CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for the period
From 1st November 2023
Period end date
Period start date To 31st October 2024
Charity name: Creation Fest Limited
Charity registration number: 1121924
Company Number . 05824431
Objectives and Activities
SORP reference
Summary of the purposes of
the charity as set out in its
goveming document
Para1.17
The advancement of Chrrslianity for the
benefit of the public in accordance with the
following..
a. To worship God the Father, Son and
Holy Spirit
b. To build up the Church of Jesus
Christ, in particular through the
teaching and preaching of the Word
of God (The Bible)
c. To proclaim that men and women
should repent and believe in Jesus
as Saviour and Lord.
Summary of the main
activities in relation to Ihose
purposes for the public
benefit, in particular, the
aGtivities, projects or
services identified in the
accounts.
Para 1.17and 1.19
1. Organising and presenting an
annual outdoor feslival and other
related events, that feature
contemporary Chrislian musicians
and public speakers for the purpose
of..
a. Teaching
b. Worship
c. Prayer
d. Evangelism
e. Youth and Children's programmes
2. Year-round missional activity,
especially but not exclusively. for
young people.
Statement confirming
whether the trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefit
Para 1.18
The Trust complies with the duty in section
17(5) of the Charities Act 2011.. to have due
regard to guidan￿ published by the Charity
Commission on public benefit statements.
Additional infonnation (optional)

You ma
choose to include further statements where relevant about..
SORP reference
Para 1.38
Policy on grant making
Para 1.38
Policy on social investment
including program related
investment
Creation Fest 2024 included 350 core
volunteers who helped produce and deliver
the event with excellence.
Para 1.38
Contribution made by
volunteers
From its humble beginning in 2002,
Creation Fest has continued to grow and
receive widespread support and interest
from across local and national communities,
churches, charities and organisations.
stsrting as a one-day festival on the
Esplanade in Woolacombe in 2002, then a
three-day event from 2003 - 2008
(Woolacombe)- In 2009 it moved to the
larger county showground in Wadebridge,
Cornwall, to host a seven-day event each
summer. Yet despite its success and
growth over the last iknenty years, the
nature and format of the festival has kept its
missional heart for Christian outreach and
ministry. In 2007 it became a fegistered
Charity. After a year of rest for COVID
(20201 it retumed as a three day festival in
2021 and a four day festival in 2022.
Other

Achievements and Performance
SORP referenetr
Creation Fest exists to celebrate the good
news of a God who loves us through
festivals, events, and gatherings designed
to creatively communicate the Christian
faith and inspire others lo do the same.
Summary ofthe main
achievements of the charity,
identifying the difference the
charity s work has made to
the circumstances of its
beneficiaries and any wider
benefits to society as a
whole.
Para 1.20
Our 2024 event saw over 6000 people on-
site throughout the weekend and hundreds
receive prayer throughout the festival, along
with 21 recorded baptisms and 386 faith
decisions in our families venue. This
continued to extend our aims of clearly
inviting our community to experience the
Gospel.
Throughout the year, we speak at events
and work in partnership with local
organisations, inspiring individuals and
churches to reach their communities with
the good news of Jesus Christ.
We connect with unchurched young people
through weekly drop ins at our office and a
regular faith club in our local secondary
school, including participation with
Wadebridge School and Twro College.
Each quarter, we host Glow, the only youth
gathering of its kind in the whole of
Cornwall. This sees over 100 young people
come from across the county to learn,
worship and go deeper with Jesus
together.
Additional infomiation (optional)
You ma
choose to include further statements where relevant about=
The event saw over 6000 people on-site
throughout the weekend and hundreds
receive prayer throughout the festival, along
with 21 recorded baptisms and 386 faith
decisions in our families venue. This
continued to extend our aims of clearly
inviting our community to experience the
Gospel.
Para 1.41
Achievem8nts against
objectives set

Our fundraising shows key areas for growth,
particularly in grants and trust funds and
income centres.
Perfomiance of fundraising
activities against objectives
set
Para 1.41
NIA.
Investment perfonnance
against objectives
P8ia 1.41
Other

Financial Review
Review of the charity's
financial position at the end
of the period
Para 1.zl
As at the year end the charity had reserves
totaling £41,039 including £33 of restricted
reserves. The charity's cash reserves at the
year end tolaled £10,621 which is a
reduction on the previous year due to
increased costs. With the ongoing support
of the charity's largest donor Calvary
Chapel Costa Mesa, the Trustees deem the
current level of reserves sufficient to allow
the ongoing operation of the charity.
The Charity owns no land and buildings and
has a policy to hold sufficient reserves to
meet its financial commitments incurred in
planning and conducting Ihe events for that
particular year. Current reserves are
sufficient for any such possible
commitment.
Stalement explaining the
policy for holding reserves
stating why they are held
Pafa 1.22
Amount of reserves held
Par8 1.22
£41.039
Reasons for holding zero
reserves
Para 1.22
Not applicable
Details of fund materially in
deficit
Pafa 1.24
Not applicable
Explanation of any
uncertainties about the
charity continuing as a going
concern
Para 1.23
At present, our charity continues to have a
lack of certainty making it tricky lo
confidently announce intentions for next
year's festival. The charity has received
confirmation from it's main donor, Calvary
Chapel Costa Mesa. confirming their
ongoing support meaning the charity can be
considered a going concern.
Additional infomiation (optional)
You may choose to include further stalem8nts where relevant about:

From 2002-2014 Creation Fest was
primarily sustainable through the generosity
of Calvary Chapel Costa Mesa {CCCM) in
the USA. Historically at least 70°/o of the
event funding was supplied through CCCM.
Our aim since 2014 has been to become
increasingly sustainable a5 in independent
charity wilh less reliance on overseas
funding.
The charity's principal
sources of funds {including
any fundraising)
Pora 1.47
2016117 USA funding 32%
2017118 USA funding 28 /.
2018119 USA funding 330/0
2019120 USA funding 28°/.
2020121 USA funding 29°/0
2021122 USA funding 370/0
2022/23 USA funding 23 /0
2023124 USA funding 130/0
We remain committed to our goal of being
fully funded from within the UK. Though due
to the resulls achieved in the 2024 financial
year, we are likely to have to rely more
heavily on the generosity of CCCM in
funding the charity. CCCM have provided
confirmation that they are willing io provide
ongoing support.
Other sources of the charity's funds include..
1. Public donations £96k {£98k 2023)
2. Grants £15k {£14k 2023)
3. Key Partners £31 k (£34k 2023)
These funds play a much appreciated and
invaluable contribution to the overall
success and wnning of the charity.
Investment policy and
objectives including any
social investment policy
adopled
Para 1.46
Our largest risk ai present is the turnover of
core team due to lack of employee budget
and general financial challenges for the
event and the organisation as a whole.
CCCM'S agreement to support the charity
should help to reduce this risk.
A description of the principal
risks facing the charity
Para 1.46
Other

Structure, Governance and Management
Description of charity's
twsts:
Type of governing document
,'eea. royal r-ndrterj
Para 1.25
Articles of Association and Memorandum of
Association
How is the charily
constituted?
-Jrated
association. CIO)
Trustee selection methods
induding details of any
constitutional provisions e.g.
election to post or name of
any person or body entilled
to appoint one or more
trustees
Para 1.25
Company Limited by Guarantee
Para 1.25
Appointed and elected by members
Additional information (optional)
You ma
choose to include further slatements where relevant about..
Training through Stewardship and Thirty
One Eight.
Policies and procedures
adopted for the induction and
training of trustees
Para t.51
The current charity sits under a board of
trustees, with a Mission Lead. Event Lead,
and a mix of paid and volunteer staff for the
office and mission leams.
The charity's organisational
structure and any wider
network with which the
charity works
Para 1.51
Relationship with any related
parties
Para 1.51
Other

Reference and Administrative details
Charity name
Creation Fest Limited
Other name the charity uses
Registered charity number
Charity's principal address
1121924
The Good Shed, Southern Way, Wadebridge, Cornwall PL27
7BX
Names of the charity trustees who manage the charity
Narne of person (or body)
entitled to appoint trustee
rf any)
Trustee name
offi￿ lif any)
Dat•$ actsd rf not for
whole year
Brian Donald
Brodersen
Appointed
0910812014
Members
Simon
Lawrenson
Appointed
0611212017
Members
Marlin Kenneth
Gabour Molnar
Resigned
3110312024
Members
Colin Andrew
McLean
Appointed
0910812019
Members
Andrew
William Ley
Resigned
0110212024
Members
Emma Joanne
Fowle
Resigned
3111012024
Members
Marc Stephens
Appointed
3110512024
Members
10
12

Cor
orate trustees - names of the directors al th8 date the re
Director nam•
ortwasa
roved
Name of trustees holding title to property belonging to the charity
Trustee name
Dates acted If not for whole year

Funds held as custodian trustees on behalf of others
Description of the assets
NA
held in this capacity
Name and objects of the
charity on whose behalf Ihe
assets are held and how this
falls within the custodian
charity's objects
NA
Details of arrangemenls for
safe custody and segregation
of such assets from the
charity's own assets
NA
Additional infomiatlon loptlonal)
Names and addresses of advisers (Optional inforniation)
Type of
adviser
Name
Address
Name of chief executive or names of senior staff members (Optional infomiation)
Exemptions from disclosure
Reason for non-disclosure of ke
ersonnel details
Other o
tional information

Declarations
The trustees declare that they have approved the trustees, report above.
Signed on behalf of the charity's trustees
Signature(s)
Full name{s)
Position (eg
Secretary, Chair, etc}
PIQÉc70
Date
23

