**2020-2021** 


## ANNUAL REPORT 

## **TRINITY FAMILY CENTRE  REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31ST AUGUST 2021** 

The trustees who are also directors of the charity for the purposes of the Companies Act 2006, present their report with the financial statements of the charity for the year ended 31st March 2020 The trustees have adopted the provisions of the Statement of Recommended Practice (SORP) 'Accounting and Reporting by Charities' issued in March 2005. 

Trinity Family Centre is an independent charity supported by Trinity Methodist Church 

## **OBJECTIVES & AIM** 

To improve the quality of life for people of all ages, cultures and disabilities, in an area of high deprivation, reduce social isolation and build a stronger sense of community by providing affordable facilities for recreation and physical activity; empowering personal and social development within a safe, secure, friendly environment. 

## **CHAIRPERSON’S REPORT** 

The past year has been the most challenging in the history of TFC both financially, plus supporting and  maintaining a sense of community with the building closed during the lockdowns. The relationships and support networks established prior to the pandemic has ensured that people have kept in touch through phone calls and social media. The strong volunteer base has been invaluable in maintaining support while staff were furloughed. Reopening the Centre to physical contact in August 2020 involved new covid safe procedures and restricted numbers. Pop In for pensioners was first to open, followed by Welcome In parent and toddler group and the Eat In community café. TFC Mencap re-opened in April and Family Club in August.2021. 

Established in 1999, it is estimated that over 10,000 people have benefitted from the services provided by TFC during that time. This is the 9[th] consecutive year that we have worked in partnership with Southend Mencap to deliver the SBC commission for Adults with Learning Disablities; and Southend Age Concern with South East Advocacy Service to deliver the SBC commission for reducing isolation amongst those 65+. 

1 



## **PROJECTS** 

POP IN _: Pensioners’ group offering low cost lunches, a variety of entertainment, monthly seated fitness (provided by Active Life) quizzes and the opportunity to form friendships. A subsidised transport service ensures that restricted mobility is not an issue._ 

EAT IN: _community café once a week, serving low cost home cooked meals, which is open to all. A cross section of the community including diverse ethnicity a broad age range who are able to socialise._ 

WELCOME IN _: 3 morning sessions for parents, grandparents and carers with pre-school children. Offering play and creative learning facilities and a chance to socialise and make new friends. Support networks are fostered amongst adults while their children play and develop. Low cost breakfasts are available_ 

FAMILY CLUB: _families and children have access to sports facilities and computers, as well healthy, affordable meals. Children from different schools mix, and those from single parent families experience extended friendships which also provide practical and emotional support. It provides large safe space for those living in restricted accommodation ._ 

TFC MENCAP: _2 sessions a week dedicated to supporting adults with learning disabilities are provided in partnership with Southend Mencap. Activities include arts and crafts, sports and access to the internet with one to one support provided to develop computer skills._ 

ON THE FRINGE _: providing retail training at TFC charity shop to a wide range of people on the fringe of society. Beneficiaries included young people (NEET) , adults with learning disabilities, exoffenders, community service placements and people for whom English is a second language. We have worked closely with Southend Borough Council Employability Team, Better Start, Southend Care Ltd and Essex Community Rehabilitation Company (Probation Service)._ 

## CHARITY SHOP 

First opened in 2007, to provide affordable new and second hand goods for the community (our prices are the lowest in the town!), volunteering opportunities for the lonely and isolated and to raise funds for Trinity Family Centre. In recent years it has developed its role to provide Community Work Placements and to offer retail training and work experience with other agencies. 

## **Staff & Volunteers** 

- Trinity Family Centre employs 6 part-time staff. There are currently 21 volunteers who have helped at the charity shop and projects when possible during the past year. During the lockdowns volunteers kept in touch with people living alone, providing doorstep chats, lifts to appointments and delivering meals. Volunteers also redecorated the kitchen and corridors when permitted. We aim to re-build our volunteer base as things ‘get back to normal’ – providing opportunities to build self-esteem, reduce mental health issues and increase a 

2 



sense of belonging. Volunteers with learning disabilities are supported by Making It Work team (Southend Care Ltd) . 

This year despite the numerous lockdowns 3456 hours have been donated by volunteers to ensure the wellbeing of our community. 

## **Comments from User Survey** 

- E: ‘I almost went mad during lockdown – it helped so much to know you cared’. 

- G: ‘After my husband died I didn’t think I would ever laugh again until I came here.’ 

- K: ‘I’ve told my midwife about Trinity. All new mum’s should come to the Welcome In, it’s so friendly’ 

- M: ‘ The Pop In means everything to me, it is the only time I go out each week.’ 

- C: ‘ I’ve missed Family Club so much, my kids have somewhere to run around again, and I have adult company.’ 

- L: ‘Volunteering in the charity shop has helped me get through this year.’ 

- G&G:’ The Eat In means we can afford to eat out once a week and meet the friends we have made there.’ 

- P:’ I couldn’t visit my family because of lockdown, and having a Christmas dinner arrive on my doorstep made such a difference.’ 

## **Local Need** 

- Trinity Family Centre is situated in Milton Ward, an area of multiple deprivation that falls within the 10% most deprived in the country; and adjacent to Westborough Ward, which is the most densely populated ward in Southend with an estimated 119 people per hectare. Southend on Sea is ranked in the 20% most deprived areas in the country. 9 of Southend’s LSOA (neighbourhoods) including Milton is in the 10% most deprived neighbourhoods in England. 11 of Southend’s 17 wards have a higher proportion of children living in poverty than the England average; Milton is 26.3%. Trinity Family Centre’s aim is line with the  5 year outcomes for SBC: SOUTHEND 2050 ACTIVE AND INVOLVED 

   - even more southenders agree that people from different backgrounds are valued and get on well together 

   - the benefits of community connection are evident as more people come together to help support and spend time with each other 

   - more people have active lifestyles and there are significantly fewer people who do not engage in any physical activity 

## **STRUCTURE, GOVERNANCE AND MANAGEMENT** 

- The charity is controlled by its governing document, a deed of trust, and constitutes a limited company, limited by guarantee, as defined by the Companies Act 2006. Committee Members' Responsibilities in Relation to the Financial Statements Law applicable to charities in England and Wales require the Executive Committee to prepare financial statements for each financial year which give a true and fair view of the charity's financial activities during the year and of its financial position at the end of the year. The trustees have made decisions to fulfil these purposes with due regard to the Charity Commission’s public benefit guidance. 

3 



## **REFERENCE AND ADMINISTRATIVE DETAILS** 

_Registered Company number: 5985406      Registered Charity number: 1119349_ 

_Registered office: Trinity Methodist Church, Argyll Road, Westcliff-On-Sea SS0 7HL_ 

_Trustees_ 

_Viv Robson (Chairman)_ 

_Jacky Walton (Treasurer)_ 

_Sue McCamley Liz White Sarah Jane Holmes_ 

_The trustees are elected or appointed on an annual basis at the Annual General Meeting and meet monthly or more frequently if necessary._ 

## **Treasurer’s Report** 

As you will see from the profit and loss account, last year was far from a disaster for us; this is due to the Governments furlough scheme and the generosity of Southend Borough Council who continued to pay our commissioned grants during lockdown. 

We would like to thank those who supported us through grants: 

|Ap 20 –Mar<br>21|SBC Commissions|£24,000|
|---|---|---|
|May|RoscaTrust|£2,340|
|August|SBCEmergencyFund|£ 876|
|November|EssexCommunityFoundation|£10,000|
|March|AFT(Holiday Club)|£480|
|||**£37,696**|
||||
||Coronavirus JobRetentionScheme|£30,291|
||||
|||**£67,987 **|



## **Accounts** 

April 2020 – March 2021 

## Nokes & Co Limited 

Chartered Certified Accountant & Registered Auditor VAT no 984 2648 77 Unit 7A Radford Crescent Billericay Essex CM12 0DU                Tel: +44(0)1277 633971 

4 



|**INCOME**<br>£<br>Grants &<br>Donations<br>70026.00<br>Other trading<br>activities<br>5849.00<br>Investments/<br>sundries<br>310.00<br>**76185.00**<br>**Reserve**<br>**4644.74**<br>**INCOME**<br>**76185.00**<br>**EXPENDITURE**<br>**66269.00**<br>**PROFIT**<br>**9916.00**|**EXPENDITURE**<br>£<br>Wages<br>48777.00<br>Rent<br>2000.00<br>Purchases<br>2464<br>Telephone<br>2240.00<br>Light & heat<br>713.00<br>Repairs &<br>maintenance<br>5470<br>Other Office costs<br>2240.00<br>**Other**<br>Professional Fees<br>337.00<br>Accountancy fees<br>1713.00<br>Insurances<br>1140.00<br>Depreciation<br>309.00<br>**Total Other**<br>**Expenditure**<br>3499.00<br>**TOTAL**<br>**EXPENDITURE**<br>**66269.00**|
|---|---|



## **1 Year Objectives** 

|**1 Year Objectives**||
|---|---|
|1.Secure  funding to replace commissioning<br>(Oct 2021) £24,000|Apply Community Investment Fund  as partners<br>with Southend Mencap; Southend Age Concern<br>and South Essex Advocacy Service|
|2. Secure funding for Training Supervisor post|Apply ECF|
|3.Respond tonew needs and opportunities|Survey / user feedback/networking|
|||
|4.Secure funding for new post for funding<br>applications/ networking|Explore possibility of funding through Methodist<br>Church<br>Seek advice from SAVS|
|5.Secure Core costs|Apply: Trusthouse/ GarfieldWeston/ForeRaft|



5 



CHARITY COMMISSION
FOR E￿LAND MD WALES
Trinlty Family Centre Limited
Annual accounts for the period
Charity No
ifan
1119349
start dat
ar
0110412020
To
ate
3110312021
Section A
Statement of financial activities
R•commend¢d calegOri￿ by
octivlty
R•8trlct•d
unf￿1￿Ct•(l In¢om•
fund8
funds
Endowment
funds
Prfor s•ar
fundts
Total fun<l8
Incoming r•sourc•s {Note 3)
Incom• and •ndo*Thonts from:
nat￿S and
Ch8rfWe 8cbvthes
Othertradirg 8th
Investmèn
F01
F02
F03
F04
F05
70,026
70,026
59,179
S02
5,849
310
5,849
310
S04
8epatale rnat8ria itttn of knc>Jme
37,371
S05
Total
R•sourcos expended (Nots 6)
EX￿ndIts1￿ on..
R*ity fund5
Charita￿￿8
Swgr8te rnaledal kn olexpons8
$07
76,185
76,185
96,550
62.770
62,770
90,877
Slo
S11
Total
3,499
66,269
3,499
66,269
812
3,627
94,504
N?t Incomel{expendltur•l beforg Inv¢8trnent
galnsl{los$esl
S13
9,916
tgakn¥llLLsE¢sI on WWthneTrt$
9,916
2,046
Nat Incomel(expenditurn)
Extraordinary It¢ms
Transfers beiwoen funds
Oth•r recognlsed galnsl{los8es):
S14
S15
9,916
9.916
2,046
S16
S17
G*rfj and k)9868cn r8valJat&)n oflw asEetsforthe chaws trwn u¥
olherg8lns111088es1
$18
Sl9
Notmovemant In funds
S20
9.916
9,916
Reconciliation of funds."
Tolal brouthfonyard
S21
Total lunds Carr1￿ fonvard
7,178
17,094
S22
7.178

