrdanCe
wlth the requirements ofthe Charities Art 2011 the A¢t'l.
I report In respect of my examination ofthe th•rity's finandal ststemènts tarrled out undeT Sertlon 145 of
the 2011 Art and in carrylng out my examlnation I have followed am the applicable Dirertions 8iven by the
Charlty Q>mmi55ion under 5ertv)n 145(511b) of the ACL
Independert examlnerfs stateTr*nt
As the charity's gross income exceeded £250.C#XI yourexaminer must be • member of a body Ilsted in
sertion 14S of the 2Qll Act. I confimi that l am qualified ¢0 vndertake the ex4mlnation by bÈln8 • qualified
member of FCC
I have completed my e¥aminatioD. I confirn) th* no rnthrijl matter5 hove cpme to my attentM)n in
Connection wilh the examlnation 8fvin8 me cause to belleve that In any material respert:
• the accountlng records *Yfe not kept In respect of the charlty as required by sertion 130 of the Act: or
the financial statements do not accord with those ￿(ords. or
the financial statements do ftot compty with the applicable requirements concernln8 the fonn and
¢ontent of fin•ndal stottments set ift th¢ Charities (Accounts and ReFK>rts) R¢8ul•tbns 2(￿ other
than any rtquirement that the finandal statements 8i¥e a 'true •nd fai¢ view whlch Is not a matter
nsld¢red a5 Part of an independent ex4min•lign.
I have no concerns aftd have come •cross no other matters in C￿neCtIOn wtth the exarnlnatlon to whlch
attention should be drawn In thls report in orderto enable a proper understandin8 of the finandal
ststements to be reached.
Mlchele Johnson FCCA
Johnson Accountlng Solutlons Limited
Unit 64
Basepoini Bui5ness Centre
Harts Farni Wav
Havant
P09 IHS
29 October 2024
Page 4