GREAT BARTON PATHWA YS LIMITED
(A COMPANY LIMITED BY GUARANfEE)
UNAiQ)ITED
REPORT AND FINANCIAL STATEMENIS
FOR THE YEAR ENDED 31 AUGUST 2024
COMPANY NUMBER: 06&b1291
CHARITY NIIMBER: 1125759

GREAT BARTON PATHWAYS LIMITED
coNrENTS OF FINANCIAL STATEMENTS
Rep)n of Direcwrsrrrnste
Pagesl￿4
Stttement of Financiat Activitics
Page 5
BalanLX Sheet
Noi¢S to the Furd￿lat Statements
Pag&$7to 14
Inde￿￿ent Examiners Re￿rt
Page 15

GREAT BARTON PATHWAYS LIIKITED
REPORT OF THE DIRECTORsrrRITSTEES
The d1￿C￿r&Itn￿tees present their TeFw)rt with the a￿Unts of Gte¥t Bgrton Pathways Lirnitsd for the year ended 3 1
August 2024. The annual reix*t fornis p￿ of this re[￿rL
REFERENCE AND ADMINISTRATION DETAILS:_
DIRECtORS
Mrs L Moss {resigned 5 Octhr 2023)
Mr R Wcbb (r¢sig1￿d 5 Octokr 2023)
Mrs H Feakes
Dr L Powell
Mr% J Rnhinfnn (App)inied S ()rJnher 2021)
Mr X Robi￿%0￿ (ap￿)Intel 5 (kknber 2023)
COMPANY SECRETARIFS Mwb H Frdk¢b'
Dr L Powell (resigned 5 OEtolxr 20?J}
REGISTEREDI
PRIP*'CIPAL OFFICE
SchLK)l Ro& Grcat Bartor4 Bwy St Fthiund& SuffolL IP312RJ
COMPANY REGISTRATION
06601291
CILiRrry REGISTrATION
1125759
TRUSTEFS
Mr5 L M055 (TEsig￿d 5 Oaobcr 2023)
Mr R Wcbb (r￿Igned 5 Odoltr 2023)
MTS H beakes
Dr L Pow¢ll
Mrs J Robin￿￿ (8pwJinted 5 OctolKr 2023)
Mr X Robirtsoti (apw)Anted 5 0¢￿ber 2023)
BANKERS
CAF
REPORTP¥G
AccOU￿ANTs
Twinn Acc4)untsnts Lirnltr￿ Sulk 4 Fast Barton Bar
Fast Barton Ro&L Great Barton. SuffolK IP312QY
SOLICITORS
Mctr2lfe C0￿man & Pettefar, Cage la￿ Thetfo
Norfolk. IP24 2DT

