RECISTERED COMPANI. NIJ￿1BF.R: 05230651 (F.ngland and 1S'ales)
REGISTF.RF.D CHARITY NIINqBER: 1107414
Rcport of thc TrU￿cts and
Financial StateTreDts
for ¢h¢ Yexr Ended 31st August 21125
for
BOVINGDON PRE-SCHOOL
Aiicnboroughs IAccoLmlants) Limilcd
Chartered C¢nified.4ccountants
l ToM'er House
Tow'ir CintrL'
Hoddtsdon
HLiforitshirc
ENII RUR

BOVIP*CDON PRE.SCHOOL
Contents of the Fina￿£1*1 Stattmtnts
for lthe )'¢xr ended 315t 2025
Pa%e
Report of the Trnstees
Statement of Finan¢ial A¢tiTrities
Bal8n¢e Sheet
Notes to the FiTr•n¢ial St￿tern¢￿t5
7 to l?

BOVINCDOY PRE-SCHOOL IREGISTERED NUMBEIL. 05231)651
Rtpon ofthe Trnstets
for Ihe )'¢xr ended 315t 2025
The Irusl¢e5 who are also directors of Ihe chatiiy for the pu￿￿>5¢5 of IIK CO￿panIeS Acl £lK)6. pte5enl Iheir reporl with Ihe fiiiancial
tsts16￿Cntx ot-thc Lharily fur thc ycai cndcd I Ixl Au¥iis1 ?075. ThL havc udvplcd Ihc proviMJun% L)f AcLvunlin¥ RLpvilin¥
by Charities." STa￿Men1 of Recommended Pracii¢e applicable io charities prepanng iheir a¢counts in accordance wilh rhe Financial
Rcporiing Siandard appliLablL in ihL UK at￿ RcpLLblii of Ircland IFRS 1021 Icffcilive l JanLLary 2U19).
OBJECTII'ES AND ACTIVITIES
ubJ￿1]Ve$ gnd aim$
BO￿.1￿gd0n PTe-School is a charity whose aims are..
To enhanff the development and e(lucation of children under ststutory school a¥e in a pareni-involving.
community based Froup.
To PTovidc a Siifc. sciurc dnd stimuldtin¥ en% iTunrncnt.
To work wiihin a framework which ensures equality of OWK)rtuniiy for all children and families.
To enLourage ihildren io be independenL and have fun and friendship with ehildren and oiher adulis.
Public benefit
Thi t￿rilY *LknowlLdgcs IL% requirLmini% to dcmonsiratL LI￿[Y that Il IiavL LharitablL pufpthsLS or aiin% thai arL for thL publiL
benelit. The cliarity has TefeTred to guidance coniained in the Chariry Commission's generdl guidance on public benetit wh¢n
reviewing the aims and objeLlives and in planning future aiiivilies.
Volunteer5
Voliintccrs Colltinuc to play an itnportani rolc in thc day-t(Hlay nuJDin¥ of thc Prc-school and organisin¥ fund r4Lisin¥ cvcnts.
FINANCIAL RE%"IEW
Fi￿anCial position
The charity has geiieral ￿SerVeS of £46.211 (2024 £54.463) al the end of the year. which are SU￿1cle￿t to cover months 5-6 rnonih5
¢harilablc cxpcnscs and other costs.
Prineipal funding sourtes
Thc majority ol- Ihc Incotnc fi>r Ihc Prc-school comc% from fec%. Thc%c are mad¢ from pay￿￿14 by Pdrcni%lLar¢r4 a% wcll
Gov¢mrneni granrs. The funding recei￿ed from fundraising is generally used io buy more plav equipmenr.
Ini'estTnent policTr a￿d objertii'e5
Mogl 0( tht Chariiy's fund8 art speni in the shon Lenn. a prudeni amount is k¢pi in reserves. This r¢serve is inv¢sted in a
LommcrLial Common Inve%ttncni Fllnd H'hich coniinllc% io show d low rC￿￿_ Thc Charity also holds. d ￿Ving5 dLcouni wilh N'irgin
Money which pays a modest interest rate.
Reserves polio
The ManagenKnl c.om￿111¢¢ feels ihal a Itvel oliesetves is required io meel 2-3 monih5 ofnorn￿I expendiLure. Thi5 is bastd on Ihc
Lharity'% %izc and thc Icycl of finuncial cumrnitmcnt% hcld. Thc Mana¥cmcnt Committcc aini ro cnsuic Ihc cliurity will bL ablL to
continue to fulfill lis ihariiable objeciives even If ihere is a ￿M￿rary shonfall In income or unexpecied expendiwre. The
ManagLincnt C-ommittce will LndLuvour noi to sci aside fu[￿S llnncccs&uily.
Going eon¢er
Thc chdrity adL4UdlL fL4erve% to LoniirtUL a guing LunLLm for thE forL%LL-dblL futUTC.
Page I

