REGISTERED CHARITY NUMBER: 1119125
Reporl of tbe Trustees Aiid
rinfin¢l81 St41tment8 for tkne Y¢Ar Ended 31 202S
MPF CharltAble Trust
Kinsella Clai'ke Liniiled
61 Slanley Road
Booile
Mersey5ide
L20 7BZ

MPF ChxYltAble Tyust
Contenls ofihe FittAlltial St*temenl$
ror the Yeai. Ended 31 Mareh 2025
Page
Report of lh¢ Tru$le¢s
Iiidependont ExAmlner's Repoyt
StAftm¢n¢ of FlnAncial Aclivities
BalAnce Sheef
Nott$ to tlie FlnAnciAI Statements
DetAiled Siatement of Flnanclal Atlfvltles

MPF ClIHrilible Trn5t
Report of Ihe Trustees
for the Year Ended 31 Ilqaych 2025
T])e Irustees present tlieir report witli the financial statements of the charity for the year ei)ded 31 Marcli 2025. Tlie
triislees have adopted the provisions of Accoiiiiling ￿)d Rerrf)rting by Chllrilies., Staleiiieiit of Recommei)ded Pi'actice
applicable to cliarilies preparing their accounts in ￿CordanCe with the Finaiicial Reportiiig Standard applicable in the
UK aiid Republic of Irelaild (FRS 102) (effeclive l January 2019).
STRUCTURE, GOIIERNANCE AND MANAGEMENT
Govei'i)iiig docunieiit
Tl)e charity is controlled by ils govenling docuniei)I, a deed of trusl and ¢onslilules an Uninco￿0￿￿tcd charity.
REFCRENCE AND ADMINISTRATIVE DETAILS
Regislei'ed Cliarity nymber
1119125
Pi'liiclpAI A(l(li'ess
Malvei'ii House
13 Gi'eei) Lane
Livei'pool
Merseyside
L13 7DT
I'i'iislees
D Lowe
W Sudivorth
C Gai'lick
C M¢Glade
1114lopoiiiloiit Exanilner
Kiiisella Clorke Liijiited
61 Stanley Road
Boolle
Merseyside
L20 7BZ
Approved by o
f Il)e board of Iruslees oli
. &id signed OI) ils behalf by,,
Ti'u
ee
Page I

Ind¢pendeDt Examiner's Report to the Trustees of
MPF Charitable Trust
IndepemdeTrt examiner's report to the t￿Stee3 of MPF Charltable Trust
I repojt to the charity trustees on my examination of the accounts of MPF Charitsble Tn￿t (the Trust) for the year ended
31 March 2025.
R¢spon$lbllities and basis of report
As the charity trustees of the Trust you are responsible for the preparation of the accounts in accordance with the
i'equirements of the Charities Act 2011 ('Ihe Act,).
l ieport in respect of my examinalion of the Tn￿'S accounts Ca￿led out Lmder Section 145 of Ihe Act and in corrying out
my exdminalion I have followed all applicable Directions given by th¢ Charity Commission under Seclion 145(5)(b) of
the Act.
Independent examiner's statement
K have completed my examination. I confimi that no malerial matters have come to my attention in connection with the
gxamination giving me cause to believe that in any material respect:
accounting records were not kept in respeci of the Trust as required by Section 130 of the Act. or
the accounts do not accord with those records: or
the accouiils do not cumply wilh Ihc applicable requirenients conceniiiig Ihe forni and content of accoiuits set out
in the Charities (Accounts and Reports) Regulations 2008 other than any requtrement that the accounts give a
true and faRr view which 18 not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection wilh the examination to which attention should
be di'awn in this I'eport in order to enable & proper understanding of the accounts to be reached.
Mr S J Ktrkham FCCA ACA
Kinsella Clarke Limiled
61 Stanley Road
Bootle
Merseyside
L20 7BZ
Date: ....
Pagc 2

MPV ChAritable Trust
StAlement of FinAncial Aetivitie5
foi. the Yeai. Ended 31 Mgr¢h 2025
31.3.25
Unreslricted
fund
31.3.24
Total
lids
Notes
INCOME AND ENDOWMENfs FROM
Donations aiid legacies
6,262
8,263
Oihei. trading activities
91,438
67,784
Tolal
97,700
76.047
.XPEI NDITURC ON
Raising ￿lidS
84.835
76,946
NET INCOMEI(EXPENDITURE)
12,865
{899)
RECONCILIATION OF FUNDS
Total fiiiids broLiglil forward
10,594
11,493
TOTAL FUNDS CARRIED FORWARD
23,459
10.594
Tl)e n￿e5 fonii part of tliese fill￿)ela1 slalenienls
Page 3