GREAT BARTON PATHWAYS LIMITED
REPORT OF THE DIREcTORS￿RITSTEEs Icontittlledl
The dtrethrs Submit their Rernrt and Accounts for the yegr ended 31 August 2024. The financial sta*ments hav¢
.n preparth in ￿t0rd￿tt￿ with the acujunting p)li¢ies 5e¢ out on pages 7 to 14 ot'the accounts and con)ply with the
charity's tnLSt dee￿ awities Aci 2011. Accounting Re￿rtIng by Charili¢s: Stakment of Rec4)mmended
Proctice applic1￿￿¢ lo charilic3 prcpariii8 their accounts in accor￿ with thc rtnancial ￿e￿rtIng StandaTd applicablc
in UK and Republic of Ireland FRS102 publish￿0￿ 16July 2014 and up12ted 2 February 2016 and thc Companies
Abi 2006.
Strueture, &)vernanct and Mats4¢m¢nt
Governing Dotument
The or8anisation is a ehgritsble comwdny limited by 8Wdnt* it waE incort￿rated on 23 May 2008 and re8iStered &$
a charity on 8 S¢pt¢mkn 21M)8. The company remained domiant Iiiilil l August 2(M)8 when 0￿ratIonS from a former
un-incorporatGd charity 'Grcat Darton Un(ki 5.5. {th￿lty nwnki 1013627) weie ￿￿15r¢ll￿d.
The company was ¢subltshcd under a Memorandum of A&8ociaiion which ¢sfablishcd th¢ obJecb"ves and wTrwers ot"
the charitable company and is governed under its Artick5 of Association.
The company ts Itmited by %uardntee and has Th) authorised or is$￿1 sharc i¥its]. The rneMI￿rs may ￿ c2]led upon
to contributc £1 each in theevent of the company going iEJto liquidaiion.
Trnstee EDduetion and Tr*i￿l￿g
Th¢ OJ L811)al atid Lu￿rIJL It￿1(v) with thr praciiLzI work of the chariry du¢ io their 'hands on.
involvement. Futurc n¢w T￿￿ will ￿ invited and encournged to attend trwning s￿lOnS to familiarise themselves
with th¢ chan.ty and the context m wthch it op¢ral¢& Pot¢ntiai new.1"ru5t￿ will also be provid&1 with thc Charity
Commi&sion publi¢atiOfE 'Th¢ ES￿ntial Tn]slee'. what you need to know..
Objtttives and #ctivitits for publit btthefit
The princiEMi activitie5 of Gr￿ Barton Pathways Limited are in the pursuan￿ of the ObJ￿ts for which it was fomie4
nam¢ly:_
Enhance development and education of children primarily un&r statutory sclM)ol ag¢ by encourdging parents to
U￿lerStand aThJ provide for the necds of tsKir children throu￿ comtnunity groups arKI by:"
l. Offering appropriate play. education and care facilities and training cowse& togetherwith the right of parents
to take r¢sFrf)nsibilities for and io kcome tnvolved in th¢ activities of such gTOUPS. ensuring such groups
offer0p￿rtUnIIIeS for all children ivhatev¢r th¢ir rac< culIu￿, religion. means or ability.
2. Encourdging the swdy of the needs of swh thildr¢n aN] their famil￿ and promoting publLC illtercst in and
r￿ognitIOrt of ne&ts.
3. In5tig*ing and wjhering to aThl fi￿l￿ring aims and (ybj¢cliv¢s of the prtrschool leaming alliance.
The Board of Tr￿slee$ are aware of their duty lo ensure the &tivities of Great Barton Pathways further its charitsble
objectiv< that tlKse a(*ivilies are for the of public 1K1￿fIL

Aeknitvrncnts *&d P¢rfornattce
We arc happy to W Ihai thisyear Pathways ha5 iKtn thrlvlng finawially a￿1 uuHalty. A1thvu￿t IiwiJIu> w¢i
lower the year irfoK thisyew rAmlrrs for INAh day aRd wrap affjw)d care have InCre￿d and th¢ fiffi￿e
Iwks very tmiSlDg inde¢
Totsl income for theyear is £166.8k to £151Jk IR wev10￿Ye￿ giviDg of l(rA ]D￿me
mBiDly derives from The E￿Y YeA¥s Grant fi7)m 2nd wrdp amunA e&re (Afterknl club. holiday club
aThJ iKeakfast chth). The Pr￿1￿1 again fiom Q537 in 2023 to £1.793 in 2024 giving a
howevcr. ￿¢[C¥S¢d £58214 in 2013 m £68900 in 2024 giving an in11r￿ of l8.3%
The di￿t costs havc sccTh an iIKr¢￿ to lust over £125.5k in 2024 from £122.7k in 2023. RLsing costs the
Imwd hav¢ a Rwtive f￿￿or but a saving Iws t*en with Pathways longer aciwting dinners
Total ov¢rtth Iwe akn S¢￿ a from £44k ID 2023 ts) £37.5k in 2024. Thi5 is mainty allributed to a saving
Lap1￿ ts similwio tr p￿10￿$Ye￿ with crAnpktcd iwildI￿ ilrttL%
for the children.
De4)ktc thc rising o)stsand"thMXn atKI gkx)m- thot we we plea￿ to say Pathways has t¢mained
strong and financtajly IK#lthy. This is allrltrtrted knyal sthtTth& wvtk JIu&iti¥ P￿I￿ayS di attstivc
deslination forparejjts aThl children. With a IKalthy l*nk balar￿ of ovcr£87.5k we ￿lieve that Pathm'ays hls many
productive years aheaL
FINA]¥CIAL REVIEW
Totsl incoming f￿th¢ yfw £l(é833 £151555 inth¢ ￿riod.
Tothl ffyjuw ¢xtthknl WUE £183.818 LW)xed b) £188.028 itithe PTevi0￿ year.
OveralL ex￿￿]itt￿t exceethd inconx ty £1&985 year. comEmuI to adeficRt of £3&473 ill tIK year.
of the clkrity's worL tly slwukl aim to atsure working capitsl of £61273 to cover aF4)Toximat¢ty ot
5clwl t¢nll'S 5*ff And offiLr co￿& Tr Trustees review th¢ Financial Re*Yves Frf)licy 4wllthlly.
Risk Review