Section B
Balance sheet
R••trfc¢•d
In¢om•
funds
Unrestrfthd
funds
End¢)wm•nl Total th1¥
funds
Total last
y•ar
Flxed assets
Intanglble assets
Tanglblo assets
Herltag• auets
Investments
F01
F02
F03
F04
F05
(Note 15)
(Note 141
{Not• 18)
(Note 171
804
Total ftxad •ss•ts 805
B02
928
928
1,237
928
Current assets
Stock6
(Not• 18)
Debtors
Investments
(N￿6 19)
(Note 17.4)
Cash at bank and In hand (Notè 24)
Total currènt assets BIO
1,237
BO8
25,54
20,060
20.OSO
Creditors: amounts falllng due wlthln
one year
(Nots 20}
811
9,380
9.380
14,119
Net curr•nt assets/(Ilabilities)
B12
1e,166
5.941
Total ass•t5 le55 current Ilabilltl&s
B13
7,178
Creditors: amounts falllng due after
one y￿r
(Not• 20)
Provislons for Ilabllltl
B14
B15
Total net assets or Ilabllltles
Funds of the Charlty
Endowment funds {Note 27)
Restricted income funds (Nots 27)
Unrestrlcted funds
Rovaluatlon roserve
B16
17.094
17,094
7,178
817
B18
17,094
17,094
B20
Total funds B21
7,178
17,094
17.094
7,178
Signed by one or tsvo trustees on behalf of all
the trustees
&gnature
Date of
approv81
ddlmml
Print Name
IWIENJ +kns>tsJ
CC17a IEx¢elJ
1210712021

Section C
Notes to the accounts
Iconti
N¢t• 3
AnalyBl$ of In¢om•
fr4n
Iundu
An
Donakns and rfts
Grfl Aid
Le acie5
Genera grants [￿0VIded by govemmenvother
charl1￿5
MaY￿ership subscriplh)ns an¢J 8rA)nsor5hips
whith are in suLEtsnc¢ donatiork
T•t￿ Prttsry*r
Don*lons
ond lowles:
581
68,599
68.5
Ik)naied
other
Lls, facil￿e$ and servl
T¢)tal
70.026
59.179
Charitable
actfvM85:
Other
T¢)tsl
othertradlng
StwJ
incorne
Refreshrn￿ts
Other
5.849
S.849
12,291
25,080
Total
6.849
5,849
In¢ome frorn
In¥Fslm•nts:
Int¥est income
Dthjend income
Rental and leagn
Olher
inmme
310
310
Total
310
310
Separ•t•
M￿Ortal Ft•m
of In¢orn8:
Total
Conver5K)n of endowmentfunds into Nkx)me
Gain on dlsposal of a tarvJt4e rw 8S8et
for cheri
s own use
Gain on diswsal of a prcvJf8mme rdbt
Invesimenl
Royalties from the expbMatk)n of inlellecbjal
Dert
other
Total
TOTAL INCOPIE
76.185
76.185
96,550
IW••8• o￿trIptIOn and imourt81
Whr• any eNJfpThn¢fuod 1$ convgrt•d Into In¢om• lrt the
r￿P￿￿O p•rlod, ￿014￿ th• ft* th2 Mnv•rnlon.
any wd¢wThgntfund l* ¢orb¥•rt•d Into Ineom In th•
Prfor P•rfO￿ pl￿ glve th• Y•uanfortho con￿1￿.
Vllthln th• Incom* ltsmi qbov• th• foUov41nll ite￿￿ wo
rnat•rl41: {pl••M dl•¢los• thE noiure, am¢xrntand any prfor
y•araM￿l￿1
1. Grant rK•S¥ed from ECF on 1211012020 in t
amount of £I0.000. Thw trdn50¢Uon conadiuted 146%
olgrants recel¥ed and 13.1% of the total In¢m for
tho repgrtlng p•rlod.
CC178 IExcdl
1W0812021

Section C
Notes to tl)e accounts
Icontl
Not• 6
Analsryls of •xpgndlture
Thls y¢4r
L•8t year
Art11￿h￿
ftmd5 IwAme
Y•w lun
E¥pw)dlture on ¢harltabl• actlvittes:
Wages & s*arbg
Rent
Light & he8t
R￿IrS & mairrtena￿9
Tdpphone
Otheroffice eosts
2,464
48.777
2,000
713
5.470
2.240
1,106
48,777
61,860
16,2
1.012
2,878
2.265
1.936
61,8e
16.290
713
5.470
2,240
1.106
2.878
2.285
1.936
TLtsI &x￿ndIture on ¢h*ltab
62.T70
90.877
lftsurance
Accountsn¢ f88$
Other I
al & rOfeSs￿nal fees
De ￿lat￿)n
Totsl tsther •xpFndltur•
TOTAL EXpEND￿URE
1.140
1.713
337
309
3,499
66,269
1,140
1.713
337
1.196
1.189
830
412
3.627
830
412
3,627
3.499
66269
CC178 IEK*ll
12107f2V21

CHARITY COMMISSION
FOR ENGiAND AND WA
Trinity Famlly Centre Limlted
Charity No
1119349
Annual accounts for the
To
eriod
P8fKxI end
dale
Period stsrt thte
0110412020
3110312021
Section A
Statement of financial activities
Re8trSrt•d
Unr•strl¢t•d Incom• Endowmont
lun
funds
fundB
Recomm•nded cat•gorfes by
actlvlty
Prfor ￿Or
fund*
Total fund$
InGoming rn8our¢•s (Note 3)
F01
F02
F03
F04
FOS
In¢om8 and ondowments from..
Con81￿ ar* l•gÉc
Charita14B ￿tivIt￿•S
70,026
70,026
59.179
tradlng act￿￿￿$
5,849
310
5,849
310
37,371
Sep8r8te m81eNial *•rn ol Irto
Total
Ro8ourc88 expended {Note 6)
Expondltur• on:
PAlng fund$
807
76.185
62,770
62,770
90.877
sor￿¥ty matsrial Igm gf8¥pen8
S10
$11
3,499
66,269
3,499
3,627
94,504
Total
S12
Net Incomell8xponditur•l beforg investment
galnsl(108sos)
$13
9.916
9,916
2.046
alllossttl on inveslm8nts
S14
S16
Net Incom811oxpendituro)
Extraordlnary Items
Transf•rs between funds
Othor recognlsed galn81{losseg):
9.916
9,916
S16
517
Gains and l¢)$888 on rBvaluHtbn ofllx8d 8S88tsfc¢i￿cwtys own us•
gaSnsllfos88s1
Net movementin funds
S18
$19
$20
9,916
9,976
Reconclllarfon of funds."
Totalfunds browF*fon¥3rd
S21
7,178
17,094
7,178
17,094
5,132
7,178
Total funds carrled fornard
S22

Section B
Balance sheet
R￿trict•d
Unre¥trict•d incomg
funds
Endowmgn¢ Totsl thlB
funds
Total last
Fixed assets
Intsnglblé a¥sots
Tangibl8 assets
Horftago assets
Investmonts
F01
F02
F03
F04
F05
{Note 15)
{Note 14)
(Nole 16)
(Note 17)
Total fixéd assets 805
B01
B02
928
928
1.237
28
Current assets
Stocks
(Note 18)
Debtors
(Note 19)
Investments
(Note 17.4
Cash at bank and in hand (Nola 24)
Total cun¥nt assets
1,237
B07
20,060
20,060
B10
46
Credltors: amounts falllng du• wlthln
one yèar
(Note 20)
B11
9.380
9,380
14,119
Net ¢urTent ass•ts/(Ilabllltles) B12
5.941
Total assofs less ¢urrent ll8￿"11t1eS
B13
7,178
Cr8dltors: amounts falling due after
one year
{Noto 20>
Provisions for Ilabllltios
814
B15
Total not assets or11a￿"11￿8S
Funds of the Charity
Endowmont funds (Note 27)
Restricted income funds {Not• 27)
Unrostrfctod funds
Revaluation rosorvo
16
17.094
17.094
7.178
B17
B18
B19
17,094
17,094
7.178
B20
Total funds B21
7,094
7,178
Sty by one or tsvo trustee5 on ￿ha￿ of 811
the trustees
Dale of
approval
ddlmml
è Izc21
Signature
Print Name
CC17a (Excel)
1W0712021

Section C
Notes to the accounts
Note 1
Basts of preparation
Thls sectlon should be completed by all charltles.
1.1 Basis of accountlng
Thes8 accounts have been prepared under the histori¢al wst tX*nvenllon with ttems recognised at cost or
transactlon value unless otherwise stated in the relevant note(s) to these ac￿unts.
The accounts have been prepared in accordancÉ with..
the Statement of Recommended Practrce.. Accounting and Reporting by Charities
preparing their acwunts in accordanc6 with the Financial Reporting Standard applicable
in the UK and Republic of Ireland {FRS 102) issued on 16 July 2014
and ￿th.
and with"
the Financial Reportlng Standard applicabl8 in the United Klngdom and Republlc of
Ireland (FRS 102)
and with the Charities Act 2011.
The charity constitutes a public benefit entty as defined by
FRS 102."
-Tlck as 8ppropriate
1.2 Going concern
Ilthern are mat8rial uncertalntles relatad to events or condltlons that cast signllicant doubt on the
charltys ablllty to con(Inue as a going concern. pleas• pmvide the followlng details or state "Not
applkabl•", If approprfat•."
An 8xplanation as to thos8 factors that support
the ￿nclUSIon that the charity 15 a golng
concem,.
The trustee conslders that there are no matèrlal uncortajntles
about Trlnlty Family Centre s ablllty to condnue as a golng
concern.
Disdosure of any un￿rtaIntI85 thal make the
goivJ concem assumptlon doubtful.
Where accounts are not prepared on a going
concem basls, please disclose this fact
together wth the basis on which the trustees
prepared the accounts and the reason why the
charfty Is not regarded as a going concern.
Not appllcable
Not appllcable
1.3 Change of acGounting policy
The accounts present 8 true and fair view and the a￿OUntIng pollcles adop￿ are those outlln8d in r￿te { }.
Y8S"
-Tlck as appropriate
Please disclose."
CC17a (Excel)
1210712021