Creation Fest Limited
Independent Examiners Report For the year ended 31st October 2024
Inde￿ndent examlnePs report to the Trustees of Creation Fest Limited.
I report to the charity truslees on my examination of the accounts of the company for the year
ended 31st October 2024. which are set out on pages 1 to 51.
Responsibilities and basls of roport
As the charity's trustees of the company (and a150 its directors for the purposes of company
law) you are responsible for the preparation of the accounts in accordance with the
requiremenls of the Companies Act 2006 {'the 2006 Act'l.
Having satisfied myself that the accounts of the company are not required lo be audited under
Part 16 of the 2006 Act and are eligible for independent examination, I report in respect of my
examination of your charity's accounts as carried out under section 145 of the Charities Act
2011 (the '2011 Act'l. In carrying out my examination I h8ve followed the Directions given by
the Charity Commission under section 145(51(bl of the 2011 Act.
Independent examiner's report
Since the company's gross income exceeded £250.000 your examiner musl be a member of
a body listed in section 145 of the 2011 Act. I confirm that l am qualified to undertake the
examination because l am a member of the ICAEW. which is one of the listed bodies.
I have completed my examination. I confirm that no matters have come to my attention in
connection with the examinalion giving me cause to believe..
11 accounting records We￿ not kept in respect of the company as required by section 386 of
the 2006 Act., or
2) the accounts do not accord with those accounting records- or
3) the accounts do not comply with the accounting requirements of section 396 of the 2006
Act othèr than any requirement that the accounts give a 'lrue and fair. view which is not a
matter considered as part of an independent examination., or
4) the accounts have not been prepared in accordance with the methods and principles of
the Statement of Recommended practice for accounling an(J reporting by charities
applicable to charities preparing their accounts in accordance with the Financial Reporting
Slandard applicable in the UK and Republic of Ireland {FRS 102).
I have no concerns and have come across no other matters in connèction with Ihe
examination to which attention Should be drawn in this report in order to enable a proper
understanding of the accounts to be reached.
Signed:
Joseph Tamblyn IFCA)
Trudgeon Halling
The Platt
Wadebridge
Cornwall
PL27 7AE
Date:

Creation Fest Limited
Clidrst No
1121924
J824431
eriod
Annual accounts for the
P8ritrJ 5tsrt dale
Period end
date
0111012023
3111012024
Section A Statement of financial actAVlties (includtng summary income
and expenditure account)
Restricted
income
funds
Unrestricted
funds
Endowmenl
funds
Prlor year
funds
Recommended categories by activity
Total funds
Income (Note 3)
F01
F02
F03
F04
F05
Income and endowments from..
Donations and legacies
Charitable activities
258,543
165,793
1,692
226
1,705
260,248
165,793
1,692
226
166,503
187,275
1,079
S02
Other trading activities
Investments
S03
S04
Separate material item of income
S05
$06
Other
Total
Expenditure (Notes 6>
S07
426,254
1.705
427,959
354.858
Expenditure on:
Raising funds
Charilable Bcbvii*s
1,990
299,678
129,384
1,990
301,350
129,384
3,766
274.818
143.702
S09
1.672
Separate materi31 expense item
Othèr
S10
S11
Total
S12
431,052
1.672
432,724
422,286
Net in¢omel(expenditurel before tax for
the reporting period
Tax payable
S13
4,798
33
4,765
67,428
S14
Net incomellexpenditure) after tax before
Investment gainsl(losses)
Nei gainsllloss8sl on
investments
S15
4.798
33
4,765
67,428
S16
Net incomel(expenditure
Extraordinary items
Transfers between funds
other recognised gainsl(losses):
S17
4,798
33
4,765
67.428
S18
S19
Gains and losse$ on rev31uatJon of fix8<1 assets for the
charitys own use
Other 9ainsll105S851
Net movement in funds
S20
S21
S22
4.798
33
4,765
67,428
Reconciliation of
funds..
Total funds brought forward
Total funds carried fonvarnl
S23
45,804
41,006
45,804
41,039
113,232
45,804
S24
33

Crp.Alinn Fp41 I Imilpd
Ch81itv Niry
1121924
5824431
Section B
Balance sheet
RestFiCted
UnreSt￿ctsd
fvnds
Endowmpnt Tolal Ihls
lunds
yg•r
Total last
year
fvnd$
Fixed assets
Int4ngible a$vts
Tangible assets
Hèritag• assèts
Investments
FOI
F02
F03
F04
F05
(Nots 15)
(Nots 141
(Note 16}
(Note 171
Total fixed assets
307
301
2,368
301
2,368
Currenl assets
S¢ocks
INot8 181
Oebtoys
(Note 191
InvoStm•nts
INot8 17.41
Cash at bank and in hand (Note 241
Total cuffonl asgets
B07
80.865
80.865
19.090
10.
91.486
21
51.819
70,909
Blo
1.45
Credltors.. amounts falling due wlthin
one year
(Note 201
et1
50.749
50,749
27,473
Plet euffent assetsllliabilities)
B12
40.705
33
40,738
43.436
Total ass•ts loss eurrgnt Ilablliliès
B13
45.804
Creditors: amounts lalling due aft•r
one ￿r
(Note 201
Prnvlslons for liabllltlès
814
B15
Total net assels or Ilabllilles
Funds of the Charity
B16
41.IJ06
41,039
45,804
Endowment funds INot• 271
Restrlcted incomè funds (Noto 271
UnNstrict•d lunds
817
Bl8
819
41,006
33
41.039
45.804
Rovaluatlon reAerv•
Falr va5u• reserve
821
To¢al funds
822
45,804
rhè ¢ompafty W•2k ￿tIlled to exemption from audit und•rs4n olth• Companiès Act 2fy)6 ￿latIng to small
comp8nio5.
rhe meml)ers have not rwulfed the company to obtaln an audh In accordan¢o wlth se¢tlon 476 of Ihe
Companlgs Aet 2006.
Th• dlr8etors aclrnowlèdp th￿rr+sponSIbl111l•s for eomplylng wlth th¢ r•qtsfjr•m•nts ofth8 Companl•s
A¢t with respKt to a¢￿untIng records and the prepar8tion of aocounls.
Th&$8 aeeounts haw• prèparod In •¢eord•n¢è with provisions applleablo to smèll companl•s
sublect lo the small compan￿$ reglme ond In accordance wlth FRS102 SORP.
Signed bytsne or IrusteesldireG1ty5 OTr behawof all the
trusieesldireclixs
D*e ol
approval
ddlmrnl
Prinl Narne
Éo
Signabjre oféirKtor aullwticabng accounts beire sentto
CompanRs House
Signature
Date
ddlmrnl
Prlnt namè
CC178 IExcell
2310712025

Section C
Notes to the accounts
Note 1
Basis of preparation
Thls sectlon should completed by all ¢haritie¥.
1.18asis of accounting
These accounts have been prepared under thè histoncal cost convention with ilems recognised at cost or
transaction value unless otherwise Stated in the rèlevant notelsl to these accounts.
The accounts have been prepa￿￿ in accordance with".
the Slalemenl ol Recommended Practice.. Accounting and Reporting by Charilies
preparin9 their accounts in accordance with the Financial Reporting Standard applicablè
in the UK and ReptJbliG ol l¥eland IFRS 1021 Issued on 18 July 2014
and vwth.
and ￿th.
the Financial Rèporting Standard applicable in the United Kingdom and Republic of
Ireland IFRS 1021
* artd wilh th8 Charities Acl 2011.
The ¢h8rity constitutes a public benefit entity as defined by
FRS 102..
-Tick as 3pproprtale
1.2 Going concern
If thorè ar• material uncertainlies ￿lated to evènts or condltions that cast signiflcant doubt on the charity's
ability to continue as a going Goncern, please provide the following details or stato 'Not appllGable' If
appmprlate..
An explanation as to those factors that support
the conclusion that the charity 15 a going
concem..
Not 8ppliGabl8
Disclosu￿ (rf any uncertainties that rnake the
going concern assumption doubtfvl;
Nol applic8ble
Where accounts are nol pr8pa18d on a going
conc8m basis, please disclose ihis lact
together with the basis on which the trust
prepared the accounts and the reason why Ihe
charity is not regarded as a going conc8rn.
Not applicabl
1.3 Change of accounting policy
The accounts p￿sent a true and fair view and no changes have been made to the ￿CoUnting pdicies adopled in
note { l.
Ygs"
-Tick as appropriate
No"
Please disclose..
fi} the nature of th¢ changè in aceountlng policy..
Not aPpl￿bI8
fiij the reasons why apptying th• new accounting policy
provides MO￿ reliable and more rèlevant infomiation,.
and
Not applicable
CC17a (Excell
2310712025

flll) the amount of the adJuslm*nt for eaeh line affected
in the currènt perfod. each prlor pèriodpre$ented 8nd
the aggrngat& amount of the èdjustment relating to
pèriods before those presented, 3.44 FRS102 SORP.
Not applicable
1.4 Changes to accounting estimates
No changes lo accounting estimates have OCCUTred in the reporting period13.46 FRS102 SORPI.
Yes"
No.
-Tick as appropriate
Please dlsclose..
(l) the nafvre ofany changes,.
Not applicable
fil) the *￿et of the ehange on ineome and expense or
assèts and Ilabilities for the currentpenod,. and
Not appI￿2b16
fill) where practicable. the effect of the changè In one or
moro futur8 porio(ts.
Not applicabl8
1.5 Material Prior year errors
No material
nor
ear error have been identified in the re
Yes.
rtin
eriod
3.47 FRS102 SORP .
No.
-Tick a5 appwiate
Pl•as• dlsclos•.-
(i) thé nature of th• prior period •rror."
(11) for each prlor perlodpresented In the accounts, the
amL)unt ofthe eLvr•ctk>n for •ach account Ilft• It8m
aff￿ted.. and
(iii) the amount of the coffection at the beginning of the
eartlestpriorperiodpresented in the accounts.
CC178 IExc811
2310712025