BOVINCDOY PRE-SCHOOL IREGISTERED NUMBEIL. 05231)651
Rtpon ofthe Trnstets
for Ihe )'¢xr ended 315t 2025
FUTURE PI,ANS
Thl PrL-SLhool plans to LontlEIUL to fulfill lis ain]s in thc forthc(TrtniThg yLars. Looking ahcad. thc Prc-SchiJTrl rcmains committcd to
providillbT a 3tsmulatin¥, cicativc. safc, sUPPOrtiv¢ aTJd happy aJvironm£nt foT all the childrcn ith our carc.
A kLy focu% tor thL LO￿ling yLar 1% IhL ongoin¥ impruvcfftcjil of thc gdrdcii ￿. ￿..L arc Lurrintly dwdlliiig thL outLoinL of a grdnl
applicatioll to 5uppon this project. Should Ihe grani be un5wcessful. ￿'e plan lo oiganise a dedicaled fiJndrai5ing event. Proposed
¢nhanccmcnls includ¢ painiing thc i.llSling M"oode¢J furni1u￿. ¥onsirucLing an obstscli course, dL%'¥loping a pljniing sialion and
rep12cing some of the existing pl&%tic items wjth MO￿ 5ustsinable wooden garden fumityre aTJd equipmenl.
M41Tkctin¥ cffotL% ovcr thc Pd%t vcat h￿%.C yicldcd positivc rcsults. dcspitc a IiTTritcd numbcT of childrcn in thc Ioc411 urca. Wc will
Continue io focus on encouraging Ihe registration of nvo-year ol¢ts io help increase our inthke and reieniion ill rhe future.
Addiiionallj, we aim lo strengihen partnlal involi'emenl in Lhe rut￿1n2 of Ihe Pre-SchiM)I, paniiularly in relalion to fundraising
activitie%. To sUPPOrt this, we plan to merge the exisiing corninittee and the fundraiqing sU￿cOmi￿l￿ee into one team. As part of this
resrructure, we intend to intr(xluLe a new role of'Head of trundtaising, 10 lead and coordinaie efforts more effeciively.
It is planlled that the M&G Charibond Charitles fixed Interest fund will be sold and the ptoceeds will be held in the CAF bank
STRUCTURE. GOlfERNANCE AND ￿lANAGEMENT
Governing document
Thl iharily is Lontroll￿d by its goYLrnin¥ dociimcllt, a dccd of rrust. and ¢onstitutCS d limitcd Cornpany, litnitcd guaTantLe, as
defI￿d by the Companies Aci 2(KJ6.
Thc Prc-school 1% a charitable conipany limitcd by s>uarantCi, incorporatcd on 15th Scptcinbcr 21KH and rcgistcrcd a% a charity on
22lld l)tc¥mb¢r 2004. The COTnpany was e5tsblished under a MeTnordtwJum of Associa(ioTh which estsb115hed ihe objec15 and powers
of ihL LharitablL company and ]% goi'cmcd undiT Its AniLILX of AsstiLJauon_ In thL evint of thc eompany k'ing wtsund-up, Jl)Lm￿.r8
are required to contribute an amount not excLYding tl.
Recruitwnent ind appointme￿¢ of neiv tru5¢ee5
Commiltee rnembers are volunieers who gI￿.e iheir rime to Ihe pre-sch￿1. We eneourdge new members and involvement from all
p&rLnts. As well as thL d&y-to-day running of thc PrL-School WL cndcaNour to raisc cxird incomc via fundraising cwcnts Tun by thc
Pre-Scliool Parents Group. We hold monthly meeiinLPS. where Pre-school policies are reviewed and oiher issues relatinLv to ihe
Pre-school are rnised and deali wiih.
OrganisatioDal structure
lliL PrL-.%Lhool has tt manag¢n￿nt committ￿ m•d¢ up of b¢tw¢cn 5 and l ? mcmix'TS of which at l¢ast OO°/tr must bc Family
Members of the company 2t the time ot-ele¢iion. Th- Commiiiee meinbeTS will serne uniil Ihe rtext AGM when they shall be eligvible
for re-tleciion llnless Ihey haie served in any capacii) for 6 consecuiiie )'&us14 for c(kopitd memkrs).
Th¢ Managemeni Committee are res[￿nSible for selling and ￿VIewIng ihe poliues of the Pr¢-School. whilsi the d&y-10-day running
uf thc Prc-sihool is JllaDa8Ld by IhL PrL-Sch(x)I Supirvisor.
Ind￿tIon and training of ntw trustte5
NLW triisfLL4 UiVLtI d 'll'elLomi PaLk' whicli includc% dclail% of thcir re%rM)JiiibilitlL% as WLII d4 d LOPY L)f ihc Mcmordndutn and
Anicles of A550ciation. Additionally, they aTe bTiefed by rhe Chair of the Management Committee OT another existinTh trustee aEK)Ut
the M'orkings of thL Cotjjmitiec.
Related parties
Ciiiidancc <ind rccomTllCTLdation% for thc nJt)nin¥ ()f thc Prc-SchLK>I arc rcLcivcd from Of%tcd and thc Ptr-school LC[￿￿]11¥ Allianc￿.
Page 2