(i) the nature of the change In accounting pollcy,.
Not appllcable
(Ilj tho reasons why applylng the new Kcountlng policy
provldes more reliable and more relevant Infom)ation,'
and
Not appllcabl•
(Ill) the amount of the adjustment for each Ilne affected
in the currontperlod, each priorperiod presented and
the aggregats amount of the adjustment relatlng to
porlods beftir• those prnsented, 3A4 FRS 102 SORP.
Not applicable
1.4 Changes to accounting estlmat•$
No chan￿$ to accounting estlm8tes have 0￿Urred in the reportlng perlod (3.46 FRS 102 SORP).
Yes.
-TIGk as 8PPToprfate
Please dlsclose."
(l) the nature of any changes."
Not applicable
(li) the effect of tho change on income and éxpense or
assets and liabllltles for the currentperiod,. and
Not 8ppllcable
(iilj where practlcable, the effect of the change In one or
more future perfods.
Not applicable
1.5 Materfal prlor year errors
No materbal prior year error have béen Identified In the reporting peric*J13.47 FRS 102 SORP).
Yes.
-Tick as approprlate
Please disclose..
(i) the nature of the prlorperiod error,.
Not appll¢able
CC178 {Ex¢el>
1210712021

(li? for each prior perlod presented in the accounts, the
amount of the correctlon for oach account Iln• Item
affectsd.. and
Not appllcable
(iiij the amount of fhe correctlon at the bfjginning of the
earliost pnorporlodpres8nted In the accoun
Not applicable
CC17a (Ex¢81)
12107f2021

Section C
Notps to tho accoijnts
N¢)ts 2
A￿untIng policles
2.1 RECONCILIATION WITh PREVIOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
Pkno a d¢8GrJWIDn
olth• n•trJraol•xh ¢hawA
Ina¢wJnllhi po
rtol
End of
F4Md b•lanc••%
Èod of
N•t lJKomW(•%p•Trditu￿l￿ I￿￿OI￿lY
CC17lllWI
12107f2021

scr.lion C
Notes to thè accounts
Noto 2
2.2 INCOME
Iconll
Ac¢oun¢rry polklg8
Th1$ h&sbeen epK&fj¢bJitscfi*Nyex¢epttsthoso kk8d WD"or Ywa..
ol In¢trrnq
7hgs•¥e In th8 ststsw1clF￿•rd8lA¢￿￿tsS (SOFA)￿￿￿'.
thech8rfty b#ornas enb'uthytothe re￿ffj•￿
nththatth•frustee5 recthtthB re￿￿¢•&., 4Th1
the Th)no*va￿￿etan b• n*8wred
NIA
Thwt has bw noulsotrjng o.Fass8ts cf ncoTr* un*8srewre¢LY
F•nnwtyth• FR$ 102SORP orFRS 1W2.
YÈ5
GrArrt¥and£¥Jn4W(vw arn tsntyl￿ kn theSoFA*kn th2
areft*tl5.IOto5.12 FRS102 SORPI
In t￿l¢aS•￿E*re￿an¢e re￿￿ 9Wts, hcomo reGcwJnisedt(ptho sxknt
&￿tt￿ cF4riiyha¥ wovidqd IhB sp•¢thed Wods B$e￿￿•meN* th• wjnl
ontyocc￿rsthI tr*pwfomwtKe t•iated ¢¢ndllor¢6AFometl5.16 FRS 102SOJIPI
afftknckjded Inthe￿￿then rtrelpt ts wob•tk, that * theThthere
bw gI￿lL￿p[fA￿*. ts ex8subxshuve aStsbNghed th•ttr*rB
tr* ostAte*dAnycondttknno wttactsdb legatyam•th¢r**Nn the¥l￿￿Ofthe
tt•Tltyor ha%Ary b•on rnoL
Yes
GoYthiM*•rrttyMrt8 ThèchHrftyha r8c&¥a 9WMfflwrtgr￿ Pothd
r¢¢Wms on
¢¥tAhJ ￿e￿a￿e1*I￿￿￿d kn IncomethoniFnrn L% a volNI (*elryrakn frorn the dowr.
tyGKtAd•)¥jJnt￿o¥Wed M a 1$ COn￿der¢0 ty be Oftt￿9bftanth L8
Ireated4s4n ￿d#lon lo tho Swnofij￿$s3￿&IrtStral dmakn un**thethoroithe
Yes
Iftc0ffl•4nO Th19 +5 In th8SoFAmthe¢hartytss VOVbJed Ihe or
8eNk8$or rf th• rdawd wryjrfhjns.
es
wanls
DwAtsdgwYtswem•llGuthY altsk￿M￿[thelrr￿￿J￿ rc(VJh** thF•96Otcoutd t
hllr#Jadl uth5 knyxb.C￿lO dD 5
Y85
No
Thèco*d*ys￿¢￿￿9c¢ds dNai8dfordl¥ttWU￿ kn t¢neff¢ffdtsi5de￿d kn b
thè fair v*ufy(rfkngrfts atth•JmeolthekrnGe5pt ar* r••
Inthe rEr￿N￿ap•rknJ ffl wknch th• stthknw• d1*1bJted. Ilwat••lEed as a
exren*althO￿r￿B gmounloflhe #Kks* d￿rt￿th1On.
Donaknj wodsforr•s*e aw rnts5ur*¥*tsIr¥a￿Q r¢¢(wMDrn. 15 the
expeCt•dpro￿d5I1Qrn Bthless the of8Ai*. and In
t((xn otherbadhg acDvths'Wlth thgaxr*spo￿lUo ree4onlstrJ In the b*arKe
l. on ts s*e tho Val￿ ¢fst¢rk Ischty again*'irwèfrtyn othw trathd
bvFO2S'8ndlh6wo¢•thfrcth Sa￿4￿4￿￿186d 4s'1*ompfrom oth•r tra
Yea
Yes
Grojs drAlthdforon•w wetythe rknar• rwrfsoda5 ton￿￿eAl￿￿ ass
and in￿L￿d In WA as
In kindforuso bythgrtr4rltyar¢ I￿￿￿lad ￿ th*SllFA a5 freffi donaOon$
r•¢eF¥8b￿.
Yg8
No
DonatedMrtoE Dmted andtstlll&s we Ind￿ In Ive1￿j AttheYaluBaf
faclllt
trtgfft hi ￿￿e￿￿ty￿¢V￿1￿J valL* ofthegfftran b8 m&AsLrad rela￿.
seNces Bndta¢lUes that4￿ cr￿Sum& bnm•J•ware r•ce4Trlsedaslr¢
ihe SOFA.
Yes
No
Th&ekntyhll$*Eurmo on*jp￿* rcst
Yes
Nla
voliM*••rb￿p
The v4bJe0f￿yVcAUntarywp 1$ In th¢aCe0m￿lS
ID the ￿￿￿e8, repo
Yas
Nla
Th$18 kncbJdF*J Ir¢thD￿ur4$ *ben W4ptlsSxDba￿*nd th8
dhldendg rdwy.
98
t(￿￿tr￿M m•thb•rnMp M•Mtsershlpsthcr￿.ty￿ nabJr•ofo 9rftwe rèrwised IR fknwlona
*vts¢rfptbpr
and Legac*B.
No
Nla
nbernhipsubWFthr*whkh tMmborih2 rèhlto buyserviBesu¢Ah
ben¢fitsarewi5*346 Inwxe earne0fr￿n th8 and sotyth as
iwmeffom a¢tMUs*
es

8*ttbm•nt ol Insurkn
In$Urdr￿cL￿Irn$ ar•on￿1n¢￿j￿ SOFAh1￿1￿￿9•￿af*l Irrc¢M r8cagrNkn
rltarhi *&metlS.10 10 5.12 FRS102SOFP)a￿ are IrdLthd 85 an P*mofthr
erne kn th&8oFA.
ThL8 lo￿￿3￿1•aN￿<rVnr￿i￿g*n$ Dr th1&1￿ otln¥*mBntsand
anyyinork)$5 resufdn9from rewdhJw9 Inve¥trnents tornwkth ond oft
Yes
No
lThwtm•rrt g•ln••nd
Yes
2.3 EXPENDMJRE AND LIABILITIES
LlobMltyr•¢Ogn￿0n
LbMrfl•saE more Tr)tlha: ￿ Isa Iwl or
Ye$
W(¥1¢4n bgw•suredwlth reaaYaNa-ertaiTrty.
Swxtc¢¥t8ha¥Y ￿en 8hxa*d bfvtn wveTrorKe 1%8ts&r* thrSUFWL
0￿Man¢6 Gost&WmPi*e allcosts InthhY4put* acf&*Jnts￿lty￿t￿
complawvthh andgoodprdkn.
e8
SuwrtU*lB ￿dud•C•rrfrOl AR(ta￿t0 •thRyc
¢thgoth on8basts rai8tstontwththe u5e0fre5¢uF￿$. eg aNwatinp WUPthc¢8t¥
byfiL¥yareas, fxperr•th. Eiaff costs bytr* tyme $p8nt8ndother¢LKts bytsru$80e.
WkntschaTtygWa grant*th£￿￿I￿frrf pasw*rrt Wof
oroutyulty)be pwoth. *Jch gYRntsare Mtyr¢co9rf8•J In tr*SoFAonco
￿Cl￿Ont0fthoQr8rtfv9s W¢¥IW the twi￿ se￿[C• orwi.
WherEthe￿are￿O a1￿chI￿ t¢ th09Wtthalet)#Db5th0 knrchtyu)
perf0rrnan￿ real￿￿tya¥￿￿ th• ¢omnthnL a f￿1*y￿r￿ ftrf5fvThJirg rTrJst t
Yes
es
Yes
RediTh*JDncy
The ¢heniyrr&lEno rethJnd•rWwym•nbd￿￿trèrey1no F•rkyJ.
Ye$
Dql•rr•d Inco*•
Yes
No
Nla
The thartyhas ot SeWErr￿1{lroj￿tr * *ytrad
iscounts
es
A I￿1￿19 meaSUrf￿ r8xgnthn ￿8t0￿1 ¢£¥taW
PrD¥tsknsfor hbNMlo• m*a5uf*d atthe bo*￿￿￿te0fttte r•wir&ltO Sottle th6 obryoui'onat the
repoibw dats
Nl•
Iwruments
2.4 ASSETS
par￿ph 11.7 FRS102 SORP. subBw4￿1rn￿rtM￿ *a5 W wt4r8Fth9 11.17
to 11.19, FRSt￿2 SORP.
Yes
No
Nla
r•n9lbl*ffx•d •¥•ets hr Th0**o ¢aplallstyJ WIwcaTh Lwj trftby•than wdc¢¥l %￿all
ty¢h*ity
TW4ro 8lco*.
Tr* dePr￿th rw and m¢thod$us&lwe db**d In ttote9.2.
Jnthr4tbf•ffix•drA￿ts Th8 Cha￿h￿ In*1b￿ fved s$8¢ts. th* 15. w￿¢￿￿￿ty36*•ts thatd0n￿ha¥0
ph>*&l 8ub*n*trAJlar• klendfi*kan¢ Wtrdknd ¢v*&Jy
b391 tyJh*. rat¢S and u$* 4r8 dW%ed M note 9.5
Yes
Nl
Yel
atCQ$L
h￿l￿￿ets, tho1 L%. n￿￿￿[ary￿SSe1a￿th hblorfc, a￿51￿.
IroinLglned prin￿￿￿10r￿[CQn￿￿￿ tokntyA•&J24nd CL￿￿￿. The d8pr*atloTr
r4tesand US￿ nc*9.8.1.
Yes
Thwy•re *o)5t.
No
Nl4
FFAed *5W iNV8Sbnents h quthd ghw¢& trthd h￿S8￿J4￿￿rinWe9tr￿￿lII
valu￿al In￿￿1¥ At¢05t and f￿rV￿je1]FthT￿r￿Y￿UEI8tthe s*
•nd. tre•tmeni&4ppil&lto ￿lIated In￿¢m￿tS unfesgfaii v&i*¢annDI be
m8￿red us8 Y Is lrw8L￿ed *eosiths
Wfor T￿￿orp￿Ing thetr ￿e And cash and eq￿￿ta￿1th 0
niaturitydaieolknth•n I lrnAtad as ￿Se1 inve#m4nts
Yes
No
Nla
Styjcks trKbJlt¥oale 88 wotMJrF¢hartwt4e rnA9$u￿j ai the DF¢Ogl¢xwt
T•8lk%ablB v41w.
Go&J$ or8eTrKè3 P￿dEd as pAn of4 ¢h&Trt￿￿￿tiVNv¥fy rnp98LY*J at not ￿￿L$a￿A•
es
Wtyk In wagrF89I8v*￿dqlCO$1￿￿s onyf¢we81thk&s trAt *WtOLuwon the L¥Jntr•rL
es
Oeb10￿ I1￿￿￿118detht1olts* ILK4ns wiv*￿)￿r8 n￿sUr￿J0Th rero3nlUon
gOttl•meM amwntaftsranytmded*countscra￿UTrIadv￿l¢¢O bythe ¢hllriw. ￿b5￿VenUy,
they8Tr rr*asY￿￿ *the¢a5horothw¢ththattM &KF•Gtsd to O• r•¢e4ved.
Nl8

