COMPANY REGISTRATION NUMBER: 06654712
CHARtrY REGISTrATION NUMBER: 1128934
Think Ahead Community Stroke Group
Company Limited by Guarantee
Financial Statements
Year Ended 31 March 2024

Think Ahead Community Stroke Group
Company Limited by Guarantee
Trustees. Annual Report (Incorporating the Directorfs Report)
Year ended 31 March 2024
The trustees, who are also the directors for the purposes of company law, present their report and the
unaudited financial slalements of the charity for the year ended 31 March 2024.
Reference and administratlve detalls
Registered charity name
Think Ahead Community Stroke Group
Charity registration number
1128934
Company registration number 06654712
Trustees
Iliam Neville Andrews
Mavis Thomas
Jean Anne Houghlon
Linda Mary Monaghan
Linda Valene Agnew
Cofflpany Secretsry
Carol Sankey
Registered office
Ashland House
Manchester Road
Ince
gan
WN2 2DX
Accountants
EKWilliams Accountants Limited
Chartered A(xountants
No1 Pavilion Square.
Crickelets Way.
Westhoughlon.
Bolton,
BL5 3AJ

Think Ahead Community Stroke Group
Company Limited by Guarantee
Trustees, Annual Report (Incorporating the Directorfs Report) f¢ontinu8d)
Year ended 31 March 2024
Charitable objectives and activities
The tnjslees confirm Ihal they have complied with the duty in Section 4 of the CharitEs Act 2006 10
have due regard tor the Charity Commission's guKlan¢e on public benefit.
The principle acb'wty of the charttable compafty is to impn)ve the quality of the INes of stroke suNivors.
their carers and families across Wgan and Leigh. The chanty also aims to pronK)le awareness of
stroke care ￿rosS the community.
There have been no material changes in the objectives of the charity. The governing docurrEnt is
memorandum and articles for a Company Limited by Guarantee and not having Share capital.
The accounts compty wth current slatulory requirements and wtth the requiiements of Charity's
Governing Document.
Directors and Trustees
The following directors of the charitable company. who are also the trustees for the purpose of charity
law, served during the year".-
Howard Michael Aspinall
William Neville Andrew5
Mavis Thomas
Jean Anne Houghlon
(Director￿ru51eeJChairrnan1
1Directorrfruslee￿reasUrer}
{Director￿ruStee)
{DireclOf￿ruSIee)
Responsibilities of the Directors and Trustees
The charity tru51ees are responsible for preparing a trustees. annual report and financial statements
in accordance with applicable law and United Kingdom Accounb"ng Standards (United Kingdom
Generally AC￿pted Accounting Practtcel.
Company law requires the charty tnjstees to prepare finan(ial staten￿nIS for each year which
give a true and fair view of the state of affairs of the charitable company and the group and of the
incoming resources and ap￿IcatIon of resour￿5. including the income and expenditure, of the
charitable group lor thal period_ In preparing the financial stalements. the trustees are required to-
select suitable accounting poli¢tes and then appty them consistently.,
observe the methods and principles in the Charities SORP:
ake judgements and estimates that are reasonable and prudent
state whether applitrAbk UK &counling standards have ￿en followed, subject to any material
departures disclosed and explained in ihe financial ststerrEnts-
prepare the financial statements on the going cOn￿M basis unless tt is inappropriate to
presume that the charity will continue in business_
The tnjstees are responsible for keeping proper accounting records that disclose with reasonable
accuracy at any time the financial position ot the charity and lo enable them lo ensure that the