Section C
Notes to the accoLints
Icontl
Note 2
Accountlng pollcles
This $i•ndwdli$i ofac¢ovntingpolicies ha5 beeTrappliedbythe charity ex¢eptforthtss• d•lotsd. Whtte•
addlllonal ptslleyhas b*tTr •diJpl6d Ihen ihls Is dg1411odln thefyox below.
2.1 RECONCILIATION MTH PREVIOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
Plgaw prov¢dB a d•scription
of thg r￿￿T* of ￿¢h th*n
Irj •cthtn¢in8 pollty
R•tOnCrlr*tiort of lurtdspwpr•¥ioTxs GAAPto fijnds d•t•rilJinOLlundvFRS IOZ
stsrt of
End ol
lod
od
Fund balancesas w•vlously
lat•d
Adlustmqnls..
Fund bolance a• reslated
Rw¢lll•kn olrt•tln¢¢mrfnet•xpendlurn} perprnvltyus to nol InconWfn•l •wdlturnl FRS
102
End of
Net in¢omIlqxp*di￿oI as prtviowly
$tatfjil
Adlustments..
Prevlous perlod nel Incomel{expeThdltur*l
as TeEtatsd
CC178 (Eicdl
2910712025

Section C
No¢p5 to tlie accounts
Icoritl
Note 2
AccounUng polleles
2.2 INCOME
Rwnitiofi ol ¥8 in Stsl8rneDt of F1Tr8[K4￿ Acli¥itiB5 ISoFAIth".
the chBnty becomès enlrt*d to the resc￿2&5.
m(xtr lik*tylThaTr rtt Ihat lThe knAlees ￿ r￿￿e lh8 re5¢X￿,.
Yès"
No.
Nla.
Yes"
Nla.
teqiireo or pwmrtted by the FRS 102 SORP or FRS 102.
Grants and don•¢ion$
arts ¥￿j orty Irth*d inlhe SOFA vhn rewN
cnterLq ¥re m*15.1010 5.12 FRS102 SORPI.
No"
ID Ih2caseol wforfflance rdaied grants. must be recDJnised to ￿ extent
th*t tt* thanty has w0v￿ed IhB 5p8crf1￿ go¥Jds or services as eDtrtlement lo the grart
cnty occwts Yts)tho peth)tmarKer4abJ rr￿(s.18 FRS 102 SORPI.
Y8S'
No.
Wa.
L898tio5 ¥r• In th& SOFAknTh rgwpt i5 ￿￿08b￿. W ig. vtsn r9$ 00on
9rart of probale. th& exocthors ￿va esLAtrAish8d Ihwe are suff￿*￿1 a55el& hl thè
egtstè •rMI to tr*kgatyarn e1ttsrlytt￿n of1￿ chaiiy
or trAve been met.
Logacl
No.
Nl8'
Grft *id recwable is *tsnthere L4 a vaky decbr8lxJi ftrffi
Any Grft arno￿1 recovered on a Is consmleied to be partofthal grft arn*"
IrealwJ a5 an to SarnefU￿j a5 the donat￿ un￿5 Ihe dL¥KYorlthg
loms ol Iho appo81 h&vè (AWiaÈ.
Tax reGlalm• on
*Jonallon5 and gfftl
Yes"
No"
Nla"
ContrBctu&l Incorn• and This 6 Nty in¢k¥Jed in S¢FAi¥th y(MJos
Yes.
Nla"
grAnis
Ye5"
Nla.
Oonat•d wod•
Donated gwds are mea9ured al fdrvalue lthe Icrwhich as5el be
ex¢harv¥dl U￿85S impr*iK31 lo do so.
The tosiofAnystctk ofwxls dorAta for￿￿1￿￿￿1￿ to beneficK4rfes deerned lo be
O* fairv8hJe ol tTr￿ gifts allhe lyne ol itNryir receyl ar¥J ￿Tac&14.
ltt w(¥J In $i¢thg ar• d¢tritxrt80. rwrmsètt as an
expgn5e at cArry*vJ arwiof the thks at dislritrrtthn.
Yes.
No.
Nl3"
DL¥￿￿￿ gouts for rosa￿ are measwod al far on which s If
pro¢*S$ from Sa￿ 8¥F*¢tsd ¢osl$ofs8b. ￿ rwrAg8d n'lrun
trom Iradw actsvrtps. kn)Ih the corresrrfThlw 5tsKk recogN5￿j ID the b3Lq
$t*et. tt5 ofst¢¢& rJ tr￿[￿&189•￿1$l'lr¢OMe frtyn O1Wtr￿￿j
acuvths. and proP￿￿ts Irom Sa￿ are a&ofwn￿da5'￿rne t￿ othBr trwjiry
Yes.
No.
41a'
Gwds d¢nated for orwry tee bythe ¢tr*rity a¢ ier¥>Jr#￿ as r8rKJ*k nx&¥ a$9et*
and In Ihe SOFA as ir￿orn￿ r95EMAces wthn rec4r4at4o.
Yes"
No.
Nla.
Gth5 in k￿d foruss byt￿ rtsrftyWO SOFA as irrrnfrrAn th)nBthx
raceivabb.
Yes.
Nla.
on•t•d 1oryi¢08 •nd
Ooroteo $8f¥¢6$ are ltrJL￿j inthe SOFAthn t8c6N•J *
thegft tothe f*BrltyprovhJ8d t￿vam￿ oftt*grtw be measured idlabty.
No"
Nla.
Don*ed service5 and thBI are consLYngd irnmwJhHletyare reCog￿ed a5
Trhith an eoL¥w48thw(￿ w(rfJnwd 88 anéxpm a¢￿￿¥1$ in
the SOFA.
Yes.
No"
Nla.
Y8S'
Volunw ￿1P
v8k48 ofanyvoknniary Wp r￿8￿ i8 rpx irtkKled In th8 •xwrt8 dgscnbed
withe trustees. anr￿1 report.
Yes.
No.
NIB.
In¢om• frwi FIII•WL TN$ th&a¢ttsUntsw￿Th recewt i¥ Ihts arn(￿nI racewatla ¢8n
Yes.
Nla.
CC17 FRS 102 SORP
2310712025

royaltles and thvl(l•tyds t* me85wed rel￿bty.
Income from ffl*mb•rship ￿t￿berS￿p subsrytK>rts rer*Ned in >ptwe ofa gift are recogntsed DoTralKM
sub5crlptlons
Legatyes.
Ye5.
No.
Membernhp ¥L￿￿J￿ w4e5 8 rnemb8rih¥ rYJhl lo W5eThi2es ty￿ber
bpnerrts rewntsed as ItwmB earned from the kYovts*)n ofsxwJd5 and servu$ 85
It￿Me frorn cttarrtab￿
Ye5.
No.
Nla.
Sgtti•m8nt of inwrarKe
¢l•ims
Iwiarto clawns are O￿ty I￿￿￿ded In Iho SOFA V1h￿ itte general fwrilion
crilerla are met15 10 to 5.12 FRS102 SORPI and ar& Irtk￿￿ a¥ an ofrknr
Me in Ihp SOFA.
Yes.
No.
Inv•BtmoM galn$ ar
los$•$
Thi$ indL41&8 any realit&J or LUWe￿iled gal￿ ty bs$8son sthof InvestM￿ts 8rKI
anygain or k)s$ result￿￿ flom re￿¥¥j ryrrfe5trnerts io marketV8K*at Ihp of t
year.
Ye5.
No.
Nla.
2.3 EXPENDITURE AND LIABILITIES
Bbdrt* 8* 4thBre rt more Iik4ytFw tttal lttere Is a leg81 or
Qn51nKINeoWm tommitbny ltr* chafjty lo pay oth ￿s￿rtè$ Ihe arnowtofl
obbJalw)Trcan be mea5uied %%ilh w$c￿b￿cert￿nty.
Yes"
No.
Nla.
Liability recogn6tton
Govom&n¢o and support S￿p[th ¢O￿ts have bpen a￿ated betwÉOn governance CD5ts and 0t￿rsup[￿.
GovernarKe ¢osi$ ¢(thpris* al cosis Invth￿ng St¢w)iar￿1l￿olIh2 cttarity*￿ ds
k4HnGe army good pr￿t￿e.
Stspport ¢osis in￿L¥le centr*knctK)ns and have ba8n a1￿C￿ted ioacbwly cosi
¢ategones on a tra￿5 coNstsiÈni wlh IkE use rfresowces. eg al￿1[* propertycosts
byfiovweas. or PBr ca￿ta. siaff costs by the time spent aryj other costs by trwru5aye.
YÈS.
No"
Yes"
Mfa.
Gr￿18 with perlormance w￿re the c*AntygNes a gant for ts pwenl A $￿IfiC knl of
¢•nLITIions
ser¥i￿ry ¢￿￿ut lo be Provi￿1. such 9rants a￿ fetyJgni5ed in &IFAor￿ ih
￿eth￿ent of tre grant has provided the sppcrfEd or (AJtpLrt
Yes.
No"
Nla.
Grants payable wlthout
pwrfonnanco GondllSons
w￿reth￿re aro no co￿11￿ attxh¥Jg tothe grant that L*￿ty10
rèa1i41ts1tyavovJ IPoc0mmth￿ a Ik*Jility forts*fiJl O￿a￿n mu51 b8
iecoynts&
Yès.
ND.
Nla"
R•dun¢Jancy ¢051
Troc￿lIty made no re￿￿ar￿pa￿Ant$ ￿L￿ng Ihp rekthn9 penod.
Yes"
Nc"
Nla.
Oql•r¥•d Income
No rnatedal ttem ol OelerTèd i￿Orne has been￿d￿je0 In *C(Y￿¢s.
Yes"
No.
Nla.
Crndknr*
The charrtyh48 ¢￿ditOrS are rneasLYed * settièmem ￿oL¥￿ h55 any irodg
Ye5"
Nla.
A habdity i4 Me•Sw￿ on re￿￿¥tw￿af ts ￿10￿￿1 coslaThl Itw>subsequeMty
Provtsiom for liatyili¢l•s rwsurwj at itte best esbmate ot ts8mtyJFrt TB4Lwed lo setUB thè oWat￿n￿l
rwting datè
The chaFityacccrtmts fol bas￿ fin&n¢*l instrwnentson iecognitK)n as per paragrnph
10.7 FRS102 SORP. Subsequent measuremMI 6 8$ per par4iaphs 11 17 to 11.19.
FRS102 SORP.
Yes.
No.
Nla.
Bas1¢ fjnanclal
InslwmentS
Yes.
No.
Nla.
2.4 ASSETS
Tanglble fixed 8880ts lor TW we capilai5ed rfllw can be for rnty8thanL￿ year. ¢0st ¥t knt
use by ch•rity
£500
Ye5"
Tr*y ara al co51.
No.
Nla"
The dwwJahoD rates and rnetthds ¥t dL%L*Jsed in Trite 14.
Thè charity has inlawib* fixed assets. Ihai i4. r￿r￿M¢F￿Éary assets thal do ha
physical substsn¢e but arp IOWIrfLaLle afe by IhF charty IIYDwh cts51TrJy
or*gal ryhts. Th& amothakn rates ¥yJ rDBtIK￿5 are <ts5cb%ed in th 15.
Yes"
la"
They8￿ ¥4￿4 * ¢081.
Yes.
No.
Nla"
The heritage ass¢ts. [uNnL￿ry￿sSets th INS￿c, artp51￿.
sc18n￿. 1￿￿D￿g￿31. geophysical or èn¥irw$nt￿ qLBIrt￿% ihal are
lor thÈir COnt￿ul￿￿ 10 k1￿￿ and The<1epreC&q￿n
rdtes aThl meihoas Lsed as d￿tsed 16.
Yes.
Hermaye ￿$11$
Nla.
YÈS"
ND.
Nla.
They are val￿d at c￿.
Flxed asset Inv8stmeTrts in qLJolgd 5haras. trad8d borrtl$ and similar thestments w&
valu8d al iniiiallyai cost and al lair vabje Me￿&1 val￿) ai yyar
Thb samè tresimont lo unhsted in¥¥siment5 uple5s farvakn8 be
tnea$ured reliabty In 5*h￿h cgse ttWSLY& at C051 *ss impaKmefjl.
I•voJtm•nts
YÈS.
No.
In¥osimarrt$ he￿ for res* or cfi5h ra3h*ii¥48rts *ilh a
Yes.
Nla.
CC17 FRS 702 SORP
2310712025