The ch￿tyh•S hA¥ ￿￿5fOr1e5￿ urpoththw ￿1r￿a￿ande•tsh 4TrJ ¢ll8h
a ma￿r￿•￿t ￿lsthan One￿¢. TWirKfud&e4th ¢n ￿￿j cash
JWAknnts •mabJrtydato Orks•tr￿ry one rorlnvegtmthil WW8STattwth9rtr
matrt term cash cr4nmMrnentSa8Wfall ￿.
TW•r0￿u￿j 8tf•trv￿o¥CeoWtse thtyiw•Nfyas ba* fironr￿ ￿st￿￿•Thts.
Yes
Wa
POLICIES ADOPTED
ADDITI¢)NAL TO OR
DIFFERENT FROM
ThQSE ABOVE

Section C
Notes to the accounts
lcontl
Note 3
Analysls of Incon
ds
fundl
Tow l¥nts Pth)ry••r
IYonthn6
and l•gaci•$:
tlonalknns rf
GrfIAid
561
General grants wovi¢Jed by gov*nrnenVolher
¢hwles
Membership subscriwi￿s ￿￿j spMsorBhip
whlch are tyi gjbstam￿ donbtK)ns
e8,599
58.179
Donatwj oods. fa¢ithes and 8WVI¢88
Total
70.026
70,026
59,179
Charltablo
Other
Total
0thèrtr￿lng
acttvllle¥:
Sho incom8
RefreshmBrts
5.849
12.291
25,080
Totsl
5.849
37.371
Incom• from
Inve8tm&nts..
Intere3t inrxjme
Divid￿ income
Renta an¢ leasin
Other
irthm8
310
310
Total
310
310
mat•rlal It•m
of Income:
Totsl
oth•r.
Conwersk)n of endowment rundg into irKome
Gain on dist#)s￿ of a tangI￿e￿xed asset hekj
for cha
Gain on dispos￿ of a Kyogramme
investment
Royatties from the eX￿o￿￿"0n of Int￿￿tUal
ODe
Totsl
TOTAL INCOME
76185
76.185
96,550
Othtr InlomEIon:
All In¢om• prl(v y•arww• unr•gtrl¢t•d •x￿Ptts￿.
providti 41trseription anM)unl¥)
Whor• ahyend(ywmentfund Is cl￿¥￿1*d Into lo¢tyM In the
r•porUng PObltyJ* pl•u• glv• thg T•ASW forth? wNgr•lon.
Wh•rg ony •ndowm•ntlund 1$ thiY•rt•d Into IhcornD In th•
prfgr porfcd. gl¥eth¢ for lh• c¢)bMr810h.
1. Grant rnc•lwd frorn ECF on 1W1012020 In the
amount of £1•.th10. Th￿ tran*acllw ¢onstltut•d 14.fj%
of orants rec8lved and 13.1% ottho totsl Incoffle for
Ikng r•pc•rttng perhxl,
WNhln the Inc¢￿ Il•n¥ abow th•followh)o Ii•ms t
tmtsrfal: Iplea6• dtselM• tt* natur•. 4mount4nd prfor
y•ar amounts)
CC17a IExc811
1PA0812021

Seciion C
Notes to the accounts
conti
Not• 4
Analy8is of rocglpts of g¢)vwnment grants
Th1* yo•r
Descrfptlon
Coron8virus Job Rel￿￿0￿ Scheme Grants
Gov•mmènt grant 1
GoNwrnmont gr•nt 2
Go¥emmBntgrant 3
Oth•r
30.291
T4)tal
30.291
L•8t wr
D•￿￿tiOn
Gov•mmènl grnrrt 1
Gowmmènt grant 2
Gowmm•nt grant 3
ot￿r
Total
Thls ￿•r
Lz•t
ar
Pl8•sepmvld• d•laits of
unlulfill¢deonditions andoth•r
onllng•n¢ks •ttaehlng to grènts
thath•ve begn rwnlsedln Incom•.
Th1•
La8t ￿ar
Pleaso glve delalls ofotherfomis of
gov•mm8ntasslstanc• from whl¢h
th• ehrity has dlrnelfy b•n•fftgd.
CC17a (Excdl
1210712021

Section C
Notes to the accounts
Icontl
Note 5
l)onated goods, facllltles and servl¢es
This y￿r
Last year
S•¢onded staff
Use of property
Oth¢r
Th18y
Last
Please provlde details of th•
ac¢ountlng policy for the rocognltlon
and valuatFon of donated go¢d8.
fa¢ilitl•¥ and s•rvI￿.
Ploaso provldè dots118 of any
unlulflllod condltions and other
¢onting•ncies attachlng to rosourcg8
from donated goods and $¢Nlce8 nol
recogn48•d in In¢omè.
Ploa80 glye d•talls of oth•r fMn8 Qf
othèr donated g00(Is and serv1￿ not
recognis•d in the a¢count$. eg
contrlbution of unpaid volunteers.
CC17a (Excell
12107r2021

Section C
Note5 to the aCCOLtrnts
Icontl
Nfrt• 6
aly41s of •xpondllur•
Thh
L4$ty•ar
Anaty•l•
funth
fvndl
nd6
Expend*uY• on charttablg udl¥lU••:
Wages & saLArig5
Rent
LwJht & heat
Repairs & maintenan¢e
Teletthne
0thwo￿e custs
4.636
61.860
16.29D
1.012
2,878
2.265
1,93e
48,777
2,000
713
5.470
2.240
48,777
61,8e
16.2
1,012
2.878
2,265
713
5.470
2240
1,11
Total wendilur• on e41oritable
a¢llvltlo5
62,77Q
82.770
,877
90.877
other
Insur8r
Accountan¢ ftt5
Other le
al & fessional fees
De ￿lation
Total other *xpenditure
TOTAL EXPENDtruRE
1.140
1,713
337
1.140
1.713
337
309
3.499
66,269
1.196
1.189
8&1
412
3.627
94.504
830
412
3,627
94.504
3,499
68.269
CC17A (Exujll
1210712021

Section C
Notes to the accounts
Icontl
Nots7
Extraordinary item•
Please •xplairJ the nature of each oxtraordin•ry Item tsccurring in th•p•rlod
Thls y•ar
Last year
D•$¢riptlon
Extraordinary It•m 1
Extraordinary item 2
Exlraordlnary item 3
Extraordlnary itom 4
T¢Aal extrordlnary hams
CC17a (E￿1)
12107r2021

Section C
Notes to the accounts
Nolo 8
Funds recelved a8 agent
&1 Plea$e compl•to thls not• If the chartty agreed to admlnlster the funds of •nother ￿tIty •s Its ag•nt. Note.. M• ¢harlty
Is ectlftg 4$ an ag•rt it should ftot r•cognls• the Inctyne In the S¢atoment of Fln•nclalActl￿tt￿ orth• Bolancfr Sh••L
Amount rncelved
D•scriptlonlnam• of party
Amount pald out
8alaTr¢• held at p•rf¢)d ond
Rolat•d
party (Yes
orNo
Thls y•ar
Last y•ar
Th1$ yur
La8t y•ar
Thls y••r
Last y•ar
TOL
8.2 Wh•rn • con80rt1& or slmllar •nxng•m•nt •xlsts wh•r•by 2 or moro chwId￿ ¢(wernt• to achleve oconomiw In th•
purcha￿ of goods orservlc•s, IY¢8se dIsC¢￿ d•t•lls ol•fty balanc•s outslandlng l)elween émypartl¢ipatlng m•mlMr&
DMcrlpllonlnam• of porty
Balance h•ld at porlod •nd
This year
Last y•ar
Totsl
CC17a (Excel}
1210712021