Think Ahead Community Stroke Group
Company Limited by Guarantse
Trustees. Annual Report (Incorporating the Dlrector's Report) {contlnuedJ
Year ended 31 March 2024
financial statements comply with the Cornpanies Act 2006. They are also responsible for safeguarding
the assets of the charity and the group and hence tsking reasonable steps for the prevention and
detection of fraud and other irregularities_
The trustees are responsible for the maintenance and inlegrty of the cotporate and financial
information included on the charitable company's website. Legislation in the United Kingdom
govefning the preparation and disseminats.on ol financial statements fftay differ from ￿giSlatIon in other
jurisdictions.
A¢hievem¢nts and perfornlance
The year 2023 - 2024 has. once again, been a busy year for the charity with lots of challenges and
fruitful achievements.
In June 2023 the refurbishment of our new office space and activities area was completed. This
has given a greater opportunity to deveEop our offer of support further and the feedback from
LEnefi¢iaries, and partner organisalions, has teen very positive.
Throughout the year we have conb.nued to meet senior representatives within our Stroke
Collaborative Steering Group, and they have 811 wethmed the opportunity to gain a greater
knowledge and understanding of each organisation. Through this an in¢rease in partnership
working has been created and opportunities ofjoint working embraced.
Our digital monthty newslètter continues lo be a valuable Iwl for our colleagues in health and social
care services and gives everyone a dearer understanding of our unique offer of support. The
distribution list has continued to grow throughout the year which has fed lo an Increase in referrals
from other servw across the Borough.
We continue to promte our offer of supwrt to GP surgeries and there has been opportunity to
meet with some practi￿ Managers, Care Co-ordinators and Link Workers. A piece of development
work will be carried out in Ihe new year to further enhance the partnership work done Io-dale.
Both our edu¢abonal programmes, Stepping Stones and Wellbeing have continued lo be developed
and rolled out throughout the year. Local Stroke Survivors. their Carers and fgmilies have been
supported lo gain a clearer understanding of Stroke and the community ServI￿S available following
the initia5 trauma of Stroke_
Developfflent work has conb'nued Ihrough our &year project (National Lottery Community Funding)
and long-lerm Social and practical activities have been delivered accordingly. Recruitment of
new beneficiary volunteers for our vibrant Music Group, is just one of the many social actNities,
which has gone from strength to strength. both in attendee nutllbers, and a positive impact.
Listening lo a wide selection of beneficiaries has meanl the deVe￿pment and commencement of
several other S￿la1 and prac￿7 activities_ One such development is an indoor Fishing Group
which has given everyone an opportunity to meet regularfy throughout the winler months.
Experience and lips have been shared and plans a￿ underway lo use a new, easy access local
venue throughout the 2024 fishing season. This will grve our beneficiaries a unique opportunity to
Fjut knowledge gained into practice.
Through this yearfs focus work we identified the need for addtiional Carers support with Living Grief
and Emergen¢y Planning l Forward Planning. To meet these needs, we have set-up both a Carers
Working Group and Steering Group and these each contain beneficiaries with valuable shared-life

Think Ahead Community Stroke Group
Company Limited by Guarantee
Trustees. Annual Report (Incorporating the Director's Report) {contlnuedJ
Year ended 31 March 2024
experience.
We continue to work in collaboration with Greater Manchester Neurorehabilrtab'on and Integrated
Stroke Delivery Nelwork and we represent the voluntary sector al their regular CEG (Clini¢al
Effectiveness Group) M￿lINg5.
Our reach continues lo be extended through awareness raising Vh? our website and all social media
plalfomis. As always, a monthty newsletter is forwarded lo the homes of all our beneficiaries
outlining our offer of suppjrt. Many new. and some exisb.ng beneficiaries, have taken up the option
lo receive this digitally and we will conb.nue lo encourage this in the future.
Through our solely owned subsidiary Company. Think Ahead Property Ltd, we have continued to
develop our'wellbeing Hub. providing affordable space to lo¢al organisations.
As always. we remain true to our eth05 which began over 24-years ago. and we would like lo thank
those who support and fund our chartty- We also send sin￿re thank5 and gratitude lo all our
volunteers, staff and partner organisations for their continued dedication and support.
Flnanclal review
Review of the ffnancial position at the end of the a¢¢ounting period
Totsl income during the year was £250.(ffi12023.' £261.7721.
Totsl expenditure amounted lo £132,91412023'. £142,520)-
Overall. a surplus of £117.152 (2023- £119.2511 was made for the year and a detsiled breakdown of
the income ané expendrture forrns part of the notes to the accounls.
Reserves Policy and golng concem
The trustees have adopted a reserves FX)licy whth they consider appropriate to enable the char'ty to
meet ils developing commitments and obligakn"ons. To this end the charity policy is lo retsin funds
equivalent to approximately 9 rrKsnth's staff and administration costs.
The directors have assessed the financial performance of the char-ty for the year ended 31 March
2024 and ils position at the year end and have concluded that the charity has enough financial
reserves to be able lo continue lo operate for al least 12 ￿nthS fro￿ signing the accounts.
Plans for future periods
Think Ahead Stroke remains commrtted lo continued development and. during the year, we will
strive to recrurft additional Board membeis wtth diverse skills and experEnce.
In response lo our previous yearfs fcrus and evaluation wotk we will advance and improve our
social, practical and educational activities. Addib"onal volunteers. with appropriaie skills and
experience, will be recruited.
An emphasis will also be placed on supporling those into volunteering roles with personal
experience of Stroke. Everyone's shared-life experien￿ will, as always, be highly valued within
Think Ahead.