BOVINCDOY PRE-SCHOOL IREGISTERED NUMBEIL. 05231)651
Rtpon ofthe Trnstets
for Ihe )'¢xr ended 315t 2025
STRUCTURE, GOWERf*ANCE AfiD M.4NAGEP+1ENT
Risk mallagement
Thc Munu¥LttKnt Cvrntnittcc Pic-Sihi>ul btuff Latry uul li¥ulur ￿£￿iE￿5 vf Ihc thr Lhuiily. Thc 11skh Ihc huulth
and gafet¥ ofihe children. stsff, helpers and i'isirots ro ihe PTe-S¢hool and pr￿edureS are in pla¢e io ensure ¢ornplian¢e wirh healih
and safcLy rcgulalions.
inancial Risks ore miliga￿d by mainiaining a suiiable level of reserves and regular reviews of fulure allendance levels are
undLrtdkLn, tu Ln%urL %uItILJLnl ILL inLumL 1% maintiincd_
REFERENCE AND ADMlF*lSTIL4TIVE DETAILS
Registered Compgnv number
05?306i l (England and Wales)
Reglstered Charity number
107414
Registered office
Memorial Hall
High Streei Bovingdon
Hemel Hempsiead
ITcrtford4hirc
HP.3 OHJ
'rustee$
A Grav Truste- lappoinLed 119120241 Iresigned 11912075)
E Mitchcll Tru%tcc IAppoiTbtcd 11g.J?0?41
Inde￿0￿ Trustee (appointed 1,'9120241 {TesigDed 11912025 J
M HurlLy Chairnian l¥Fy)intcd ?W4i20251
E M Mil¢hell lappoinied 11912025)
E Caple (ap]K)inied 119,.'?025)
CompaD)' Secretary
E Caplc
Prtrschool Manager
Mrs Cidfd Elliott
Approvid by (Frdir of the board of ttustecs on 5th March 2026 and signed on its IKha]f by=
M Ilurley- Ttustet
Page 3

BOVIP*CDON PRE.SCHOOL
Statcmtnt of Fin#neial Actii'ities
for lthe )'¢xr ended 315t 2025
3118124
Totsl
rund5
Unr¢stri¢ted
funds
Nutcb
INCOME AND ENDOII'*IEf4JTS FRO￿1
Don81iollS and ILgacics
3,360
5214
Charitable artivities
Edrl> YLdrs EduLdlJun
1,321
1265U4
Other ttading activiiies
Ini'esiment income
Other income
Total
921
106
32
132740
E¥PENDITLRE ON
Charitable artii'iti¢$
Ellrl) YLllf￿ EduiEition
77.44()
86J43
Oiher
Total
24.816
10? 265
23.104
Net gains on investments
425
NET INCOMEI(EXPENDITURE)
1?.447}
23.718
RECONCILIATION OF Fu￿Ds
Tolal funds bro￿8h[ fonward
54.46_1
70,745
TOTAL FULYDS CARRIED FORWARD
54.463
The notes fom part of these financial statements
Page 4