Sèction C
Notes to the accoLJnts
Nots9
Support Costs
Please ¢omplete th1$ note Ilth• ¢harlty has •nalysgd Its expenses ￿￿n9 a¢fiYity
¢ateport•s and has support costs.
This
Support cost
R418ln
Grand total
8asls of ￿lOCatIOn
IDe8crlbe mOtt￿dI
Govemance
other
Total
L•st year
Support cost
•xam
Ralsln fundg
A¢￿1
tfvl
Grand total
Bxls ol allocatlon
IDes¢rfb• rnelhod)
Governan
Other
T¢tal
Please provlde detall$ of the accounting pollcy
èdoptsd for the •pportlonment of costs between
•ctivttl•$ lind •ny estlmatlon lechnlques used to
eal¢ulats thwr apportIonn￿t.
CC178 IExc811
1210712021

Section C
Notes to tlie accounts
Note 10
Delails of ￿rtaIn ltsms of exp•ndlture
10.1 Fees for examlnation of tho a￿oUnts
Pleasaprovlde detwls olthe amountpald forany statirtory extem81 scrutlnyof
a¢¢ounls end oth•rservic•sprovid•d byyourlndependent frxamlner. If nothing
was paldplease enter Yl'in th• approprlat• l)ox(os).
Thls y•ar
Lagt year
Independent examin*s f•
A8$uran¢g seThlce8 Oth•rth•n audil or ind•p•nd•nt oxamlnallo
Tax advlsory f••¥
Oth•r fees Ilor oxamplg.. flnanclal advic•, consultan￿9 accountancy 8•rvlces) pald
to th• Ind•pèndont oxamln¢r
CC17a (Ewll
1210712W21

Section C
Notes to the accounts
(cont)
Note 11
Pald èmplo￿5
Pleaso complete thls note If the charity has any •m￿0ye0&
11.1 Staff Costs
This yfrar
Last year
Salarles and wages
Soclal securlty costs
Penslon costs {d•fined conlrfbutlon Schame)
Other omployee benofits
48,777
61.860
Total staff costs
48,777
Thls yoar:
61.860
Please provlde detalls of expendllure on staff working for thg
charlty whose contracts are with and are pald by a related party
Last year:
Please provlde detalls of expendlture on staff worklng for the
charlty whose contracts aro wlth and are paid by a related party
Pleas• glve detalls olthe number of employees whose total employee benefits (excludlng employ
penslon costs) fo11 wlthln oach band of ￿0,1Th) from £60.000 upwards. If thern arn no such transactlons.
please enter Yrue, In the Ix>x provided.
No employees recalved employee beneflts (excluding employer
pension Costs) for tho reporting wriod of more than £60,000
TRUE
Band
Number of employees
This year
Last year
£60,000 to £69,999
£70,000 to £79,999
£80.000 to £89,999
£90,000 to £99,999
£100,000 to £109,999
This year
Last year
Please provlde the total amount paid to key management
p•r50nnel (includos truslees and senlor management) for Ihelr
servlces to the charlty. For specific amounts pald to trustees,
see Note 28.
CC178 (Excel}
1210712021

11.2 Average head count In the year
Tho parts of tho charlty In whlch the
employe￿ work
Thls year
Number
Last year
Number
Total
11.3 Ex*ratla paymènts to employees and others l•xcludlng trustees)
Please complete ff an ex*ratla payment Is made.
Please explaln tho nature of the
payment
This year
Last year
Please stste the legal authorlty or
reason for making the payment
This year
Last year
Thls year
Last year
Please state the amount of the payment {or value of any waiver of
a rlght lo an assèt)
CC178 IEx¢o11
1210712021

11.4 Redundancy payments
Please complete rfany redundancy or temilnatlon payment Is made In the perlod.
This year
Last year
Total amount of payment
The nature of the payment (cash, asset
ete.)
Thls ygar
Last year
The extent of redundancy fundlng at the balance sheot date
Please s￿9 the accountlng pollcy for any redundancy or
tèrmlnation payments
CC17a (Excel)
1210712021

Section C
Notes to the accounts
Icontl
Note 12
l)efined contrlbution pension scheme or daflned bonefrt scheme accounted for as a
d•finod contributlon scheme.
12.1 Pl•ase complete this note Ma defined contrfbutlon p•nslon ￿hem0 is operated.
Thls year
Last yoar
Amount of contribullons rocognisod In the SOFA as an •xp•M•
Pl•as• oxplaln the basls for allocatlng the Ilabllity and 8X￿n8• of
dgflned cofttrlbutlon pen81on schemo bgtwo•n actlvltla8 and
betwaen r6$tricted and unreslricted funds.
12.2 Ploase complete thls sectlon where th• charlty particlpatos in a deflnedbenefft penslon plan but Is unabk to
asc•rtaln Its share of th8 undertylng assets and Ilabllldes.
Please confjmi that ahhough the
sch•me Is accounted for a8 a defined
contrlbutlon plan, tt is a dèfined benefit
plan.
Please provldo guch inforniation as Is
vallablg about the Plan￿ Surplus or
d&ficlt and the implications, if anyi for
the roportlng charlty for th18 year and
last year, If dlfferont
12.3 Please complotg thls secuon where the charftypartlclpate$ In a multl4mployer doflned benefftpenslon plan
that Is a¢count•d foras a delln•d contrlbutlon plan.
Descrfbg Iha oxtgnt lo whlch ihe Gharlty
can be Ilable lo tho plan for oth•r
entlti•s' obligatlon$ under the tern
arKI condltlons of the multivemploy•r
plan. If thisls difforent for la8t year,
provlde dets118
Provid• an gxplanatlon of how any
Ilablllty arf81ng from an agreement whh
a multl-omployèr plan to fvnd a deflclt
has been determlnèd. If ihb is dlfforont
for last year¥ provide dotalls
CC17a (Excel}
1210712021

Section C
Notes to the accounts
Icontl
Noto 13
Grantmaking
Pleas• c4)mplote th1¥ note Mthe ¢harlty made anygrants or donatlons whl¢h In 8ggr•g•te forni a matenTalp•rtof the
charlfable actlvftles und•rt•ken.
This year.
13.1 Analys1¥ of urnnts Pold Ilnclud•d in cost of charltable a¢tlvltlès)
Grants t¢
InsthutloThs
Anatysls
Grants to Indlvlduals
Support costs
Total
Activity or pro
A¢b"
ec11
or
e¢t2
Activi
or
roject 3
ActI￿ty or
Total
Please •ntsr"Nll-Mthe charItyd￿ notiTdonttyandlor•llo¢atO SUPPOrt costs.
13.2 Grants mad• to Instltutlons
Please provlde
details olchaity
URL.
My charlty has made 9r•nts to partlculwinstftutions th•tare matertsl In the
context of Its grantm•klng. Detalls of the Institutlon supported. purpose of the
grant and totalpald to each Institirtion is avallablo on the ¢harty* web sfte.
I￿10￿
Nam0¥ of InstStutlon
Purposo
Totsl amount of
rants Id £
Totalgrnnts to Instltullons In rnportlnq p•rfod
Other unanaly$edgrants
TOTAL GRAhTTS PAID
CC17a (Excell
1W07r2021

Last year:
13.3 Analys1$ of granls paid {Includ•d In cost of charlloble activltl•sl
Grants ¢0
Instltutlo
Analys1$
Grants to ind1v1￿•11S
Supp￿1 costs
Total
Adivrty or proiecl 1
Acovity or project 2
Acltmty or prolecl 3
At*vityor proi8d 4
Total
Ploose enter"Illl"If th• charfly does not I￿￿￿8nd10rall0Ute $upport¢osts.
13A Giants mad• to inslitutlons
Please provlde
detai18 of charitys
URL.
My ¢harltyhas mado grnnts top•rticularlnsdlutlons that •re matortel In th•
context of Its grnntmaklng. D•t•iTls ofth• institutlon $upportod. purpose olthe
grant and totalpjld to each Institution Is •vallablo on the charftys web sfte.
Y•s
Provlde detalls
Names of Institution
Purpose
Total amount of
Total grants to Institutlons In rnpathng pwlod
Othorunan•lysedgrdnts
TOTAL GRANT5 PAID
CC178 IExG811
1210712021

Section C
Notes lo the accounts
Icontl
Note 13
Grantsnaklng
Pl8a$e comple1• note lff the ch•rftymJde any grnnts ordonatlons whlch In aggrng•t• • m•terf•lpart of the
This year:
13.1 Analy81s of grants pald Ilncluded In Cost of charltabl• actlvlllm)
Grants to
InstI￿tIOnS
Analy318
Grants to Indlvldua
Support Costs
Activity or pro ect 1
Activi
or prtsect 2
Acti
or
ect3
A￿vI
or
Tot•1
Please ont•r"Alll-If the chaiftydoes not Identmy and/*vallocat• Support costs.
132 Grants made to In8titutlong
Pl•as• pnjvlde
d•tall$ of ¢h•rlty's
URL.
Aty ¢harlty h&s mad8 grant$ to partl¢ulailnstRtstions thal are matertalln the
context oflts 9rnntmaklng. Detalls of the Instltutlon $upported. purpose of the
grnnt and totalpald to eKh Insttltutlon Is avall•blo on the ¢harftys web slte.
No
Names of institutlon
Purpos•
Total amount of
T¢>tal9ranls to Instltutlons In wortingp•rlod
OtlwunanalyseLlgr8nts
TofAL ORIIIITS PAID
cc17a (Exdl
12107r2021

Last year:
13.3 Anal Is of grnnts pald Oncluded In cost of charltabl• ¥IMt1￿)
Grants to
Analysls
Institutions
Grr4)ts to Indmduals
Support co¥ts
Total
A(*"vity Dr project 1
ACti￿ty or proiect 2
Adiwtyor project 3
Adwtytsr prnj￿4
Please •nter"Nll" Ilth• charlty not Identlfy •ndlor•llocafe support ¢osts.
13A Grants made to Insti￿tIOnS
y chaityhas m8d• gr•nts topartlcularlnstttutlons Ihat arn matwlalln the
nt•xt of Its grantmaking. DetaM$ of Ihe InStftUtlt￿ supported. purpose of tho
grant•nd totalpald to each Institutlon Is avallable on the chr1t￿S stta
detalls of chartys
URL
Yes
Provlde detalls
below
Name¥ of Institutlon
Purposo
Total amount of
Totalgrants to Institullon$ ITn r•portlngperf¢
Othorunanatys¢dgKants
TOTAL GRANTS PAID
CC17a (Ewl
12107f2021

Section C
Notes to Ihe accounts
Icontl
Noto 14
Tangible fix￿ assèts
Please eomplgfe th{$ nots lith• ¢harity has *ny lan￿8 ffxodassets
14.1 Cost or ¥•luatlon
FTrghold land &
bulldlng•
Oth•r lond &
ikling
Planl
Flxtur•5. Ilttln
and •qulwent
Total
and motor
thlcl
Al the bgglnning of th6 year
Add￿0
17.667
17,667
Revalu8tionB
Dlswsal$
TransfeTs'
At 8nd of the year
17.667
17.667
14.2 0•pr•¢latlon and Impalrnwnts
NIA
NIA
WA
Reduang b*arte
25%
At b&Jlnning of the yeBr
16,430
16,430
DepTg¢lation
309
lrnpalmitnt
Transfèrs"
At end of the year
16,739
16.739
14.3 N•t book valu8
Ngt book value al the beginning of the yoar
1237
1.237
Net book value at the end ofthe yèar
928
928
CC17a {Ext￿l
1210712021