MPF ChAI'ltable Tru81
Balante Sheet
31 Mfirch 2025
31.3.25
Unrestricted
fund
31.3.24
Total
fiii)ds
Noles
CURRENT ASSETS
Debtors
Cash at bank
7,256
28.983
11.883
36,239
11,883
CREDITORS
Amoiinls falliiig diie wiil)in one year
(12.780)
(1.289)
NET CURRENT ASSET
23,459
10.594
'roTAL Asslt TS LESS CURRENT
LIABILITIES
23,459
10,594
NET ASSETS
23,459
10,594
FUNDS
Ui)reslYicted fuiids
23,459
10,594
TOTAL FUNDS
23,459
10,594
naiicial slateiiieiils were approved by the Board of Trustees and autjiorised for issiie
and wetE signed on ils belialf by:
on
Iislee
Tlie notes forin part of IlK5e fin4n¢ial slal¢Jiieiils
Page 4

MPF Cliari14ble Trust
IYot¢s to tli¢ Flnin¢lAI SfAtemenls
for tlie Year Ellded 31 Marcli 2025
ACCOUNTING POLICIES
Bisig of prepgl'ing the finanelAI statements
The fli￿lICial slaleiiieiils of the chDrity, wliich is a wblic benefit entity under FRS 102, liave beeii prepared in
a¢cord&iice with the Charilies SORP (FRS 102) 'Acwuiiliiig and Rewirting by Cliai'ities: Staleinent of
Recoiiinieiided Practic¢ applicable to charities preparing their accoiiiits iii accordance wilh tl)e Fii)ancial
Reporting Standard applicable in Il)e UK and Republic of Jr¢land (FRS 102) (effective l Jailuary 2019),,
Financial Reporting Slaiidard 102 '11ie Financial Re￿)rIll)g Standard applicable in th¢ UK aiid Republic of
Irelaiid, aild Ilie Cliarilies Acl 2011. Tlie fii)ai)cial sllteiiieiits liave been prepared under the historicRI cost
oiiveiitioi).
itome
All inLoni¢ is re¢ogiiised in the Sialeiiieiil of Fillancial Aclivilies once Ilie diarity has ei)litleii)eiil to tlie funds, it
is probable Ilial Ilie incoiiie will bg ieceived the aiiiounl can be iiiea5ured reliably.
Expeiidlture
Liabilities are r¢¢ognised ￿ expeiidiliire as so￿) gs Iliere is a Icgal or wnslrvclive obligation coiiiii)illing the
charity to Ilial expcndilure. il is probable tl)at a traiisfer of ecoiioniic beiiefi15 Ivill be ￿qlli￿d li) settlemeiil aiid
tl)e ainoui)l of tlie obligation can be Ineasiired reliably. Expenditure is accoiinled for oil an accrua15 basis and lias
beeii ¢l&ssified iii)der headings tlial aggregale all cost related lo Ilie ¢al¢goiy, Where cosls caiinol be dii'eclly
attributed to particulor headiiigs Ihey have been allocated io aclivilies on a basis Consistent will) Ilie use of
resour¢¢g,
TAIAIIoi)
Tlie cliai'ily is exenipl froin tax on its chariiable aclivilies.
Fuiid iecouiiilng
Uiijtstt'icled fiinds can be iised in a¢¢ordan¢e willi lh¢ ¢harilable objedives at Ilie discretion of tlie triisÉees.
Reslrioted fiiiids cai) only be used for particular ￿striCted purposes williin Ilie objecls of the cli8rity. Resli'iclions
arise wlieii specified by the donor ￿ when fuilds are raised for parlicular reslricled ￿]rposes.
Fiirtlier explaiialion of tl)e nature and purpose of eacli fiilld is inclu(kd in11)e notes to tlie financial stat￿1]e1]ts.
Hii'e piij'cliwse Hiid leAsliig eoinniltments
Rei)lllls paid ui)der operating lease5 Jr¢ chfwg¢d lo the Staleinenl of Finaiicial A¢livilies ¢)n a slraiglil liiie bgsis
ovei. Ilie period of Ilie lease.
OTHIR TRADING AcfiviTIES
31.3.25
31,3.24
Fiindr31S1118 events
Admissioiis
Sorial lotteries
42,361
14.970
34,107
20.840
11,700
35,244
91,438
67,784
Page 5
eontiniied...