BOVINCDOY PRE-SCHOOL IREGISTERED NUMBEIL. 05231)651
Bal#￿£¢ Sheet
31s1 August 1025
3115'.i2
Unr¢stri¢ted
funds
31181?4
Totsl
rund5
Nutcb
FIXED ASSETS
TangiblL as5CLS
Invt5tmellts
556
3.838
CURRENT ASSETS
DLbiors
C&8h at baiik- and in hand
io
1.499
48.667
53.659
CREDITORS
Ainounts falling dul within onc yL?r
13,()34)
NET CURRENT ASSETS
50,625
TOTAL ASSETS LESS CURRENT
L T ABILITIES
54.463
NET ASSF.TS
FUNDS
Unrt51ricied funds
TOTAL FUNDS
12
47,016
47.016
Thc chdritdblc cornpany is cntitlcd to cxcmption frorn audit under Scction 477 of ilic CL￿panicS _Act 2006 for ihc yEar cndcd 31%1
Augu5r 2025.
The meinbers haNe noi required ihe company io oixain an audit of its fujancial sLaiemenLs for ihe year ended 31si Augu51 2025 i
aLLOTddnLC Wlth Scction 476 ot thc CotnP¢inic% Act L(KJ6.
The ItU5tees acknowledge their rwonsibilities fnr
ensuring thai ihe chaniable company keeps Jccouniing reLords ihat comply wilh Seciions 386 and 387 of the Companies Aci
2006
preparing financial stateTneTrts which wve a true and fair view of Ihe 51ate of affaiw5 of the charitable Eompany as at the end of
LJ¢h financial year and of lis surplus or d¢ficii for ¢a¥h finanLial }'¢ar in ac¢ordanc¥ with th¢ rL'quircm<nis of S¥¢iions 394
and 394 and which othenvise comply wilh the requirenients or the Coinpajiies Act ?IM)6 relatlll8 to financial statements, so
far as applicable to the ehariiable company.
(bl
The notes fom part of these financial statements
Page 5
continued...

BOVINCDOY PRE-SCHOOL IREGISTERED NUMBEIL. 05231)651
B*lallte Shttt- continued
31s1 August 1025
Th¢s￿ financial gla1¥m(￿t5 have bcen prcparcd in a¢cordan¢L wilh thc provisions applicablc to clwritablc ¢ompani<b subjcLt ts) thc
sinall ¢ompanies Tegim¢.
The finanual statements were approved b? the &)ard of Trysle￿ and authorised for issue 5rh March 2026 and were signed on its
bLhalf by..
M Illlrl¢y - Trust¢e
The notes fom part of these financial statements
Page 6