14A Impjlrmont
y•¥r. P1••59wovld• o doscrfptlon of Ihe •vonts and circumst•nees Ilpat
l•d to th• recognlllon orrw•rs•l olan Impalmiwrtloss.
La5¢y￿r.. Pl•ase wovld8 a descrtption of th• •verts artd ciYcumstaft¢•s that
ledfo the Trcognltlon orr•vgrnal of an Impolmientlo
14.e5 Revaluatlon
Man *cGotsnllrypollcy OAT￿1￿•￿ ts •dW¢41, pl￿ provldo..
Ih Off•¢tt￿ date oltho Trval￿110n
Thls
•r
th• of h￿￿nd•￿t valu•r, ff ¥pplIcal￿&
Ihe m•thods appli8dandslgnfftantassumptlons
th• carylnq am4wnt th•t w<JUld1￿¥9 be•n rwnls•dh•d thè •8sets b4•n
cvrlvd undèr Ihtr cosl model
14.6 Oth•r d￿ClOS￿r•S
Thls y••r
Last yèar
14 Pleas• stsle th• •mount of bt)ffowlng costs. Mafty, eapltathdin the conslnKtlon ol
t•nglble tlxed•ss•ts and th• caplt•llsation rnle us•¢l.
fl4 Pl•ase pmvlde Ihg aMI￿nI olconts3etu•l commitme￿ for Ihe acqui5itivn of t•nglble
fix8d•sse
(HI) Det¥lts of th• fjxlst¥rrt• andc•nylftp 4mounts ofwop•rty, pl￿t •nd
•qu1pn￿ftt to whkh th• ch4rty has r*slrtct•d Ilffe orth•t•repledq•d•¥
$Kuilty forllabllllias.
' Th& 7rnislws'rowi8 formov8nJents ffxed èssètcalegorlas.
"Plea$& vthcal& the method of depr6ciakn by d818fvng the method notapplKable (SL = sfraighl linB,' R8= r9duclng l)818llG8J. Alsopleg88
fr￿16a10 the rnt8 of deprec1BIK￿.' ft*str&ightbn•. ¥thAtl8 Iho anbclp8ted ltte rftl)& assel (In yws).. fOrTrdU¢￿9 balan￿, I￿at[S the
P8twitsgg amu81 de(lUcY￿).
CC17a IEx¢ell
12107r2021

Section C
Notes lo the accounls
Iconl
Note 15
Intangible assets
Pleaso complete thls note Mlhe ¢harity has any Intanglble assets
15.1 Ci>st or valuation
Res8orch &
development
Pat•nts •nd
trad•marks
Total
At beginning of the year
Additions
Disposals
RevalUatic￿8
Transfers '
At end of the year
1S.2 Amortlsatlon and impalrnwts
"Basls
SLorRB
SLorRB
SLorRB
SLorRB
Stralght Line
I"SL"} or
Raducing
Balance
I'RB°}
Al beginning of the year
DIspo8als
Amortlsalion
Impairment
Trgnsfers"
At end of year
15.3 Net book val
Ngt book value al thg beginning
of the year
N8t book value al the end of thg
year
15.4 AcGountlng pollcy
Please dlsclose th• •ccountlng policy forlntanglble fi￿d as$ots In¢ludlng.'
Reasons forchoosing amortlsatlon rates
Pollci•s for th• rncognltlon of any capltal
d•velopment
CC178 (Excell
1W0712021

15.5 Impalrment
Thls >*ar:
Please pmvid• a d•scrlpelon of the events ond
¢ircum$t•nces Ihatled to the recoqnluon or reverul of an
Impalmient loss.
Last y•ar:
Please pmvlde a descrlptlon of the events and
C1￿uMstanceS thal led to th• recognibon orr•versal of an
Impalm7ent loss.
15.6 Revaluatlon
If an ac¢oun¢ing poliGy of rev•luadon Is edoptsd. please provlde..
Thls yoar
Last ￿al
the effedlve date of th• r•v•lu8Uon
the nanw of Independent valu•r. rf•pplical)le
the methods applled
th• carnylnq amount that would have been r•¢ognls•d
had th• assots been cwrled tsnd•r the c05t MO￿￿.
15.7 Other dlsGlosure8
fi) If yourin¢anglble assèt was acqulr•d by way olgrant,
pmvlde value on Inlrfal re¢ognltlon and Carrying amount
of fhe ass•t.
(11) Detslls of tho carrylng amounts of any Intanglble
assets to byhkh the charlty has restrlcted tftle or that arn
pledged as sKurlty ft>r Ilabllltles.
(iiij Plea$• pmvlde the amount of contractual
commilments ft*r the acqulsldon of Intanqibl• •ss•ts.
(Iv) State the amount olrese•r¢h and development
•xpenditure recognlsed as •xpendhurn In fhe year.
(v) Pl••se d•tail the headlngs In the SOFA In which •
charye for •mortlsatlon of int8nglble assets 1$ includ•d.
fvl) For any material intanglble ass•ts. pleaso pmvlde
description. ies carrylng amount and anyren7alnlng
amortlsation wlod.
. 7h8 ￿anSTers.￿W is formgvements betWg8n fixed asset Categ￿￿&
- Pltraso Andicate thg method of deKw18t￿n by deletlng the method not applKable (SL - strauht Ilne,- RB=
reduGing balance). Also please indicale the rate of d8pr0ciat￿n." for sts￿ht ling, wh81 Is the antiCiP8ted lrfe
olthe asset (In ￿ar$),' for reducing b81ance, what is the pgrcenlage annu81 deduction.
CC17a (Excell
12107f2021

Section C
Notes to tlie accounts
contl
Noto 16
Hgrltage ass•ts
Ploase compl8t• thls not• If the chwyty has h•rlt•ge ass•ts
16.1 General di$¢loBur•s for all Charl￿•* holding h•rit¥ge ag9•ts
Thls ￿ar
Last ￿ar
(l) Explaln Ihg natyr¢ and •calo of
rltagg a$s•t$ hold.
{11} Explain the pollcy forth•
4eqvlsltlon, pr•8ervatbon,
manag¢m•nt and d￿9￿al of h•ritage
•ts.
1fj.2 Cost or ¥du¥tion
Hgrtlage us•t
H•rltag• •M•t
Horlts9• ￿581
Horlt•g• a8801
Totsl
At beginniro ofthè >*ar
Addllior
DL8posa
Rfjv8Juations
Tr8nsfers'
At end of tho year
18.3 D•pr•elatlon and Impalrments
Straight Lin8
C'SL'I or
Reducin9
Balance
At bg3inrHng of the year
f15posals
Depr8dati
lrnpaimiént
Transfèrs.
At end 0f￿r
16A Nel book valu
Net book value at the beginning of the
yeaT
Net boc4¢ valuè at the end of the y8af
CC178 (Exo11
1210712021

16.5 ImDalrn*nt
Thls y•ar
P￿S•provId• a des¢rfpllon ofth• •v•nts and eir¢umst•n¢•s
Ilwtleil to th• rKognltion orrnverJal olan Impalm￿￿tIO$$.
La•t >*ar
Please provld• • d•scripffon of th• •vents •nd cIrcumst*n￿3
thatl•d to the rKognlkn orrevers•lofan Impalrm•rtloss
16.6 R¢valuatl¢n
Man a￿￿Un￿￿9 pollcyofrnvaluauon Is •dop18d. ph•s• provld•.'
Thii y•ar
La8t y•ar
b)• •ffecdv• date of th• rnvaluatlon
th• nanw oflndspsndgnt valugr. If•pplk•ble
qu•lllkatlons of Indepwjdent valu•r
Ihg m•thods appllod8ndsl9rtiftwnl assumpJons
any sWlfie•ntllmfta*ons on lh¢ valualloft
16.7 knalysls of herftao• ass•t8 ty ¢la$6 or group dlstlno¥18hlng tho¥e at cost and valuatlon
At ¥al￿tiOn
At ¢OSt Group
Oroyp A
Totsi
Caryng amount at the beginnlng of the
ra
Addklons
Disposa15
Depreoalionfimparmenl
Revalualbn
c8ww.rg amount at the end of period
16.9 H•rttag• ui•ts {w￿re h•rltsgo a88•ts ar• not r•¢oignlg•d on th• balance 8hg•t)
Thls Jtyar
La9t ￿ar
111 Explaln tha reason why h•rfts
assets haN* not ￿en recognried on
balat)ca stt•oL
{ii) Dé8erlb• th• slgnlfiCan￿ and
nature of h•ritAge assots.
INI> D*clo8• Infom)allon that l•
holpful ass•sslng the valuo of
hgrltay as¥ets.
(fvl Explaln the r•a80n why it19 not
pracllcabl• to obtaln a valuatk)n of
h•rltagg ass•t$.
CC178 IExcg11
12K)7r2021

10.9 Fl¥è >YJr Summary of h•rllago asBgts transactlons
2015
2014
2013
2012
2011
Pur¢ha8es
Group A
Group B
Group C
Othèr
Donallon•
Group A
Group B
Group C
111
Total addltlons
Charge lor imp8lmxnt
Group A
Group 8
Group C
Totsl charge for impalrniènt
Dlspoi•l8
Group A- ¢e￿ng amount
Group B- carrylng amount
Group C
Other
Total dl¥posal•
CC17a (Excell
1W0712021