maturitydate Dflgss ttrwn 1 treaw 8$ ￿rr•11A5￿ Investm￿ts
stocks and I
siotks hehl forsab8s ￿ of rth(*witthtr8d8 ¥* mea¥w￿ 41 th¢ (rf eosiof
redtsaNe vdue.
Yes.
Nla.
Sor8￿¥￿￿5 pFovvJBd a5 of a Charrt&le￿IN1ty are mea6Lred at net rea
b09£d ty) potwttial by itsm$ ol $tc¢k.
Yes.
No"
Nla"
WoFk ￿ w(wJress Is valLwd atC051 less anyf(Yeso￿￿e bB5 i1￿1 ￿ l*etytootsvron
Contra￿.
Ye5.
No.
Nla.
Debtors Iincluoing trade debtor5 and k>an5 rec£yvatAel afe rne3swed OD Initial lecogt￿w
818OtUem$ni ¥m(wl ¥fteT ¥AylraOe or ￿m￿nI 8Ovan¢8d by the ¢harty
Subsequenlly. IheyAre ffleasu￿ Al cashu 01t￿r COThSklfrrabDn expected to be
re¢8jvéd.
The ch3ffly has investme￿$W￿¢h It tdds rfrsa￿ ￿ pEr￿1r￿j tW s*eand rash a
ashqqurident5 Wrth a maluritydale *s tran one year These Indude cash un dept6il
ar￿ cash e4uwal¢nts ￿￿tha m*urrtyal iNgn ￿ y¢ar fttin¥estmeffl ￿rpoSeS
ra￿￿rtha￿1O meet short-lelrn cash commimerrts as fa￿ ts.
Nla"
Current aV401
Inve*Mwnls
Yes"
No"
Nla.
Yes"
No.
rwaTe vaw al I￿r vahEoxcgpI ¥￿thEre Iheyquahfy aB 1rts1rw￿t5.
POLICES ADOPTED
ADDMONAL TO OR
OIFFERENT FROM
THOSE ABOVE
CC17 FRS 102 SORP
231071￿5

Section C
Notes to the accounts
Icontl
Note 3
Income
ResMct•d
IlnKwthct•d Into￿ Endownxnl
lunds
lunds
Analysls of Income
Total fund*
Prforyefftr
Donations
and 189aci8S=
Donations and
Gift Aid
ifts
96.422
10.034
205
96.627
97.643
General grants provided by gov8mmenVother
charities
Membership subscriptions and sponsorships
%thich a￿ in Substan￿ donations
1.500
35,650
Donated c¥A5, facilities and services
Other
Totsl
258,543
1.705
260.248
166,503
Charitabla
activities..
Adverbsin
Café & Pizza
Cam
& Car Park
Caterin
Exhibition
FOOLI Vendors
Fun Zon8
Info Desk Sales
Merchandise
Small event ticket sales
other IwrrBI
458
26,572
458
2.833
30,672
87.950
16.196
74.183
14,650
19.400
15.015
740
1.466
9.￿6
740
1.466
1,938
1.938
5,829
1,569
187.275
Total
165.793
165793
Othar tradlng
acll¥ltle$:
Other
7.692
1,692
1,079
Total
1.692
Income Irom
Inve8tments-.
Inte￿$t income
Divir5end income
Rental and l&asin
other
226
226
income
Total
226
226
Separate
fflatedal item
of Incon
Total
Olher:
Conversion of endtsvmerst funds into income
Gain on disposal of a tangitAe fixed ass81 held
for chari
'S Ovffi US8
Gain on disposal of a programme rdated
investment
Royalties from the exploitation of inte118Ltual
ro
hts
oth8r
Total
TOTAL INCOME
427.959
354.858
All in¢orne in the prior J*ar wa8 unre8irlct8d ex￿p1 for..
Iploase provldo doscrlptlon ar￿ amounl¥l
Ylh•r• any•ndowm•nt lund i• ¢on¥ert8d i*7to In¢offl• In tho
reporting porlod. plgasg gl¥•the Te3son forthe ¢onv•rslon.
CC17a (Excell
23107r2025

w￿re anyendowment fvnd Is con¥erted into incomè Ih tl*
prior pemdt p￿88& give the reason for the con¥ers1on.
Wlthin th• Incom• itsffls atr*)vg th• followlng It•ms a
matsrfjal: IplEaso disclosothB ￿*￿[￿. amounl and any ￿Or
year amoumtsi
Thos year.. Wh8r8 sums otSglnallydèrtomin•ted In foreign
¢urrèncy h•ve b•on Induded In Incorno. explaln th8 basis on
whlch th058 sum8 have bean trafi$la￿d Into stsrfin9 lorth•
eurrttbcy in whlch thB accounts are drawn upl.
All income originallydenominaled in ftreign ¢urofV. has
tran￿ated into sieAing usin9 Ihe ral8 on the date olthe
IrarÉfer lo the c*anty.
La$t year: Whor• orlglnally do1￿MI￿at*d Sn foreiyn
curTency have been included in tncome, 8xplain tho basls on
which those sum5 havo been translèteo Intts BterlTrng lor the
currency In which th8 aceount¥ are drawn upl.
All incorne ￿ginalty (1grKyninated in foreign CU￿9￿. has iwn
transla￿1 into Sterling using rhe prevailing rale on the dale of the
transfer 10 th& Charty
CC17a IExcell
10
2310712025

Section C
Notes to the accounts
Icontl
Note 4
Analysis of receipts of government grants
This year
Descrlptlon
Govgmment grant 1
Government grant 2
Government grant 3
OU)•r
Totsl
Last year
Dèscri
tlon
Government grant 1
Govemment grant 2
Go¥emment grant 3
Othèr
Total
Th5s year
Last y•ar
Please provide details of any
unfulfilled conditions and other
contingencies attaching to grants
that have been recognised In income.
None
None
This s•ar
Last
Please glve details of other fom?s of
govèrnment a55iStanGe from whlch
the Charity has ￿l￿tty beneflted.
None
None
CC178 IExGell
2310712025

Section C
Notes to the accounts
Icontl
Note 5
Donated goods, facllltles and services
Thls year
Last year
Seconded staff
Use of prope
Other
Thls year
Last
ar
Please provide detsils of the
accounting policy for th¢ recognilion
and valuation of donated goods.
facilltle5 and Services.
None
None
Please provide details of any
unfulfilled conditions and other
contingencies attaching to resourcas
from donated goods and services not
recognlsed in Income.
None
None
Please glve dgtails ot other fomis of
other donated goods and services
not recognised in the accounts. eg
contribution of unpaid volunteers.
None
CC17a (EX￿1)
12
2310712025