MPF Charitable Trust
Noles to the Fillan¢l#l StAtemeiils- eoii¢bnu￿l
fov tlie YeAr Ended 31 hlareh 2025
RAISI]YG FUNDS
Rlisliig donAtloiis and legRcles
31.3.25
31.3.24
Siipport costs
84,835
76.206
TRUSTEES, REMUNERATION AND BENEFITS
T]ie]'e were no truslees, renILinerati￿1 or other benefifs for tlie year elided 31 Mairli 2025 iior for ilie year elided
31 March 2024.
Ti'iistees. expenses
There ivere ilo trLislees' expenses paid for the year ended 31 Mard12025 nor for Ihe year ei)ded 31 March 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcfiviTIES
Unrestricted
fund
INCOME AND ENDOWMENTS FROM
Donalioiis ai)d legacies
8.263
oilier tradiiig aclivilies
67,784
TotAI
76,047
FXPENDITURE ON
Raisiiig fviids
76,946
NCIT INCOMEI{CXPENDITURE)
(899)
RCI CONCILIATION OF FUNDS
Total fliiids broLigl)I fonynrd
11.493
TOTAL FUNDS CARRIED FORIVARD
10,594
DEBI'ORS: AMOUNTS FALLINC DUE WITHIN ONE YIAR
31.3.25
31.3,24
Trade debiows
Otli¢r debtors
5.649
.607
7.256
Page 6
coi)tIllLied.

MPF Chayitable Trnst
Notes to the fin#ntlAI St#temenls- colltinued
foy the I'eay Ended 31 Mareh 2025
CREI DITORS: AMOUNTS FALLtNG DUE WITHIN ONE YEAR
31.3.25
31.3.24
Trade creditor
Other creditots
129
12,651
,289
12,780
1,289
MOVfMENT I]Y FUNDS
Net
moveme]il
in fiinds
Al
31.3.25
At 1.4.24
Uni'estrle¢e(I fuiids
Geiieral fuiid
10,594
12.865
23,459
TOTAL FUNDS
10.594
12.865
23,459
Nel movemenl in ftinds, in¢liKl¢d in Ihe above are as follows..
Inconiiii
resoiiires
Resouires
expended
Movenienl
ii) tuiids
Uiiirstrl¢ted funils
Gei)er&l fuiid
97,700
(84,835)
12,865
TOTAL FUNDS
97.700
(84.835)
12,865
CompftrAtives for movemenl in fund5
Nel
Inoveiii¢i1I
iii funds
At
31.3.24
At 1.4.23
Ut)i'es¢i'icte(I funcls
General fiind
11,493
{899)
10,594
TOTAL FUNDS
11,493
(899)
10,594
Coii)paralive nel rnoven)ent in ftsiid& iiicluded in Ihe above al'e as follows:
Incoming
Soil￿eS
Resource5
exi)eiided
Moveii)eiit
in fiii)ds
Uiii'estricted fuiids
General fund
76,047
(76,946)
[8991
TOTAL FUNDS
76,047
(76,946)
{899)
Page 7
conlii)ued...

MPF Chai'ilxble Trust
Notes to tlie liiiianeiAI St•teJnents- eontimued
foi. the Year Ellded 31 March 2025
MOVEI MENT IN FUNDS- contlnued
A current year 12 months aiid prior year 12 months coinbined position is as follows:
Nel
move117eiit
in fiinds
At
31.3.25
At 1.4.23
UnYts¢i'icleil funds
Gei)eral fuiid
11,493
11,966
23,459
TOTAL FUNDS
11.493
11.966
23,459
A curreiit year 12 inontlls and prior year 12 Inonihs coMbi￿d Jiet movement iii fui)ds. incliided in Ilie above are
os follow5:
Incoiiiiiig
r¢sour¢es
Resoli￿eS
expended
Movement
in fuiids
Unrestricte(I funds
Geiieral fiiiid
173.747
(161,781)
11.966
TOTAL fuNDS
173,747
(161,781)
11,966
RELATED PARTY DISCLOSURES
Tliere ivere iio related party Iransaclion5 for Ilie year ended 31 March 2025.
Page 8

Mpfi Charitable Trusl
DetAiled Statement of FinanciRI Actii'ilies
for the I'eAr Ei nded 31 March 2025
31.3.25
31.3.24
INCOME AND ENDOWMENTS
l)oiialioDs aiid l¢gaclts
Doiialioiis
6,262
8,263
Othei. trading actlvllles
Fuildraising events
Adiiiiss10175
Social lollei'ies
42,361
14.970
34,107
20.840
11,700
35,244
91.438
67,784
Total lucomlng resources
97,700
76,047
EXPENDITURE
Otliei. tridlng Activitles
Bad debts
740
Sui)ptsil cosls
ManAgement
Pi'ixe piiirlliises
Eveiit Costs
Enterlaiiiiiienl costs
Advertisin
1703
16,848
3,974
437
2,439
15582
3,028
330
23,962
21,379
FIIiAI)ce
Coinii)Iinity grdnts
Donalioiis
Siindi'i¢s
Baiik cliarges
20,368
40,142
173
190
22,281
32,242
20
284
60,873
54,827
Total resources expended
84,835
76,946
Ne¢ Iiicoiiitl(expendltiiiT)
12.865
(899)
Tliis pRge does noi fonii part of Ihe slalutory fin8iicial staleiMeIits
Page 9