Section C
Notos lo tho accoijnls
Icrjntl
Not• 17
Inw$imgnl ass•ts
1T.1 FIMd a8#ts In¥•8tm8nts Iploase provld# forg%h cla$8 of In¥ty•tsn•ntl
agu￿￿nIS
C￿r￿n9 Ifaiil at of
Add: •Jdlh)n5 to InvestrnontsdurfrwJ
rkjd.
L•s8: dW5al$8tcaryyrvJ v8h
L•M'. Impainnts
Add.. R•￿￿1 oftmpaknients
Add￿d•duC0'. transfer Inqoutl kn the
pertc*J
Addl(dI￿CtI. nèt yaknllh)ssl C
r¢v81ualon
arryino Ifalrl at*AKI of
1•oM 8P¢¢1fy•dd￿￿n￿ r•suMlng from
acqul1lll0￿ throuth l)uslrw ¢ornblnatbn•. 11
4701• th•tFalr V#lu• In th18 corf•xtis lh• •mounl lorwhkh è¥¥etcouldts• vx¢hang8dO•lwew knpwhg•blg and
London Stock Ex¢hang0 Dalfy Offl¢l*lLisl ¢Y 8qufv*lBrt. FLYOth¢r4¥Mts whw• bl•rn i¥ Ni m**etwk• on a traded ffl•rt•¢
ttIB tho try¥te•s'o#v•luws'b¢si•stiiNieoll4lrv•lug.
172 Pl8w prowdg a br•akdovm of inv•8tmonts Shown abovo 0grn•ing vAth tho balan¢• sh•t B04
drifornntlatlng b8lw•gn th9￿ held attslr valuè and h•kl at ¢0Ot1g66 ImpalrnwnL
Th18 yeaT.'
tless IMPakn￿￿t
Cath ty cuh è4uwalents
Llst•d On¥￿￿nInts
So¢lel Inv•strn8nts
Tof•l
fjrand tolal IFJlrvalu• at ￿T•nd+¢0￿t1&ss Inw1rn￿nt}
Lasty•*r.'
Anatysh of In￿stM￿nts
Fafjr¥alu• at end
Cost1•s5 Impairmqnt
C&¥h or •qulvaktrtts
Ll$t•d In¥¢stsMnts
In￿*1ffienl NOrA￿¢S
Soclal Inve5tsn•nts
Total
Gr4nd total (Falr vJlu• at>w •nd+Cost knss Impalrm•ntl
CC17alExdl
12h)712021

17J 11 yoUr¢￿rIty I￿lts Inv•8lm•rf propert1•51 pho$0 complot• th• followlno not•..
Thls y￿r
Ill E¥W•rn th• m&thodg and ilgnltlcantiissunwions in
d•t•rmknlng tm tsir valuè of tnvo•tsknBntproptrty h•W byth•
La•t y••r
Nam• or Indep•nd•ntvalu•r. If appllcablè. rnl•vart
quallft¢•¢ion•
11111 Provlde d8laMs of any rèstrlcUon5 on tha abl1￿ to r••ll8e
investmntproptyoron lh• r•mM•nc8 ofIn￿￿& or
sprJMI proee8d•
lfv) Expl41ft any contr•¢tual obligNtlon$ for the pU￿h￿Se,
Construc￿•￿ ord•vèlopm&rtof In¥e8im•rrt property or fvr
17A Ph08• prthrfd• a br•akdovffl d cuft*rt éssel IntMslrn•nts, If appllcablgl agrnelng with th• hlanc• sl*•t.
Pth•ly81s of curr•ntw•t In¥oOtm•nts
TN$
In¥È¥lm•r* pr4)pèrties
Srthl Inv081m•nts
OthEr Invtstrngnts
17.5 Gu•rant•e8
Pl&•se provid• d•talh amourt of•ny gu•v•ntsg m•dE to
or on b8haWof a thlrd party
Mam• ofthe or •ntltkn b•n•llttlng from tho••
gu•r•rt•e5
Phoso•xpl•lM hwth• ¥y•rantsè ￿rI￿r% Il* charfl￿ Almi
CC770 IExe•ll
12ffj7120X

17.6 co￿•$$10￿ary loan8
Th1$ >*ar£
L•¥t y•w£
Amount oFwrK•68lonary loans m•il• (Althb
Totsl
T￿Ytsre
An(￿￿101 con¢o••loMry I￿￿5 receivgd
y••r£
Thls y#r
Las¢ y••r
Terrm and wnthttOmS ag Int8f•st r41•. se¢U￿V
pro¥ld81
Value of any con¢gsS￿nary l¢)sns which ho¥e
b•¢n commlited but nottsk•n upatthg reportlng
ATnuunts poyabl• wlthln 1 ￿Or
Ajnounts payablè aftgr m¢wo th4n 1 yvr
AM￿￿nIS rec•1￿10 wlthln l yoar
Amounts r•Mfvabh ￿TmO￿l than l yè
17.7 Addltlonal Infomitttion
Th
Phas• provlth lnf0rnwI￿ •bwttho
g*nlfiethnce of invastrnents to tho ehirW8
finanrlwl po￿tIOn or porfumanc• èg. t•Th￿ Ind
of loam ¢¢tho usè olhgdgln9 to
man•9e financlal rf¥k.
Last
For411 knv•stmoMS nvJi8urnd atf•lr va￿•. the
81s for d•temiinlTrg the valug. Includlry any
SSLwnptlon$ appllod whwn uglw • vatyjatlon
t•¢hnlquo,
Wh•r• a chartty h•s proVId￿ eM•L* 4$
forn1 of 5evJrlty, th? ￿Try1Th9 anvyjnt of t￿?
ffln4nclal as¥et pl￿9•d •8 S*¢Ur￿ •nd tho t•m
4nd eondttlons relatlnp to b pkdg•.
CC174 IEx¢eD
12K)712021

Section C
Notes to the accounts
Icontl
Not• 18
Sto¢ks
Please complète this not¢ If the ¢harlty holds 8ny stock Items
18.1 Pleas9 Stato tho carrylng amount of sts¢k and work In progress analys￿ betwo•n
actlvitlos.
St￿k
Donated goods
For
dlstribution
Work In
progr•
For r•Bal•
For
dlstrlbutlon
For resale
Charftablo actlvltla8:
Op•nlng
Add•dln p•Ylod
exp•￿$￿In pBrfod
Inw•lr•d
¢loslng
Other tradlng athitl•s".
Op•nlng
Addedln perlod
Impalft¥d
Other..
Op•nlng
Add¢dln p•rlod
Expens•d In p•rtod
InFpalr*d
Closing
Totsl this year
Total prnvlous ye•r
Thls year
Last yoar
18.2 Pleaso Sp￿Ify the earrylng amount of
any stocks pledged as security for Ilabllltlgs
CC17a (Excell
1210712021

Section C
Note5 to the accounts
(cont)
Note 19
Debt¢)rs and prepayments
Please Complete thls note rfthe chayty has any
debt0￿ orprepayments.
19.1 Analysls of debtors
Th1$ yoar
La8t year
Trade dèbtors
Prepayments and accru•d Inwme
Other dobtors
Total
Plgose complet¢ 19.2 whore a materfal debtorls recoverable more than a year ofter th• reportlng date.
19.2 An•lysls of debtors rKoverabl• In more than 1 y•ar (Includod In debtors alM)ve)
Thls year
L8st year
Trade debtor6
Prepayments and a¢¢ruod In¢ome
Other dobtors
Total
CC17a (Excel)
1210712021

Section C
Notes to the accounts
(conll
Note 20
Cr￿ltorS and accruals
Please complete thls not• Ilth chjrlty has any ¢redl¢ors oraccrnals.
20.1 Anatysis of creditors
Amounts falllng du• wlthln
ona year
Thls y•ar
Last yèar
Amounts falllng due after
more than one yoar
rhi¥ year
Last year
C￿￿18 for grants payobl•
Bank loans and overdrafts
Trade Gredltor8
Payments rec•ived on account for contracts or
Porfonnancevrttlated grants
Ac¢Tua18 and déf0rr•d incomg
Taxatlon and Soclal Socurlty
Other cr•dltors
1,000
173
1.000
321
8.207
12,798
Total
20.2 Deforrnd Income
Please complete this noto iltho charfty has defernd income.
Please explaln th• reasons whyin¢ome i¥ defery•d.
Th58
ear
Last
Mov•ment In deferr￿ In¢om• account
Thls year
Last year
Balance at the Slart of the rnportlng perfod
Amounts added In currènt period
Amounts released to income from provlous perlods
Balance at the end of the reporting poriod
CC178 IExcell
12107r2021

Se¢tion C
Notes to the accounts
14ot• 21 Pro¥l6lons for Ilabllitle8 and ¢harg•s
Phas• eomphts thi$ notsmyou hoY•lneludedln Chwltye¥p￿dl1u￿• ￿YPI￿VISkn& A prnl¥lon i¥ ma(h wh8n lh•
S • 114l>llltyof un¢8rt•in Ilming or•mount.
21.1 Mo¥•m•nts In r•¢ognls•d w￿1￿10￿$ and fvndlh¥ comrh*mont dwlng pèriod
(conti
This y•ar
Las¢ y￿r
8al•nc8 att￿ gtart of tho reporting p•riod
add•d In ¢urr•nt ￿rIts￿
Amounts tharg•d ag•lnst th• prtsytslon kn th• ￿1¥0￿1 p•riod
Unus¢d amounts re¥pr#•d durln9 the p?rfod
Balan￿ att￿ gnd oltho reporting p•rfod
21.2 Phas• provldo:
- a brfer d•8¢rlMlon of any obllgotlons on Iho
balan¢9 8hggt and tho •mount 4md lknlnll or
resultlng payTr*nl$.'
Th1$
L•t y¢ar
. an Indl¢atlon of the unc•rt8lnt￿ about tho amount
or timrng otthose 0uffi0￿,. and
. th• amountof¥ny •xpecl•d r•lrthr58rn9rt Wlno
the *Thount of any 8BS•t that has lJe8n r•oognl&•d for
that expect•d rolmbuw5ement.
Thls
21.J Forany fvndlng ¢ommll¥nentthat Is not
recogn1￿￿ as *11obrlity or prov181on, P￿de d•t4lls
of commltsn8nt madg. the time fr*n& of that
commlthxnt. any p•rfowrnanctrreloted ¢ondltioM and
detallB of howth• coTrvnitm&ntwlll be fund•d Iwlth
contmts lor capltal 0x￿n￿MUr• *•par4t8ty
identllkndl.
21A Ylheye unr•strlct8d fvnds hov• lJ••n deslgnated
tts a lund eoiiwnltment. pleme dlsclose Iho Trature of
awl *nounts designoted and the Ilkety limlno of th•t
•Apenflj￿rO.
CC17* IEKo11
12mr2021

Section C
Notes to the accounts
Icontl
Note 22 Other dls¢losuro8 for dgbtor8, ereditors and othor ba•ic Ilnanclal Instrumènts
22.1 Pl8as• provldg Intorn*tSon abwtthg slpnill¢•nc• of
flnanclal Instrurn•nts l•g. dgbtors. cr1d￿0￿. Investsnents
•tcl to the ch•rtty• flnanclal positlon or p•rfonTrance. for
•xample. tho t•mis trnd eond5tlon8 of loan* or the usg Qf
hgdglng to manage financial rl$k.
ThIs￿ar
Last ￿al
22.2 It the eharity has provldéd Iln4nci#l assets 48 a forni of
*•cuilty. the carrying amount of th• flnancial a•s•ts pl•d9ed
as ueurltyand the t•rnis and conltlon5 ffelat￿ to Its plodg•
*houkl be glvsn here.
CC17a IExcd}
1210712W21