Section C
Notes to the a¢¢ounts
Icontl
Note 6
Expenditure
Thls yeor
R88trlcled
incomo
Last ￿ar
Rostsictrd
n¢om
fvnds
Ut)rg8ih¢tsd
fvnds
Endowm•nt
frjnds
UDr•$fri¢t•O
Endowm•ni
lunds
Analysis
enditure on raisin
funds:
Incurred seeking donation5
Incurred seeking legacies
Incurred seeking grants
Optrrating membership schemes and social
lotteries
Staging fundraising events
Fundraising agents
Operating chanty shop5
Operating a tiading company undertaklng
non-charitable trading activity
Advertising, marketing. dire¢t mail and
publicity
Start up costs incuTTed in generating new
source ol future inc0rn8
Database development costs
Othef t¥ading activities
Investment management ¢osts.'
Portfolio managemenl costs
Cost of obtaining investment 8dvice
Tolal fur*d*
Total
1.990
1,990
3.766
3,766
Invèstment administration Costs
Inlelleclual property licencing costs
Rent colléction, piopety repair5 and
maintenance charges
Total expenditure on raising fund5
1,990
3.766
3.766
Expenditurè on charitable activities:
Catering, Caf8 & Piua
Exhibition
43,871
48.254
48,254
Guests
24,242
13,716
Merchandise
5,756
5.756
37.557
4.096
Olher Event Expenditure
Pèrsonnel
39.554
39.554
3,323
3,323
2.914
2,914
Production
54.951
106 670
Sitè
118.811
118,811
106,670
Youth & Glt)W
1,672
59
1.050
2.334
1,109
Missional
1,220
Total expenditur• on charltabl• activltles
301.350
3,384
274.818
Se
arate matorial it•m of èx
•ns•
CC178 (Excell
13
2310712025

Adfflinistr8tion
t21,385
7.899
101
129,384
121.385
135,214
7,699
789
143.702
135.214
7.699
789
143,702
Finance & Insurance Costs
Depreciation
Total
101
129.384
Othèr
To131 other èxpenditur•
TOTAL EXPENDITURE
431,052
1,672
432.724
418,902
3.384
422,286
CC17a (Excell
14
2310712025

Other Information:
Anatysis of expenditure on charltable activhties
This
ar
Last
ar
Activities
undertak¢n
directly
Granl
fundlng of
activittres
A¢tivity or programm•
Support
Totsl thls
year
Actlvlltes
ndertsken
directly
Grant
fvnding tsf
activit185
Support
Costs
Total last
year
Creation Fest Ev8nts
301667
129384
431052
275,200
143,702
418902
Ukraine Su
Youth Work
Glow Youth Pro
303
303
1,369
432.724
2.250
1.050
278 584
2.250
ect
Tolal
303 339
129.384
143.702
422.286
This yoar.. Whore Sums originally denominated in foreign currency have
been Included In expendStrJre, explaln the basls on whlch those sumg
have been translated into sterl¥n9 lor Ihe curfency in which the
accounts are drawn upl.
AJI income originally denominated in foreHJn ￿rrenCY, has been translaied
into sterting using the prevailing rale on the date of IhÈ transfer lo the charity.
Last Jwr: Where sum5 oriqlnally donornlnat•d In forelgn curron¢y hav
been Included In exp8ndlture, explaln the basls on whlch those 8um8
have bfjtn translaied Inits $terlin9 lor the ¢urren¢y In whl¢h the
accounts are drawn upl.
I Inwme origlnally denominated in foreign currency. has been translated
into sterling usirG the prev¥iling rate on Ihe date of the transfer to the chanty.
CC178 (Exoll
15
2310712025

Section C
Notes to the accounts
Iconll
Note 7
Extraordinary Ilems
Please explain the nature of each extraordinary item occurrlng in the perlod.
Thls year
Last year
Description
Extraordinary item 1
Extraordinary itèm 2
Extraordlnary itom 3
Extraordlnary ftem 4
Totsl extraordinary items
CC178 (Excell
76
23107r2025

Section C
Notes to the accounts
Note 8
Funds received as agent
8.1 Please complete this note if the charlty has agreed to admlnlsfer the funds of another entity as its agent. Note.. If a
charity Is acting as an agent, it should not recognise the Income in the Statement of Financial ActlvltiTes or the Balance Sheet.
Amount received
Amount paid out
Balance held at period end
Doscriplionlnarne of party
Rglated
party {Yes
orNo
This yoar
Last year
This year
Last yoar
This year
Last yèar
Total
8.2 Where a Consortia or simllar arrangement exists whereby 2 or more charities Co-operate to achieve econofflies in the
purchase of good5 or servi¢es. please disclose details of any balances outstanding between any participating members.
Descriptionlname of party
Balance held at period end
This year
Last yoar
Total
CC17a (Excel)
17
2310712025

Section C
Notes to the account5
Note 9
Support Costs
Please Complete this note rf the charity h8s •nalysed Its expenses uslng actlvity
categories and has support costs.
This year
Ra181n
fvnds
Actlvl
Actlv
¢i¥i
Grand total
Basls of allocation
Support cost
gxam
ID•scrlbe method)
Govemance
Other
Total
Last year
Support cost
exam
Ios
Raising funds
Activity 1
Activlty 2
Actlvity 3
Grand totsl
Basis of allocation
IO¢scrib? method)
Governance
Other
Total
Please provide detalls of the accounting policy
adopted for the apportionmgnt of costs between
actlvltles and any estimation techniques used to
calculate thelr apportlonment.
CC17a (Excell
18
2310712025

Section C
Notes to the accounts
Note 10
Details of certain types of expenditure
Note 10.1 Fees for &xaminatioTr of tho accounts
Please provide details of the amount paid for any statutory extgmal scrutlny of
accounts and otherserwice5 provided by your indgpendent examiner. If nothing
was paid please enter b'in the appropriate l>ox{es).
This year
Last y•ar
Independent examiner's fees
999
950
Assuranco services other than Independent examination
Tax advisory fees
other fg0s (for example.. financlal advice. consultaney, accountancy seprflcesl paid
to the independent examiner
CC17a (EX￿1)
19
2310712025

Section C
Notes to the accounts
(cont)
Note 11
Paid employees
Please complete this note if the charity has any employees (transactlons with Trustees dealt with in Note
28)
11.1 staff Costs
Thls year
Last year
Salaries and wages
Social security Costs
Pension costs (deflned contribution scheme)
Other employee benefits ( Auto&nrolment Pension)
Total staff costs
53.621
40
75,345
1.804
747
54,408
1,508
75.049
Thls year:
NA
Please provide details of expenditure on staff working for the
charlty whose contracts are wlth and are paid by a related party
Last year:
NA
Please provide details of expenditure on staff working for the
charity whose contracts are with and are paid by a related party
Please give details of the number of employees whose total employee benefits (excluding employer
pension costs) fell within each band of £10,000 from £60,000 upwards. If there are no such transactions,
please enter Yrue. in the box provided.
No employees recelved employee benefits {excluding employer
pension costs) for the reporting period of more than £60,000
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
ar
Please provide the total amount pald to key management
CC17a (Excell
20
2310712025

11.2 Average head count in the year
The parts of the charity in which the
employees work
Thls year
Number
Last year
Number
Total
11.3 Ex4Jralia payments to employees and others (excluding trustees)
Please complete if an ex-gratia payment is made.
Please explabn the nature of the
payment
This year
NA
Last year
NA
Please state the legal authorSty or
reason for making the payment
This year
NA
Last year
NA
This year
Last year
Please slate the amount of the payment (or value of any waiver
of a right to an asset)
CC17a (Excell
21
2310712025

11.4 Redundancy payments
Please complete if any redundancy or termination payment is made In the perfod.
This year
Last year
Total amount of payment
The nature of the payment (cash, asset
etc.)
This year
Last year
The extent of redundancy fundlng at the balance sheet date
Please state the accounting policy for any redundancy or
temiination payments
CC17a (Excel)
22
2310712025

Section C
Notes to the accounts
l¢ontl
Note 12
Dellned contrlbutlon peDslon 6¢heme or deflned benefit scheme accounted
fr>r as a dgfingd contribution schome.
12.1 Please comploto this note Ifa defined contribudon pension scheme Is operaled.
Thls year
Last yèar
knount of contrfbutions recognised in the SOFA as an expense
747
1.508
Pleasè explain the bas15 for allocating the liability and èxpensè Of
defined contributlon pension scheme between activities and
between restricted and unrestrlcted funds.
All material funds are
unrestricted and all
pension costs aré
allocated to the
rtministration
function ol the
charity
All funds are
unrestricted and all
pension costs are
allocated to the
administration
lunctiori ol the
charity
12.2 Please complete this section where the charity participates ift a dèfin•d benefft pension plan but is
unable to 45certain its share of the undeTlylng assets and liabilities.
Please confirrn thal although the
schéme Is accounted for as a dofined
contribution plan. It is a dèfinèd btn•ftt
pl•n.
Please providt sueh infomiatron as is
available about the plan's surplus or
deficit and the implications, rf any, for
ttte rèporting ehality thls y•ar and last
>par, bf different
NIA
NIA
12.3 Please complete ¢his section where the charityparti¢ip8tes a mufti-employer defln8d
pension plan tha¢ is accounted foras a defined contribution plan.
D•scrib• tha exlent to which the charity
c•n b• liablè to thè plan for oth8r
entÉti"es' obligations under the term5
and ¢onditlons of the multiryernployer
plan. If thls Is dlfferent for last year,
provide dètails
Provid• an •xplanation ol how any
liability arFsing from an agreernent with
a multi*mployer pl8n to fund a defFCit
has been determined. If this Is differ8nt
for tast year. provid• dètalls
WA
NIA
CC17a IExGell
23
23107r2025