BOVIP*CDON PRE.SCHOOL
Noie5 10 the Fin#nci*l St*iemtnis
for Ihe )'¢xr ended 315t 2025
ACCOUNTING POI,ICIES
Basi5 ofpreparirtg the financi#l staten)tnts
The financial sthienienis of ihe Lhjritable eompany, which is a public i￿nefIt eniiry under FRS 102. have been prepared in
acLordancc wilh thc ChariliLs SORP (FRS 10?) 'Accoulliing and RITOrting by Charilics.. SialcmLnl of RcLOnllncndcd
Praciice applicable to charilies preparing their ac£ount5 in 3rcoidJnce ￿'ith the Financial Reporting Strndard applicable in the
UK and Republic of Ireland IFRS 1021 leffe¥li￿¢ l Janu3r%'
0191., Financial Reponing Siandard 102 'The Finai)cial
KLpuning Stdndaid dppliidbli In thL and kLpublJc ul AlLI￿d, thL L'(TrmpaThiLS Act 20U6. 1'hL findnLJdl %lalLtnLnL%
have been prepared under the hislorical cost coni"eniion. ii'ith the exception of inNe5tments which are included ar wnarkel
value. as modified by the revaluaiion of certain asseis.
Income
All incomc is rcLoyi5cd in rhl StalcmLnr of Financial .4ctii iri¥S onci ihc chdriry has cntitlcincnt tu ihc fundb, it Is probublc
Ihat ihe Income will be nxeiwed and Ihe amouni can be M￿￿￿<(1 rel]abl￿.
Expemditure
Liabiliiies are recognised as expendirnre &s soon as rhere is a legal or Consrrnetl￿ obligation eommiiring rhe chariry io rhai
¢XPLndiluri, Il is probablL that a translLr of iLonomie IK'nLfits will bL fLquired in SittlLmeni and thL amount of ihL tsbligalion
can be measured reliabl}. Expendiwre is ￿COun[Cd for on an accruals basis and has been classified under headings that
aggregate all cost ielaied io ihe iategory. 11.'her¢ LOSIS cannot b¢ direcily aiiribuied io paniLular kadings Ihey have been
allocalcd io activitic% ot) a ba8its con%i%iClli with the USL- of re￿￿rceS_
Tangible fixed assets
Drpreciation 15 pro%'idtd ai the following annual Tales in order to wriie off each a￿tt over li$ estimated useful life.
Pi%tUTes aT￿ filling5
25Q/o On C051
l axstio
The cliarily is exempi from corporaiion its chan"iable adivilies.
Fund *ceountimg
UnrLstriLicd funds can bc LLscd in KcordanLY with thc charitablc objcciivcs at thc discrction of thc mjgtccs.
R¢slric¢¢d funds ¢an onl) be us¢d for pani¢u12r resiricied purws¢s within ih¢ obj¢¢ls ofihe ¢hoTily. Reslriciions arise when
PCLificd by the dun(Trr or whctj fun(L% dfL rdiscd for partiLuldr n￿Me1C￿ purrM)4CS.
Furthcr cxplanation of thl naturc and purpo* of Lach fund is inLlud¢d in thc no¢cs ￿ thc financial staiLincntg.
Pension £05ts and olher p05t-retireJllent benefits
Thc cli£tTjlablc Lompdlly opcratcs a diflncd contribiition pcnsion schcmc. ContiibutiUnS P&ayablc to thc chaiitsblc company,
nsion scheme are charged 10 ihe Stsiemeni of Financial AciiKiiies Jrt the period to whjch they relaie.
Page 7
continued...

BOVIP*CDON PRE.SCHOOL
Notes t￿ the Fin*nci#l S1attme￿ts- eontinued
for Ihe )'¢xr ended 315t 2025
OTHER TR.4DING ACTIVITIES
-1118125
3118124
Fundraising events
921
INVTr-STMTr-NT INCOMb.
31181?5
3118124
I)eposii accouni iniere
LYET I.NCOMEI(EXPELYDITLRE)
Net Intom&{expendituiel is stated after ¢haT¥in￿(¢T¢dltlng)=
31181?5
31J8124
Depreciation- owned asse
Siirplii% on di%po%al of fixcd &s8cis
556
321
556
TRLISTEES, REl¥1U￿ERATlOp4 AND BENEFITS
Thcrc wcrL no trustccs, rcmuncration or othcr bcThclJts for thL" ycar Lndcd 3 Isi .4llgusi 2025 nor for ihc ycar cndcd I Isl
Au¥Just 2024.
Trustees, e¥pews
There were no trustees, expenses paid for the yvar etjthd 31 st Au&ws12Q25 nor for the year ended 31st Au&w51 ?024.
STAFF COSTS
31181!5
3118124
Wages and balaries
oihLr ￿n￿L011 Losts.
69,480
75.803
2,322
The aiernge inonihly number of ernployees the year was as follo￿$.
3 IISI?5
3118124
Pre-school
No employe¢s received emoluments in excess of £60,O(K).
Page 8
continued...

BOVIP*CDON PRE.SCHOOL
Notes t￿ the Fin*nci#l S1attme￿ts- eontinued
for Ihe )'¢xr ended 315t 2025
COMPARATII'ES FOR THE STATE￿IENT OF F1Tr4.4YCI.41. ACTIN'ITIF.S
Unrcslri¥ted
INCOME AIYD ENDOII'MENTS FROM
Donations and Icgacies
5.214
Lhsritahle g¢tiiitie$
F.arl}' YtaTS F:ducation
126,504
Other trading activiii¢s
Inve5ttnenl inioinc
Total
921
101
132740
EXPENDITURE ON
Charitable a¢tii'iti¢5
Ellrlv YLUTs EduLuti4)
86343
Oiher
Total
23.104
Net gains on ini'¢siments
425
NET INI COME
23.718
RECOIYCILIATAON OF FULYDS
Total funds brought forw
30,745
TOTAL FUNDS CARRtED FORWARD
54.463
Page 9
continued...