GREAT BAIITON PAIIIWAYS LIMffED
haTity tnLStees{wlK¥ al￿ officer5 of Great Barton Pathway5 Limited for thepwx)ses ot"Lx>mpany law) 8¢E
United Kingdom Accounti￿ Siandwts (United Kingkn C*neFaMy Ac¢qthl Acrymmttng PrxtiL*}.
time the finaticial ￿lon ofthe comwny and ￿#ble them to erL4we that the with the Compani¢s
Sigoityg on behalf of the b￿rtI Of 1hreet￿r&￿Ie￿
DrL Powell

FORIHEYE4R AIXL%T2024
ended
31.8.23
Total
Unresti*ted Restrrtrd
Funds
Fund
31.824
Tota
Notes
13
61552
69.370
ajaritabk activitr
14
1.424
1.424
Ifa833
151.555
Raising fund5
15
16
183818
IK(F28
183.818
183,818
18&1T28
{IQ9RS)
(IW5)
(36.4TJ)
TAXArnN
{16.985)
(1&985)
(36.473)
159.432
159.432
195.g)5
141447
141447
159,432
All ofthe above ffsuks derive frnmr0ttts)v￿8 activtrs.
The statenxol of financial aaivitm in¢ludes all gains and losses recogni5¢d in the year.
The notrs on pag¢s 7t0 14 fonD part ofthese accounts

BAlANCES1￿T AS AT31 AiWT2024
Yejtrended
Yesrended
31.&
Tangl)k &ssets
74652
Stock
D¢bto
Cash * bank& n hand
5X>
17
91,031
88J42
3.147
3562
NEfKssEV3
141447
159,432
141447
I￿.432
141447
159.432
These ￿ount8 have been pryared in x¢oJdAnc¢ with the SPeci￿P￿v#￿nll Jel*tiU8 to small c£*n4Mn*s
wiihin Part 15 ofthe ConpaniE5 Act
Forth¢ fr2an¢ial y¢ar¢nd¢d 31 Aususi IY24the cotrymny entitkd to exnytioll fivmaudit underS¢ctu)n
477Cowie¥ Ad alld no n0￿C Iw beej) deposted und¢rS¢dx)n 47&
The dllEC1o￿ acknovknlge their5rsponsi)litw forensutiDS that the co]￿anY keeps ¥¢counting Yeconts
which conwty with s386of the A¢L and for P￿Paring accouttts give atrue and fairview ofth¢ state of
aftbirs of the wnyaay as at th¢ end ofthe fmancial pernd and ofits prnfft or h)ss forthe fin8ncial p￿10d.
accordance with the tcquitclluts of SeCt￿ns 394and 395 and othen*ise ¢on¥•ty with the ￿quIre￿￿￿tS
?3
Approv¢d by th¢ BOS￿ off￿￿e¢to￿ on ..-.... .
- and sign¢d on its bthalfby
DrLPO￿lI (Ikne¢Sor)
Mr X RobiosoD Ulire¢tor)
Cwmy ￿ 06601291
Th¢ notes on pa8es 7 to 14fonD part ofthcse accounts