Section C
Notes to the accounts
Icontl
Note 13
Grantmaking
Please complete this note if the charlty made ony grnnls ordonjtlons whlch In aggreg8to forn? a material part of
the charitable activities undertaken.
This year..
13.1 Analys1$ of
rants paid ltrn¢luded In cost of charitabl• a¢tiv5tlesl
Grants to
Grants to
institutions
indlvidLtals
Ansly51s
Support GO$t8
Acli¥ty or project 1
Acti¥
or
ro
ec12
ro
ect3
ect4
Total
Please enter"Nil" rflhe charity does not identify antVor8llocate support costs.
13.2 Grants made to Institutlons
Pleaseprnvld•
d8tail$ ofcharlty'$
URL.
My ch8rity has mode grants to partl¢ular In$tltutlons thal 8re material In
the context of its grantmaking. Details of th8 institution supported,
purpos8 of the grant and total paid to each instffltution Is available on th•
¢harlty s web Site.
Yes
No
Pm¥id• detai15
below
Narnes ol institution
Purpose
Total amount of
grants pald £
Total grants to institutions in reportlng period
Other unanalysedgrants
roTAL GRANTS PAID
CC17a (Excell
24
23107r2025

Last year:
13.3 Analysls of
rants Id
Included In cost of charltsble a¢tlvttfjts
Grants to
Grants to
instit￿lonS
Individuals
Analysis
Support ¢o$ts
Total
Atbvi
ecl i
Activ
or
ec12
or
Activi
or
ec14
Total
Please enter"Nil"if the ¢h•rlty does not identify andlor8110¢8te support Costs.
13.4 Grants mad• to institutlon5
My charity has mède grants to p8rticul&rlnstttutlon$ that ar• material in
Ihe context of it$ gr•ntmaking. Detslls of the Insthutlon $upport•d,
purpose of grant•nd total pald to each institution 1$ avallatjle on
charity& web shé.
Please provitye
det8lls of ¢harltys
URL.
Yo$
Provlde details
below
Nam05 of Institution
Purpos
Total amount of
rant$
Id£
Totsl gxants to Inslltutions in r&po￿ng perlod
Otlper unanaly5ed grants
rorAL GRANTS PAID
CC17a (Excell
25
2310712025

Section C
Notes to the accou nts
Icontl
Note 14
Tangible fixed assets
Please compl•te thls not• if tho charity has any tangibl• Ilx•d •ss•ts
14.1 Cogt or valuation
Frqehold land &
bulldlng8
Other land &
bullding$
Plant, marhin*ry an
motor vehlcles
Fixtures, Ilthngs and
equTrpm•nt
Totsl
At thè beginning of
the year
Additions
5,341
38,059
43.400
Revaluat40ns
Uiss)osals
rranslgrs '
3,495
3.495
At end of the year
1.846
38,059
39.905
14.2 Depre¢i*•on and impairrnents
SL or RB (Straight
Line or Reducing
Balance)
-Basi$
SL
SL
SL
SL
R•te
25%
25°
25%
25%
At beginning of the
yèar
Dispos81s
3.375
37,657
41.032
1.529
1,529
Depreciation
101
101
Imp8iment
Transfer5.
At end of the year
1.846
37,758
39.604
14.3 Net book value
N81 book valuè al thg
beginning ol the year
Nèt book valuè at lh*
end ol the year
1,966
402
2.368
301
301
CC17a IEx(*ti
26
23107r2025

14.4 Impairnient
This year.. Pleas• provlde a descrlptlon of Ihe •vgnls and
cirGumstances that led to the recognition or reversal of aft
impalrm•nt loss.
Last year.. Pleast provide a description of the events and
circumstancès that Ipd lo the recognition or reversal of on
impalmient los$.
14.5 Revaluatlon
If an accounting policy of revaluation is adopted, please provlde..
Thls year
Last year
the ¢ffe¢tive date of the revaluatlon
the name of Indopendent vjluer. if appliGal)le
th• mothods appll8dand signlfi¢antassumptions
the carrying amount that would have Ixen recognised had
the assets b￿n Ca￿1•d undw the Cost model.
14.6 Other disclosures
Thls p•r
Last wr
(i) Please state thè amount of boffowing costs. If any. eapitallsed in the
onstruction of tangible fixed ?55ets and the capltallsatlon rate used.
(li) Please pmvldg tho amount of ¢ontractual GommRm&nts lor the a￿ul$It{On
oltangible fixed assets.
(ill) Details ofthe existence and earying amounts ofproperty, plant artd
•quipment lo which the charlty has rÈstrleiÈd dtle or that arn pl￿ge￿ as
$¢¢urlty forllabllltles.
The ?ransfers"row is for movements bè(w8en fixed asset calegories.
' Please the meth(xY of dep￿ciation by deleting the n7ethod not appli¢able (SL - stTright line,. RB = reduGing bal8nceJ. Also
CC17a IExc811
27
2310712025

Section C
Notes to the accounts
Iconti
Note 15
Intangible assets
Please complete this note M the charity has any Intanglble assets
15.1 Cost or valuation
Research &
development
Patents and
tradema￿$
Other
Total
Al beginning of the
Additions
Disposals
Revaluations
Transfers '
At end of the year
15.2 Arnortlsation and impairnlonts
Ba$ls
SLorRB
SLorRB
SLorRB
SLorR8
Straight Line
I"SL"l or
Reducing
Balance
Rate
At beginning of the
Disposals
Amortisation
Impairment
Transfers.
Al end of year
1S.3 Net book valuè
Net book value at the
beginning of the year
Nel book value at the
end of the year
15.4 Account4ng pollcy
Please disclose the accountlng policy for Intanglble fixed assels Including..
Reasons for choosing
amortisation rates
Policies for the rg¢ognltlon of any
capital development
CC17a (Exeell
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2310712025

15.5 Impalrment
Thls year..
Please provlde a descrlption of the events and
circumstances that lad to the recognition or
r8versal of an impairn?ent loss.
Last year:
Please provide a descrlption of the events and
circumstances that led to the recognition or
rev9rsal of an impairment loss.
15.6 Revaluation
Iran Jccountlng pollcy of revaluation is adopted. please provlde..
Thls year
Last year
the effectlve date of the revaluatlon
the name of Independent valuer, if applicable
the methods applied
the Carrying amount that would have been
recognised had the assets been carrled under
the cost model.
15.7 other d5s¢losures
(i) If your intangible asset was acquired by way
of grant, pmvide value on inthal recognition and
¢arrying amount of the asset.
(Il) Details of the Carrylng amounts olany
intangiTble assets to which Ihg charlty has
rostrlcted tltlg or that are pledged as se¢urlty for
IIT?bilitie$.
(111) Pleas8 provlde the amount of contractual
ommltments for the acquisltlon of Intsnglblè
assets.
(iv) State the amount olresear¢h and
d•velopment expenditure recognised as
expenditure in the year.
(v) Please detail the heading$ In the SOFA In
which a charge for amortisation of Intangible
assets is included.
(vl) For any materlal Intanglble assets. please
provide a description. its carrying amount and
any remaining amortisatlt>n period.
The 7ransfers" row is for Movements between fixed asset categoiies.
' Please indicate the method of depreciation by deleting the mellK)d not applicable fSL - straight line,. R8 = reducing
balance). Also please indicate the rale of depreciation.. for straight line. what is Ihe anticipated lrfe of the asset (in
yearsj,. forreducing balance, what is the percentage annual deduCtrf￿.
CC17a (EX￿1)
29
2310712025

SÉction C
Notes to the accounts
IGontl
Note 16
Heritage assets
Please complete thls noto If th• charlty has h&rIt￿ assèts
16.1 Ggngral disclosures for all ¢hariiles holdSng herktag• assets
This ￿ar
Last yoar
141 Explaln th• natstr¢ and s¢alp of
heritage assets held.
1111 Expfaln th8 polley for thè
acqutsition, preservatTron,
management and disposal of heritage
assots.
16.2 Coit or valuation
H•ritsge a550t
Hfyrit49e •$$¢t
H¢rttsg• as$•t
Hefltsge asset
Totsl
Al be9inning of the year
Additions
Disposals
Ravaluations
Transfws,
At end of the yè8r
16.3 Depreclatlon and Impalrments
'Ba51S
Straight Line
I'SL"l or
R8ducing
Balanoe
- Rat•
At beginning of the year
Disposals
Depreciation
Impaim8nl
Transfers"
Al end of year
16.4 Net book value
Net book value at Ihe beginning of the
year
Ntrt book value al and of thè year
CC17a IExf*ll
23ffj712025

16.5 Impalmient
This year
Please provide a dèscription of the events and eircums¢an¢es
that led to the rècognition orreversal olan impairnient lo
Last year
Please provld• a dascription of the events and cffreumstan¢es
tha¢ led to the racognition or reversal of an impairrnent loss.
16.6 Revaluatlon
If an accountin9 policy of revaluatlon is adopted, please provid•.'
ThF$ year
Last year
the effective date of the revaluation
the name ollndependent valuer. If appllcabl•
qualifications of Indop•ndent valuer
the methods applied and significant assumptions
any slgnlfleant limitations on the valuatlon
16.7 Analysls of hèritage assets by class or group distingulshlng thosè #t cost and thos• at valuation
At valuation
At cost Group
Group A
Total
Carrying 8rnount at the beginnin9 of the
period
A(Jditions
Disposals
Depreciationlimp8imenl
Revaluation
Carrying amount at the énd of pgritxl
16.8 H8ritsge assets Iwhern hèritage assets are not reeoignised on the balancè sheet)
This ￿3T
Last year
lil Explaln th• r•a$on why herltage
assèts havè not been recognis•d on
tht bolan¢e sheet.
Illl Describe the 5ignifican¢e and
nature of hèrltage assets.
liiil Dlsc105e inforniat40n that Is
helpful In assesstng the valué of
heritage assets.
Ilvl Explaln the r¥ason why It is not
practicable to obtain a valuation of
herltsge assets.
CC17a (Excell
31
23107r2025

18.9 Fl¥• yoar summary of h*rtta￿ assets transactlons
2024
2023
2022
2021
2020
Purehas•s
Group A
Group B
Group C
(Xher
Donations
Group A
Group 8
GroL¢P C
orher
Total additions
Charge for impalrment
Group A
Group B
Group C
Other
Total chargo for impairment
Dlsposals
Group A- e8rrying amount
Group B - carying amounl
Group C
Other
Total dlsposals
CC17a IExcell
32
23107r2025