BOVIP*CDON PRE.SCHOOL
Notes t￿ the Fin*nci#l S1attme￿ts- eontinued
for Ihe )'¢xr ended 315t 2025
TANGIBI.E FIXF.D ASSF.TS
Fixlures
und
fiiiings
COST
Ai I st sepi￿nber 2024 and.1 Isi Augus¢ 2025
DEPRECIATIO
Ai 151 S¢plernkr 2024
ChargL for yiar
Ai 3151 Aug7u51 2095
NET BOOK 1'.4LUE
At 31 %t Augusi JQ25
Ai 3151 Augusl 2024
1.3,803
556
556
FIXED ASSET INN'ESTMENTS
ListL
invesirnents
MARKET V.4LUE
At 1st September 2024
Disposals
Ai 3151.4ugusi 202)
NET BOOK V.4LUE
At 3151.4uiTrusl 2112)
Ai 31st Augusl ?0•4
3,2821
There were no investment asset5 Outside the UK.
Cost or valua11￿ at 31st August 2025 is represented by-
Li%ted
invesimeThrs
Valuation in 2018
Valualion in 1019
Vdludtion in ?Q21
Valuation in 2022
Valuation in 20?4
Cost
38
94
106
(4861
425
177
Page 10
continued...

BOVIP*CDON PRE.SCHOOL
Notes t￿ the Fin*nci#l S1attme￿ts- eontinued
for Ihe )'¢xr ended 315t 2025
10.
DF.BTORS: ANIOUNTS FAI.I.ING DUE II'ITHIN ONE YEAR
-1118125
3118124
Trade debtors
OIknLr debtors
1.499
203
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31181?5
1118124
Trade creditors
SoLial securiL)' and oiheriaxes
AccTuuls and dcfcrrcd incornc
84
403
1,664
299
12.
MOVEMELYT IN FUF4DS
mo%'ement
in funds
At
3118125
Ai 1,9124
Unrestricted funds
Gencral fund
54,463
(7.4471
47,016
TOTAL FUNDS
Nel moverntnl Jn funds, Itiiluded Jn the above are as folk>ws.'
Incoming
rcsourccs
Resources
cxpcndcd
Movemeni
in fund
Unrestrleted funds
CILrtLral lurtd
94.81
(11)2 ?651
17.4471
TOTAL FUNDS
11)2 265
Compar3tive5 for moi'ement in fuDds
Net
movemenl
in funds.
Al
3118124
At 1.9123
Unrtstricted funds
General tund
30.745
23,718
54,463
TOTAL FUNDS
30.74)
Pagell
continued...

BOVIP*CDON PRE.SCHOOL
Notes t￿ the Fin*nci#l S1attme￿ts- eontinued
for Ihe )'¢xr ended 315t 2025
12.
MOVF.NIF.NT IN FUNDS- continued
Compurutivc tnuvcmcnt In funds, InLludcd In thL ybDYL afL al follvws".
Inioming
re50urc
Resourics
eXt￿nded
Gaills and
Movcmcnt
in funds
Unr¢stri¢ted funds
Geiieral fllnd
(109,4471
425
23,718
TOTAI. FUNDS
109 4471
425
A current year 12 month5 and prior year 12 months combined p)sition is as follows..
Nci
nioveTnent
in furtds
At 1.9/23
3118125
Unrestricted funds
Cicficral fLilld
30,745
I fi.271
47,1)16
TOTAL FUNDS
71
A currcnt ycar 12 month% 4￿d prior ycai 12 months cotnbincd nct movctncnt in fund&, includcd in thc abovc arc follows..
Incnming
re50urce5
Re£niirces
expeiided
and
1085es
Movcmcnt
iii fvn(L
Unr¢stri¢ted funds
Geiieral fllnd
227 5£8
425
16,271
TOTAI, FUNDS
2117121
425
13.
RELATED PARTY DISCLOSIIRES
Thcrc wcrc no Tclatcd party tTansactions for thc ycarcndcd 3151 August 2024
Paee 12

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manner of delivery under section 1072 of the Companies Act 2006.