GREAT BARTON PATHWAYS LIMITED
NOTLS TO THE ACCOIIM5 FOR THE YEAR ENDED 31 AIIGIIST 21124
AetountiTrg Poli¢1
Basis of prepar#tioD
Th¢ finath¢ial statements have 6eeTh prepored in *k¢¢ordat)c¢ with th¢ Statcrncnt of Rccommcn(kd pr￿tiC¢". Ar￿n1]ng
and Rewning by Charities prqjaring their accounts in accordan￿ with thc Financi￿ Retxjrting Standard in thc UK
id Rryuljlii (FKS 102) ibyjcd on 16 July 2014 and UPK*d on 2 FetrKuary 2016 and the Companies Act
The acCo￿ts have E¢en ple￿d to give a.￿e aTMI faiv, v￿W 8rKI have &parted from the Charities (Accounts and
Report5) R¢gulations 2008 only to the ex*ni required to Provide a and fair- view. This d¢partur¢ has involved
following Accounting and R¢tK)rting by Charities applicable to charities preparing their ￿e￿unt8 in ACtr)rAknetr. wth
the Financia] R¢p)rting Standard a￿lICable in the UK and R¢public of ITelaThl (FRS 102) issfftl on 16 July 2014 and
uwjated 2 FebnI￿ 2016.
Thc Charity eonstitut&8 a public iwGfit ¢ntity &5 &fined by fRSIOI
The fTusiees conslder I￿re no mw¢riaJ Un￿nainI1&S regarding Ihe Charity's ability to continueas agoing concern
due to the valuc of th¢ inv¢stments and reserves heliL
Financial Re￿)rtIn% stat￿￿Td 102- Tedueed diselwure eiemptiotts
The charity h&s tsken 2dv2ntage nf the ftsllnwng disc.In￿1re. eYemptKbn irt preparitxg these firvdneial statements. As
perniitted by FRS 102"'The Financial R¢Frf)rting Stathd awlicabie in UK and R¢public of Ireland":
the r¢quircrncnts of Section 7 Statement of Cth Flow5.
The principal &counting wlici¢s athTrNed in the preparalton of fina￿la1 statemenls are ￿ foliows'.-
Ineoming RuoU￿t$
All incoming r¢s(xwccs ar¢ included in the Statement of Firwicial Activities when:_
the charity Etc¢)mes entitled ts the resource5
the tnLStee5 are virtua]ty c£rlain they will receive ts resY>urtrs and:
the motietary Val￿ I￿￿ FK with sufficicttt r¢liability
Donat10115 and Grants
Income from thnatkins aThJ grall￿ including wital grant& is i￿luded in itwming r¢9)urces when these are
receivable. exceo &s follows..
When ¢knnoTS specify thatdonaiions and grants giv¢n to the clwity m￿tI￿ in futweawunting periods,
income i5 defttred until those ￿TIO(L8.
When donors impose conditions which have to FK fiEifilled before the charity becomes entitled to use such
incorne, the ithcorn¢ is d¢f¢rr¢d and incluthd IA itKoming r¢9)wc¢s until the wtrcondttions for use have
t*en meL
Interut Receivable
Interest is included whcn re￿1vable by the charity.
Pag¢ 7

GRLIT BARTOI¥ PATHWAYS LIMITED
NOTFS TO THE AccoiINfs FOR THE YEAR EI¥DED 31 AIIGiisf 2024
Rt¥oureu Expended
Resources expend￿ ar¢ inclth in the Statement of Financial Activities on an aC¢n￿ basi& in¢lu5ivc of any VAT,
C¢itaiJi t￿￿[*4it￿[¢ is di￿¢¢1Y atttil)utable tts 5￿CifiC activttics and has been inclu¢Jed in tknsc wst catGgoric6. Ccrtain
other cosL% which are attributsbl¢ 10 tnore than ort Aclivity, are apiKlrtioned across cost categories on the b￿lS of an
¢sttmate of Uie prowjrtion of lim¢ by sraff on th0￿ aciiviii¢5.
Tangible Fixed Auets
Depreciation is provi￿ in order lo write off each a￿t over its eslimatcd use￿1 lif¢ as follows:
Expendttujr on I¢￿￿0[d propcrty- 10 ycars Straight linc mcih(wJ
Computer equipment- 3 years slrdight line Me￿)d
Fumiture. lixluT¢S and ¢quiprnent- 4 yejrs strdight line met￿d
Ind(M)r play ¢quiptnent-3 Yea￿ straight line method
Ouithor play equipment- 10 years straight line med￿d
S¢fjek
Sknck is val￿dat the lowerof cost and net realisable Val￿ after making due alIowantt forobxTrlete and slow moving
items.
Fund A¢¢ouDting
Funds held by the charity aT¢ ¢ith¢r.
Unrestricted g¢n¢ral fimds- these are fimds which can in accordance with the ch&itable objectives
aL the disLrvtivn (Trfihr itusicr
Restricted fi￿d5-these are fimds that can only Ix ￿ for particular restricted purp)ses within the objecl of
the charity. RcstrictiOfL% arise when s￿el[led by the thxM)r w when fuThJs are raised tor paTts"cular restricted
pwkx¥s¢s.
Further cxplanation of the nature and PWFrf)s¢s of ¢adb fivKI is i￿l￿d¢d in th¢ tK)t¢s to the fIr￿1claI Statement
Taxation
The clwity is exempt from cormion tax on its charitable xtiviti&s.
Page 8