Section C
Notes to the 3ccounts
Icontl
Note 17
Investm•nt a**sets
Pl•as9 complete thi$ note if Ihe ¢harlty has any Investmentassets.
17.1 Fixed assets Investments (pleasè provldè for each class of Investment)
Cash &
equlvalents
Llstg11
In¥8stmtnts
Investment
propgrtfjes
Social
In￿StM￿ntS
Oihvr
Total
Canwng Ifairl value al beginniThJ of
period
Add.. additions to inveslm8nls during
peFiod'
L855= disP05als 81 carrylng value
Le$$.' Impalrmonts
Add- Reversal of impairments
Addlldedu¢tl: transfer inlloutl in the
period
Addlldeductl.. net gainllbs51 on
rev8lu81ion
Carrying Ifairl value at end of year
"Please specify additlon$ resulting from
aGqui51tions through busln¢s$ combinations. if
any.
Pleese nole that Fair Value in tlJi$ context is the amount for which an asset couldb• 4xchangedl)glw8en
knowlegable and willing parties lft an ami¥ léngth transa¢tlon. For traded S￿ur11￿￿S, Ihe fair value 1$ the Value of
Ihe security q(Joted on the London Sto¢k Exchange Daily Offi¢i•l List or equiveleni. For other assets where there
is no rnarketprlco on 4 tr•d•d market. It 1$ tho trustees'or v•luèrs'best 8Stimate of f8ir v&lu•.
17.2 Pleasè provide a breakdown of Invostments shown above agreeing with the balance sheèt row B04
dlffeontiating beh¥eèn those held at fair valu• and those held at cost le55 impairn)•nt.
Thls year..
Analysis of investments
Falr value at yèar •n
C08t less Impalrmont
Cash or cash *qulvalent5
Llsted Inve$tm•nts
Inve$trnent propertles
Social Investments
Other inv•5tments
Total
Grand total (Falr valu8 at year en¢KosI I•s5 impairment)
Last year..
Analy$ls of investments
Falr ¥alu8 at Ènd
C08t les& impairment
Cash or cash equl¥alefits
LFSted Investments
Inv•5trnent propertles
Soclal Inv•$tm•nts
Oth•r Inv•stm8nts
Total
Grand totsl (Falr value at y*ar o￿l*CO$1 l•$s Impairment)
CC17a (Ext41
33
2310712025

17.3 If your charity holds investment propèrtlès. pleasa compl•t8 the following note:
This year
L•$t yèar
lil Explain the methods and significant assumptions in
determining the fair value of investment property held by the
¢harlty
lill Narne or independent ¥alu8r. if applicable. and relevant
qualifications
liiil Provide details of any re¥trictions on the abllity lo realise
Investment property or on the remittan¢e of In¢ome or
dlsposal procÈeds
livl Explain any contractual obligations for the purch&5e,
constrnction or development of investrnent property or for
repairs. maintenance or enhancements
17.4 Please Provide a breakdown of current asset investments, if appIl￿ble. agr¢olng wlth thè balance
Analysis of currènt asset Investm•nts
Th18 year
Last year
Cash or cash oquivalents
Li$t4d In¥estm•nts
Investment properties
Social In¥e$tments
Other Investments
Totsl
17.5 Guarantees
Th1$
Last
ear
Please provide deiails and amount ol any guarantee made to
or on bohalf of a third party
Name of the entlty or entities benefitting from thoge
guarantO•S
Plea$¢ ¢xplaln how the guarantee furthers the ¢harlWs alrn8
CC178 (Excell
23107r2025

17.6 Con¢essionary loans
D•strripllon
This year £
Last year £
Amount of Con￿610n0ry loans made Imuftlple
lo•ns made rnaybe dlselosed in aygregate prov
th81 such 49greg8tlon doé$ notobsure ssgnifieant
Inlommiknnl.
Totsi
Thos year £
Amount of concessionary loan$ received IIAulllple
I￿￿$ received moybe dlsclosed In aggr¥gate
pmwidedlh4l$uch notobsure
Sigftifirantinformallonl.
Descrlptlon
Last yaar £
Total
This year
Last year
T•rms and ¢onditlons e9 interest rate. securfjty
provided
Value of any ¢on¢esslonary loans whlch have
been eommitted but not taken up at the reportln9
date
Amout)ts payablp wlthln 1 year
Amounts payable aftgr mor• than I
Amounts r￿e1vable withln l year
Amounts receivable after more than 1 year
17.7 Additional information
This
ear
Last
ar
Ploase provide information a1￿ut th• significance
of investmènt$ to th8 charity's finan¢lal position
or p8rfomianco eg. tsrms and conditions of loans
or the use of hedging to rn8na9e financial rFSk.
For all investments measured al falr value, the
basis for detormlnlng the value, including any
a$$umpVons applied when USI￿ a valuatTron
te¢hnique.
Where a charlty ha$ provlded financlal a$￿tS as
form of s&curity, the carrying amount of the
ftnanclal ag$et pledged as security and the terrng
and condltlons relating to Its plodgo.
For all Investments measured at falr value. the
bas[$ for dètermining the valut, including any
assumptions applied when uslng a valuatSon
technioutr.
Where a charlty ha5 provldèd flnancial a558ts as
form of security, the carrylng amount of th¢
fifiancial asset pledg8d as security and the tenx$
and ¢ondltlons relating to Its pl•dg0.
CC178 IExeell
35
23107120Z5

Section C
Notes lo the accounts
Icontl
Nots 18
Stocks
Pl•as• Comp￿1* this not8 if the charity holds anystock itèms
18.1 Pl?ase stat• the Carrying amount of stock and work In progress analys8d between
a¢tivitSes.
Stock
Donated goods
Work In
progress
For
distribution
For resale
For
distributlon
For resale
Charitable activities:
Op•nlng
Add￿ in period
Expensed in p8rlod
Impaired
Closlng
other tradlng adlvities:
Openinq
Add8d In pwlod
Exponsed in pwlod
Impalr8d
Closing
Other:
Op•nlng
Added In p•riod
E*p•ns•d in ￿ntid
Impalred
Closlng
Totsl this ygar
Totalprevious year
Th￿5
Last
ar
18.2 Please specify the carrylng amount of
any stock$ pled9gd as Socurlty for liabllltios
CC17a IExcell
36
2310712025

Section C
Notes to the accounts
(cont)
Note 19
Debtors and prepayments
Please complete this note rf the charity has any debtors orprepayments.
19.1 Analysis of debtors
This year
Lasl year
Trade debtors
6,635
1,082
11,373
Prepayments and accrued income
Other debtors
58.065
22,800
Total
80,865
19,090
Complete 19.2 where a material debtor is recoverable more than a year after the reporting date.
19.2 Disclosure of debtors recoverable in MO￿ than 1 year (included in debtors above)
This year
Last year
Trade debtors
Prepayments and accrued income
Other debtors
Total
CC17a (Excell
37
2310712025

Section C
Notes to the accounts
Icontl
Note 20
Creditors and accruals
Please complete this note rf the charity has any creditors or accruals.
20.1 Analysis of creditors
Amounts falling due
within one year
Amounts falllng due after
more than one year
This year
Last year
This year
Last year
Accruals for grants payable
Bank loans and overdrafts
Trade creditors
50,535
21,687
Payments received on account for contracts
or perforniance.related grants
Accruals and deferred income
4,736
Taxatlon and social security
Other creditors
214
1.050
Total
50,749
27,473
20.2 Deferred income
Please complete this note if the charity has deferred
This year
Last year
Please explain the reasons why Income is
deferred.
ovement in deferred income account
This year
Last year
Balance at the start of the reporting period
Amounts added In current period
Amounts released to income from prevlous perlods
Balance at the end of the reporting period
CC17a (Excel)
38
2310712025

Section C
Notes to the accounts
(cont)
Note 21 Provlsions for Ilabilities and charges
Please complete this note if you have included in charity expenditure any provisions. A provision Is
made when the charity has a liabllfty of uncertain timlng or amount.
21.1 Movements in recognised provisions and funding commitment during ihe period
This year
Last year
Balance at the start of the reporting period
Amounts added in current period
Amounts charged agalnst the provlslon in the Current period
Unused amounts reversed durlng the period
Balance at the end of the reportlng period
21.2 Please provide".
brief description of any obligations on the
balance sheet and the expected amount and
timing of resulting payments.,
This year
Last year
an Indication of the uncertainties about the
amount or timing of those ouffiows. and
- the amount of any expected reimbursement,
stating the amount of any asset that has been
recognised for that expected reimbursement.
This year
21.3 For any funding commitment that is not
recognised as a liability or provision, provide
details of commitment made, the time frame
of that commitment, any performance-related
conditions and details of how the
commltment wlll be funded {wilh contracts for
capital expenditure separately identified).
Last year
21.4 Where unrestrlcted funds have been
designated to a fund commitment, please
disclose the nature of any amounts
designated and the likely timlng of that
expenditure.
CC17a {Excel)
39
2310712025

Section C
Notes to the accounts
Icontl
Note 22 Other dlsclosures for debtors, creditors and other basic flnanclal Instruments
This year
Last year
22.1 Plèasè provide information about th•
Significanco of financlal instmments leg.
dèbtors, credltors, investments etel to the
charltys financial position or perforniance.
for example, the ternis and conditions of
loans or the use of hedging to mana9e
financial risk.
22.2 If thg charlty has provlded financlal
assets as a form of sècurlty. thè carrylng
amount of the flnanclal assets pledged as
$ecurity and the terms and conitions related
to its pledge should be given here.
CC17a IExcell
40
2310712025