Section C
Notes to the accounts
Noto 23 Conting•nt liabilllles and ￿ntIn90Tht assets
23.1 Contingont Ilabllitros
Whar• tho eharlty has ¢onting•nt IlablllllU•8. ple•8a ¢ompl•t• th• following *•ctkni unlo88 the posgrbiNtyol
thelr exlslgn¢• Is r•mot•.
Th18 y•ar
Description of Item Ineludlnq its Je9al natur•. Pleas6
describ• any security provl(tsd In ¢onn¢¢tion to th•
Jlablllty.
Icontl
E8tlmate of flnartdal effect
Last year
D¢$cklptlon of item includlng kgal naturn. Pl•a¥o
d•Krlbo any seeurlty provldod In eonn•etion to th•
IlabllFty.
Estlmats of flnan¢ial •ff•ct
23.2 Contlnggnt aB8•ts
Whern tho eharlty ha• ¢Ob)Ilng•rrt aM•ts. pl•a8e compht• tho followlng 8•etSon wh•n th•lr exlgt•ncè is
prob*bl•
Th18 year
D•*crlpllon of It•m
E#tlmat• ol Itnanclal effeet
L•8t ￿ar
DO￿￿pIlon of Ftem
E8timat• of flnandal •tl•ct
23.4 Oth•rdlsclo8ur•s lor contlngènt assets thnthir Ilabllltl•
Pl•a8e provid• the followlng Informatlon wh•r• pradcable:
Explaln any uncertaintt•s r•latlng to thè amount or
tlming of Bettt•men(' and the pos•lbllty ol any
reimburs•mfrnt
Th18 y•ar
Last ￿•r
Wher• tt Is not practl¢al to mako on* or mox• of t￿se
dlselo8ure8, please stats th1$ fact
CC17a (Excdl
1210712021

Section C
Note5 to the a¢GOilnts
(cont
Not• 24
CthJh at bonk and In hand
This >wr
L•8ts*ar
Short i•vm u¥h Inv•sbMrrt# (108$ thon 3 morthl m•tsrJty d•¢•l
Shorttorm rt•po¥lts
Cash at bank and on hjnd
25,546
20,060
Tttsl
46
CC178lExdl

Section C
Notes to the accounts
(conti
Nole 2S
Fair value of assets and Ilabllitle•
Thls
2&1 Ploa*• provldo d•tAII8 oltha ¢harltY•
expp¥ur• tts crodll r15k Ilhe rl8k of incuthng a loss
duo to a d¢btor not payln9 what18 <y*•dl, 114ulI*ty
risk Ith• rl6k of not b•lng ablo to me4 short ¢•nn
ftnanc*l d￿￿ond*) and market rlyk Ith• rfsk that
th• valu• of an Inv•¥tmont wlll fall duo to ¢hang88
In th• market) arlslng from ftnBncl•l instrurn6nt5 to
vthkh tha chadty18 eXPDSod ai th• end of thg
r•porting p•rlod and expl•in how th• charfty
m?nagts thos• rlsk
ar
2&2 PIBaM 9Ivo dBtall8 of th• amount of chang0
In thé laif value of bJ¥lc finanelal Instruments
Id•btors. Ixgdllor8, In¥88bn•nl* Btttlon 11,
FRS 102 SORPII mwurod ot f41rvalu• through
th• 3oFAthat ljs attrlbutoblè to chan988 In Gradlt
rfak.
CC17a (Eyull
1210712021

Section C
Notes to the accounts
(¢onti
Note 26
Events after the end of thg reportlng perlod
Pl•aso complete thls note O￿ntS (not rnqulrlng adjustment to the accounts)
have occurnd after the end of the reportlng period but beft>rn the accounts
are authorlsed whloh relate to condltions that arnse after th8 endof the
Thls
•ar
Lasl year
Please provlde d•talls of the naturn of th•
ovont
Provlde an estlmate of tho financlal effect
of the event or a statoment that such an
estimate cannol be made
CC17a (Excel)
1210712021

Section C
Notes to tliL% account5
Nots 27
Chnrl fun
27.1 Detslls olmai*lal hld and nw)verr*rtts the CURRE14T rep￿ p*lod
Typ•PE, EE
RorUR'
l•nc•s
bro4ht
WI￿￿
fDn¥ard
Exp•ryJknr•
G•rnralfuTh
UR
7.178
76.185
e6.269
7.178
76.785
e6269
17,094
¢C17¥lW)
1￿)7￿1

Section C
NotQs lo tlie accounts
Note 27
Chn
funds
271 D¢tall8 of materfal fundB h•ld ￿ movM*nts thjrfng Ih• PREVIOUS r•porttng wrlod
T￿• PQ EE
Roruft.
un
ull
In¢om•
Tran*ler*
e&nwalfvnd
UR
7.178
Nl*
T•w Fun
5,132
96.5
94￿4
7.178
CC178 (E￿
12m7r&r21

Section C
Notes to the accounts
Icontl
Note 27
Charlty funds {cont)
27.3 Transfers bètween funds
Thls
Ro#son for transfer and wher• endowmont Is ¢onvert•d to Incom•,
legal power for its converslon
Amount
Betsveen unrestriGted and
restricted funds
BetW9en endowment and
restricted funds
Betsveen end¢)wment and
unrestrfcted funds
Last year
Reason for transfor and wher• endowrnent Is conv•rt•d to Incorne,
legal power for Its eonverslon
Amount
Belween unrestricted and
restricted funds
Be￿en endO￿an1 and
reslrKled funds
B8knn endowment ar
unreStr￿ed funds
27.4 D•slgnat•d funds
Thls ￿ar
Planned uso
Purposg of th• dB8lgnatlon
Amount
ar
Planned use
Purposo of tho de81gnatlon
Amount
CC178 {Ex¢el)
1210712021

Section C
Note5 to tlie atr.¢OLints
Iconll
Not• 28
Trnn8actlon8 wlth trugto0$ and rolat•d part*s
Mthg ¢hwltyh8sany lrnn**cdons wlth rel•lgLlwth{0thgr*Mtt th• trii#i¢e expETr￿ •xplaln•dln quld•rt• nofe8) dd•ib
28.1 Tniiiee r•n)uMrnUon and bgn•fft8
Th1$ y•ar
Non• olth• *Aus*•s h•¥• bg8n pald any fvmun•rndon or •fiy oth•rboft•fft¥ from •n
•n4)loym•otwlth thelr ¢haI￿ orth rèl•ied 8ntltylTru• ty Falo0)
TRUE
hj th• ptrlodth•chartyha$ wldlruste¢s remtuwalkn andb•n•ffts. Plv•sowe Ihe •mouMd. 4nd1ryal9￿1Or. •ny
unorniion Orothorbtrteffts￿Idlo o trustsolJyth• th•rity tsr•nylnsthtlon or¢offlp*nycomie¢tsd I
Amourts pokl or ben•fft
L•gal •uthorMy l•g
order. gOV8mlng
RIm￿neraton
me of trn#t8•
TOTAL
(Trn¢ludlThJ
eJl•x
Ple•strglve dotsiis ofwhy rwmunw•kn orother
•mploymgntbgn•frts w*ypth.
Lastyaar
Non¢ ofthè Iru5ts•1 hjvv pald any reMunern¢ion or rwlvod aAy Oth•rb•r*15ts froffl In
•mploynx*twrth thÈIrc￿IIty or a r•lated gntttylTru¥ or Fal¥•)
TRUE
Amounts p•id w ￿n•￿t¥ll￿9
L•911 evthor￿(•g
order* •￿0M1n9
do¢um•nV
R4mun•rthn
P￿IlL¥S
R•dundan¢y
Ilndudlr*J
TOTAL
Namè altru8ts¢
Wh•rg•n 4xgrntlap•ym•rth•s*Mn nmdg to • hysts•,
CC17a
12107r2021

282 TfUStee$' •xp•n8•6
Mth• chrftyhas ￿ldtr￿stI￿ •xp•nses forfv1fill1￿ th•lrdub•s. 014u¢h tr*n8acrfon¥ ¥lMwlllTb•provld•dln &)As
No tru¥t•o expery￿ haw b•en kncurred (fvu• or Fal*È)
TRUE
T>y• of•xpenw relmbLtrs•d
Lastyear
Trjvel
Subsist•nce
Accommodaiion
Otherlplgas• $p•¢lfyl:
roTAL
Plea88 provld• th• numhr oftru¥t••¥ r•lmbuMed for orwho
had •wn¥o¥ pald byth• Char
28.3 Trnnsa¢tlon(sl wlth T•l•¢¢d p•rtles
Please glwe d•ta115 offany tro￿￿¢1￿ I￿￿On•￿en by{OTvnbeh*MoQ th• tlwtylft whkh • thtsdp•rtyfvas • m*lwlal
Inl•res¢ In¢lu¢llng wh•rnfuntls h8Yeb••n IMId•$4g•rtforr￿at￿p•rtIe& Ifthenv we no su¢h tr•nsaciion4 enl•r
Th18 y￿r
Th•r• ha￿ been no r8lot•d partytranÈaGtlons Inth• r•poMing p•rtod ITwe or F41801
TRUE
Nomo of Il* trusl•e
or r•ltht•d party
RolotionshSp
to ¢hHrlty
D•s¢rlplon ottr
Amourt
8al•nco at
pgrlod •rKI
ProvFslon for bad d
at porfod ¢nd
wrllten ull
durlng
rèportl
Inml•th7n lo th• transaoths •bov* pl•￿provIde￿O
temis ￿NIca￿dI￿On8, /n¢ludlng •nyS8CUTityandth• n•tw•
olwly paym•rt{conslder•tW ￿ty•prOVIded￿n
¢¢171 IE¥e811
IVJ7tt021

Last year
Thw• h4vo b•èh no r8l•i¢d p•rtylranMctk4M In the r•pothg peri¢xI ITrn• or Falsel
TRUE
Amounts
wrltten off
durlng
roportlng
parlod
N•rn• ofth¥tru4ts•
or r•l•ted party
R•l•tlon$lAp
to clwrky
De¥crlptlon
trnnM¢tlonlsl
qt
p•rloO ond
ProvFJlohfDr IMd dobts
rlodend
torms and¢¢)ndltlon* including any securttyaftdth• nalurn
ofBryp•yMent(con￿wthtt) ttsts•provlrfwlln
C17a IEK•ll
12￿)7￿021

Section C
Noles to the accounts
(cont)
Nole 29
Additlonal Disclosures
The followlng are signlficant matters whlch arn not coverod In other notss and need to be includ•d to
provlde a proper understandlng of the ac¢ounts. If there Is Insufficient room here, plaase add a
separate sheet
CC17a {Excel)
1210712021