GKLAI. BARiufi PAI"HWA YS LIMITED
NOTh3 TO IHE ACCOUN15 FOR THEYFAR 31 A￿T 2024 {eoDtinuedJ
The charity Operat￿ in the UK and th¢ whok of ils inconK and thc utaisatK)n of that inconr is
attributsbk io its ￿H1n activities.
Yearended Ye8r ended
31.&24
31.8.23
fkt outSQinS f¢50Uf￿5 foi thcyear is Stated afiel cliar8iiig.
Diff¢lots' ￿n￿nerat￿n
DepreciatK)n oftsngbi le fTrEd &ssets
Indcpcndrnt F￿n•￿at￿pA fec
20.838
3,1&fi
21,374
2.478
4 TANGIBiETr1x￿ ASSEtS C￿0 utcr Fumiture
Pla
t£asehold
FixuJts& ￿￿[T¢nI Pro crt
ui
Tvldl
COST
At l August
AdditN)n5
&￿3
192
40,462
376,926
446,383
749
749
Disposab
As at 31 August 2024
&PA13
20.941
40,462
376,926
447,132
At l August 2023
Chargc for ihc ycar
Disposa15
A5 at 31 August 2024
7208
957
17242
1.439
15253
3.497
332.028
14.915
371.731
20.838
4165
14681
18.750
346,973
391569
A5 at 31 August 2￿24
BOOKVALiIE
As at 31 August 2011
638
21,712
29,953
54.563
19S)
44,898
74,652
Ycar ended Yearended
5 D￿BToRs
31.&24
31.8.13
Trade debtors
1.856
.127
1177
Prepaynrnts
(Xher debtors
1777

KLA"I' BAK'IVN VA'I'HWAYt• LIMI"I'U)
NOTFS TO THE ACCOiiNTS FOR THEYFAR ENDTrI) 31 Ai￿l￿T 2024 (continued)
Year ended
31.8.24
Yearended
31.8.23
Trade creditors
219
Accrnals
tkfeffed incon
1219
Other ctrdito
439
3.147
3.562
Year ended
Year ended
31.8.24
31.8.23
The cotwany's investnrnt inconr is derived from the following:
BatLk itJ¢¢I¢s¢
1.424
633
Year ended
Year ended
31.8.24
31.8.23
Getteral
tncoming resources (notes 7, 13 & 14)
Resourccs eyoended (notes 15 & 16)
Tay2tion
166,833
(183.818)
151,555
(188,028)
Net Twvet￿ftt in fvnds
(16,985)
159.432
142.447
(36.473)
195.905
159.432
Balance brought fonyard
Balance as at 31 August 2024
Page 10

GREAT BARTON PATHWAYS LIMITED
NO￿5 TO I7￿ACCoU￿[s FORIHEYE4R 31 AiWT21124 {continued)
9 ANAL15L8 OFNET ASSEIS BEIIVTrP4 TriINDS
Yearellded Yearended
31.8.24
UnrestrKted Resiricted
31.8.23
Funds
Fund
"lotal
Fund as at 31 August 2024 a
represented by:
Tangibk FLYd Assets
CuThent Asse
54
54363
Yl,V31
74,652
88J42
13.562)
91.VJl
(_I.147)
Creditots.. AtTh)unts falling due one year
Total Net Assets &$ at 31 August 2024
141447
141447
159,432
10 SH4RECAprrAL
The co￿VanY ts limited hy Euxrnntee And no sha￿. rapilal. In the event ofthe c4)ttpany bein8 wund
up each nmI)eri￿ll be rEqUitEd ￿ contnbute £1.
I I PAiifYiRANSACIIONS
t￿rn8 the yearno Trllsie¢ was paMI reminerat￿ll torHXTrIk￿rn¢d out on behalfofthe Charity.
I￿rnI8 the year£ttil {￿. £597) was (ell￿￿tsed ￿ tntsttts forewenses.
12 ANALISKS OFSTATrFCOSTS
Yearended Y£arend¢d
31.824
31.823
Staff costs as fojbws:
salar￿ & Wa8¢S
Social Security Costs
119.¢MJ3
121.982
120,973
I21￿8
The 8v¢rnge nunl)erofenykJyees ￿ the yWWd5 split as folknms:.
DI￿¢t charitabk ewenditUTe
Adnmnistration & managenmt
io
10.0