SÈction C
Notes to the accounls
l¢ont
Note 23 Contingent Ilabilities and contlngent assets
23.1 Contingent Ilabilitles
Where the ¢harty ha5 contingént liabililltiès, please eomplete th¢ following section unless thè
possibility of thèir oXi8t8nc• r$ romot•.
Thts ￿ar
Descrlptlon of item InClud￿n9 Its lègal naturè.
Plèase descrlb• any securlty provldod in
conn¢¢tion lo th• Ilability.
Estlmat• of flnanelal effget
Last yèar
De5¢ription of item including Its 1•9al natur•.
Please describe any security provid•d in
conn•etion to th• liability.
Estimate of financial effect
23.2 Contingent assèts
Whero thè charity has conting•nt assets, plèase complètg the following sèction whèn their
existgnce is probable
This year
Descriptlon of iiem
Estimatè of financial eff•et
La¥t year
Oescrl tlon of item
Estlmatt of financial effect
23.4 Othor disclosur•s for conting•nt assèts andlor liabilltles
Please provldo thg followlng Inforniatlon where practIcab￿.
This year
Last ￿ar
Explain any uncertalnties relating to the
amount or timing of sèttlement: and the
possibllty of any r•lmbursem•nt
Whèré it Is not pra¢tical to mkke one or More
of these dIsclo$U￿S, please state this fact
CC17a (Exeèll
41
2310712025

Section C
Notes to the accounts
{cont}
Note 24 Cash at bank and in hand
This year
Last year
Short term cash Inveslments (less than 3 months maturlty date)
Short term deposits
Cash at bank and on hand
Other
Total
10,621
51.819
10,621
51,
CC17a (Excel)
42
2310712025

Section C
Notes to the accounts
Icontl
Note 25
Falr value ot assets and Ilablllties
This year
Last
ear
25.1 PlÈa$e provide detalls of the charfws
exposure to ¢redlt risk Ithe risk of
Incurring a loss due to a d8btor not paylng
what is owed) , liquidFty risk (the risk of not
being able to meet short term financial
demands) and market rlsk (the risk that th•
valu+ of an investment will fall du8 to
changas in the rnarketl arising frf>m
rFnancial Instrumonts to whlch the ¢harlty
16 exposèd at the end of the reporting
period and 8xplain how th• eharity
manag85 those risks.
The charrtvs exposu￿ to credit risk is minimal,
Irade debtors reported ￿re paid wilhtn 3
months and other debtors include HMRC Gift
& VAT claims. The charity maintains
suffIc￿ent cash in its bank 8ccount to provi(Se for
short term financial commitrn8nts.
The charitys exposure to cr8dit risk is minimal,
trade debtors reported were paid within 3 fflonffts
and othèr d8btors include HMRC Gift Aid & VAT
claims. The charity maintain5 sufricient Cash in
its bank account to provide for short term
financkql commitrn8nts.
25.2 Plea88 giv• dètatrls of the amount of
hang• in the fair valu8 of baslc Ilnanci41
Instruments (debtors, Creditors,
Investments (see $ectk>n 11, FRS 102
SORPII measured at folr value through th•
SOFA that is attrlbutable lo changes in
credit rlsk.
CC178 IExcell
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Section C
Notes to the accounts
Icontl
Note 26
Events after the end of the reportlng perSod
Please complete thls note events (no¢ requiring adjustment to the accounts) have occuryed after thè ènd of the
reporting period but before the accounts are authorised which relate to conditions that arose after the end of the
reporting period.
This year
Last year
Please provide detalls of the nature of the
event
None
None
Providè an estlmate of the financlal effect
of the event or a statement that such an
estimate cannot be made
NA
NA
CC17a (Excel)
2310712025

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Section C
Notes to the accounts
Icontl
Note 27
Charlty funds (cont)
27.3 Transfer5 between funds
This year
Reason for transfer and where endowment Is converted to Income.
le
al power for its converslon
Amount
Be￿een unrestricted and
reslricled funds
Between endowment and
restricted funds
Belween endowment and
unreslricled funds
Last
ear
Reason for transfer and where endowment Ss converted to Income.
legal power for its conversion
Amount
Be￿een unrestricted and
reslricled funds
Behween endowment and
reslricled funds
Between endowment and
unrestri¢led funds
27.4 Designated funds
This
ar
Planned use
Purpos8 of the designation
Amount
Last
ear
Planned use
Purpose of the designation
Amount
CC17a (Excell
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Section C
Notes to the accounts
Icontl
Note 28
Transactions with trustees and related parties
M thè charity has any transactions with related parties (othw than the trus¢ee expènsès •xplalned In guidance notes) detalls of such
trsn$8¢tions should b• pmvlded In thls note. If thw8 are no transaGtions to report. please •ntor "Trne" in the box or -False- rfthèrn ar•
tran$actlons to report
28.1 Trustee remuneration and bengfit$
This year
None of the trustees have been paid any ￿MuneratIon or re¢giV8d ony oth•r b•neffts from an employnent with
theÉr ¢harity or a rèlated entlty (True or Falsel
TRUE
In tho period the charity has paid trusteès remuneration and benefits. Please give Ihe amount tsf. and legal authority for, any
remtsneration or other benefits paid to a trustee by the charity or any institution or company conn•ctgd wlth 1¢.
Amounts paid or benefit valu•
Remuneratlon
Pension
contrbbutlon
Redundancy
(including
loss ol
officeve
ratia
Other
TOTAL
Name ol trustee
L•g•l authority Itg order,
90vernTrng docymentl
Plèase glve detalls of why remunerotlon or other employm¢ftt benellts
wero pald.
Where an ex gralia paypienl I￿$ b8•n made to a Inistee. wo¥idean
oxplanatlon of the nature of thè paym•nt.
Ila thlrd party has been rwmbursed ft>rprovlding on• or more trust88s,
stat• the nature of the paymenl and amount ofthè reimbursem8nL
Stat• tha numbw of trust8gS to whom ret1￿ment lJenefit5 are aceniin9
undér a defined eontribution pension scheme.
CCt7a IExc811
2310712025

Last yèar
None of the trustè•s have b••n poid any remLtn•r#tion or r•eèiv•d any othèr bènefits from an employmènt with
their charity or a related èntity (True or Fals•l
TRUE
In the perlod the charity has pald trustes remuneration and benefits. Pleas8 give the amount of. and legal authorlty for, any
remuneratlon or othwbeneflts paid to a trust8• by the charlty orany instltutlon or company eonnecl8d with i
Amounts pald or bènefit valuè
Rem￿￿ratIOn
Pen$itsn
¢ontrTrbution
R8Llundancy
IlncludTrng
los$ tyf
orficeyex
gratla
Other
TOTAL
P4amo of trustee
Legal authority {eg ord8r,
gov•ming doGum•ntl
Please BI￿ dotalls olwhy rémuneration or oiher employm•nt benefits
were paid.
Where an ex gratia paymeni has been made to a trusto0. provide an
explanation of the nalurn ol the payment.
If a thlrdparty has been rwmbursed forprovlding one or more trustees,
sr•ie the naturg of the paymènt and amount of the reimbuR¥Èment.
State t￿ number of trnst•ès to ¥vhom rètirement benefits are accrulng
undera défined contrlbution penslon scheme.
28.2 Trustees. expenses
If t￿ charity has trustses expenses for fulfilling their dutiès. details olsueh transactions should bè provided in this note. If there
are no transactions to report, please enier"Trne" In the l)ox below. If there arn transactions to report. please enter"False-.
No trustee éxpenses havè boon Incurr•d (True or Fal￿)
TRUE
Type of expenses r•imbursed
This y•af
Lhst ￿ar
Travel
Subsistence
commodatton
oth•r Ipl•as0 speclfyl=
TOTAL
CC17a (Excell
49
2310712025

Ploase provide the number oftrustees reimbursed for •xpens•s or who had exwnses
paid bythe charity
28.3 Transaction{$l with rnlated partles
Please glve delalls of any transKtlon undertaken by (or on bohalfolj th8 charlty kn whlch a relatedparty ha$ a materfal Int•rnst,
Includlng where funds have been held as agenl for rnlat•dpartles. 11 there are no such transactlons. please enter Yrue'in thè box
provid8d.
This year
Th•r• have been no related party transactions in the r•portlng period (True or Falsel
TRUE
Amounts
writtèn off
during
roporting
rlod
Relatlonshlp
to ¢harlty
Bolan¢o at
perSod end
Provlslon for bad debts
at period end
Nam• of the t￿￿te9
OT r•lat•d party
Des¢r5ptlon of the transactlon(s)
Amount
In relation tg Ihe transactions abow8. plaase provide thè tems and
conditions, including any security and the nature olanypaym8nt
(considgration) to beproviTded in sgltlement.
For any related party, pl•as8 provid• d•tails olany guaranle•s g1￿￿ or
recelved.
Last year
Ther• h•ve been no r•l•t•d party transactions in thè f•POrtlng p•rlod (True or Falsol
TRUE
iounts
wrltten off
durrng
reportlng
perlod
Name oftha trustee
or relatsd party
Rolatlonshlp
to ¢haftty
Provlslon for bad debts
at poriod •nd
0•8crlptlon of th• transactlonlsl
kniount
Balane• at
period gnd
In relatlon fv the tr•n$aefions abov•J plèase provldè lh• temis and
conditions, including any security and the naturn ofanYpayM￿t
(Gonsiderallon) to beprovlded sèttlement.
None
For any related party, please pmvlde detalls of any guarantevs gfven or
c•lv8d.
None
CC17a IExcdl
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Section C
Notes to the accounts
Note 29
Additional Disclosures
The following are significant matters which are not covered in other notes and need to be included to
provide a proper understanding of the accounts. If there is insufficient room here, please add a
separate sheet.
(cont)
CC17a {Excel)
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2310712025