liKLA"I' BAK'IDN YA'I"HIVA YS LIMI"I"EIP
NOTFS TO THEACCOiM5 IHEYEAR 31 AiWT2024 (efjntinued)
13 NCOME- DONArnfrfs Ar￿ GRAff15
Year ended
Year ended
31.&24
31.8.23
tknrestricted Fun(b:.
Suffotkcounty Councl- Farly yea￿ Cranl
81.552
14 INCOME. CHARrrABiEACTivrriFS
Year ended
31.8.24
Year ¢nd¢d
31.8.23
Ihrestricted Funds:_
Trips & activilies
School dinneT5
569
3,￿1
362
1936
410
Mill(
Unrfom
Holiday club ftes
After School club fees
245
15,180
27,957
4,012
15.137
1537
586
31554
1217
20,146
1.793
658
Llub frrs
BreakfdS¢ club fees
Prt4chool fees
Fund raising acttyilies
78,686
69.370
Page 12

GRLAT BARTON PATHWAYS LIMITED
NOTh5 TO THEACCOiJN15 IHEVLIR TrNDFJ) 31 AtLUST 2024 {cOnti￿￿e￿)
15 RALSINC nJNDS
iknrestritted
Year cnd¢d
31.8.24
Year ended
31.8.23
Fund vaising
Year ended
Year ertded
31.8.24
31.8.23
ihrestritted Funth
Schnnl Ainr*P.TS
Food, shopping & esseniiaL8
UnifoTtT
7.936
Materials & supplieg
Advertisitlg & prollK>tK)n
ikI￿n'S entertainl1￿nt & replacenrnt toys
Trys & *¢tivities
Staff training & WEIkn
Staff salaries
1915
3.497
2.185
1343
1.364
108,fl
1078
3291
105.615
1,735
Staff pensK)n contntsutions
Ofsted registration fee
siness ratrs
564
Water rat¢s
688
aeanin8 & reths¢ ¢ollectK)n
L4ght & heat
Tekphone
Insurnnce
1245
4,334
4.493
1734
1556
1518
Conryjuter consunmbks & intemet
Prop¢rty & gard¢n nmintenance
Stationery & office ewenses
Bookkeeping COSES
Office sa]aries
Office pcnsts)n contribuiions
Independeni Fwjmnaiion fees
MiscelLin¢ous
2.202
2.764
407
3.456
12,248
159
2.478
1,459
115
3.1￿5
7.631
37
3,186
1.112
DBS CheGks
Depreciation- fvrnitUTe. fLYtures & equipnrnt
tkpreciation- pIay eqUipn￿nI
Depreciation- conyuicr equip￿ent
Depreciation- leasehold property
1.439
3.497
957
3.625
1.010
14.945
14,945
183.818
188.028
P88e 13

GREAT BARTON PATHWAYS LIMITED
NOTb5 TOTHEAccoiNfs FORIHEYFAR tNDU)31 A￿T2024 (cl￿tinued)
t7. COMPARAIIVbS MR qTATFMFNrnFFINANf.IAI. ArnvrrF.S
Year en
Unrestyict
Funds
R£stricted
31.8.13
Noteg
Funds
Lk*naiKbns & gfdnts
aritabk activities
InvesinKni tncon
81552
69J70
033
81.552
69J70
633
Totsj
151.555
151,555
*ndltt¢re on:
PAigin8 fjjnds
ariLabk activities
15
16
188.028
188,028
I8&028
188,028
Nei income1(e￿n￿7tsre)
(3&473)
(3Q473)
TAXATr)N
(3&473)
(3&473)
195,W5
I95.￿5
159,432
159.432
Pag¢ 14

We re￿rt on the forts y¢&athJ 31 AwJ# 2024. whiL* pges l kn 14.
Having Satisf￿ oursefves ttot conjrw ￿t 5ubi¢LX to a￿111 Part 16 of 21K￿ Act and aTe eligible for
145 of the char￿¢$ 20 11. In ¢ming wt ourcxaminatioo hwe folknved the dIr￿t&￿ given by the Clwity
Commiwn (U￿￿r sC£tion 145(5Xb)of the 2011 AI
)unts th not comply wlth relevant XC4)wthg requin)xnts section 396 of th¢ Compani¢sALt
drawn io
SuTt¢ 4. East Barton BaTDS
GTeatBarton
Bury St Edmunth
Suffolk
IP312QY
Pagc 15