Think Ahead Community Stroke Group
Company Limited by Guarantse
Trustees, Annual Report Ilncorporating Ihe Director's Report} {continued)
Year ended 31 March 2024
Furthei development work will (x)nlinue and. as always. through consultal'on wf(h benefiaaries. A
variety of methods and formats will be used to ensure a diverse range of information is gathered.
We will advance previous work undertaken with local GP surgeries and make sure promotion of
FAST and healthy lifesty￿ choices are al the forefront of this work. In each surgery we will
ensure frontline staff have up-to4ate knowledge about all Think Ahead's varied progfftmmes to
disseminate lo their patients.
Our professionals. monthly newsletter is frJndamenlal to fvrther in¢7easing our reach to colleagues
across all health and social care servi¢es in the Borough.
Through our Stroke Collaborative Steering Group. we will keep up-to-dale with local Stroke
pathway partners, ensuring all opportunitEs for partnership worting are explored and acted-upon.
Sustainability and longevity remain high on our list of priorittes and ensuring the continual
evelopment of our'wellbeing Hub. remains pwotsl to achieving this goal.
Structure, govemance and management
Think Ahead Community Stroke Group is a company limited by guaiantee, incorporated on 23 July
2008, and granted charitable statu5 on 1 Apnl 2009. The Company is goveffled by its Memorandum
and Articles as from inCOTpora&"on as at 23 July 2008. as amended by a special resolution on the 20
March 2009, the charitable objectives whKh are detailed in the Trustees Annu81 Report.
Relatedparties and cooperation with other organisations
None of our direclorllruslees receive remuneration or olher benefrt from their wotk Imth the charity.
Any connection between a trustee or senioF rnanager of the charity and 3 third party individual or
company that transacts wtth the charity must be disdosed to the board of difeclorsltruslees. Details of
relaled party transactions are shown in note 16_
The charity's wholly owned subsidiary, Think Ahead Property Lld was established in 2017 to own and
maintain the premises that the charttable Company operates from. Think Ahead Property Ltd g.rft aids
most of its profits to the Chanty each year {see note 16).
Risk Alanagement
The TrusleeslDirector5 continue to review and alleviale polentsal risks, in accordance with the
guidance set out by the Charty Commission.
Small company provisions
This report has been prepared in accordan￿ with the provistons applicable to companies entitled to
the small companies, exemption.
The trustees. annual report was approved on ........ 2024 and signgj on behalf of the board of trustees
by=

Think Ahead Community Stroke Group
Company Limited by Guarantee
Trustees. Annual Report (Incorporating the Directorfs Report) fcontinuod)
Year ended 31 March 2024
Mrs M Thomas
Director

Think Ahead Community Stroke Group
Company Limited by Guarantee
Statement of Financial Activities
(including income and expenditure account)
Year ended 31 March 2024
2024
Restricted
funds Total funds Total funds
2023
unrestn.cted
funds
Note
Income and endowments
Donations and fundraising
Total income
184,103
184.103
65,963
250,066
261.772
65.963
250,066
261.772
Expenditure
Expenditure on fundraising costs
Expenditure on charitable activi&'es
Totsl expenditure
7.256
59.695
5,762
60.201
13.018
119.896
14,060
128,460
66.951
65.963
132.914
142,520
Net expendilure and net movemenl In
funds
117,152
117.152
119,252
Reconciliation of funds
Total funds brought forward
Total funds carried forward
9[￿.886
)6,886
787,634
1,024,038
1,024,038
906,886
The slalement of financial ath"vities indudes all gains and losses reccgnised in the year.
All income and expendittjre derive from continuing activibes.
The notes on pages 8 to 14 fom) part of these financial statements.

Think Ahead Community Stroke Group
Company Limited by Guarantee
Statement of Financial Position
31 March 2024
2024
2023
Note
Fixed assets
Tangibk fixed assets
Investment
10
11
767
1,103
768
1.104
Current assets
Debtors (due within 1 yearl
Debtots (due after more than 1 yearl
Cash at bank and in hand
12
13
31.995
851.769
170.314
28.173
758,095
219.351
1.054.078
1,005,619
Creditors: amounts falllng due wlthln one year
Net current assets
14
{30,8081
1.023.270
{99,8371
905,782
906.886
Total assets less current liabilities
1,024,D38
Funds of the charity
Unreslricled funds
Reslricled funds
1.024.038
906,886
Totsl ¢harity funds
15
1,024.038
906,886
For the year ending 31 March 2024 the charity was entided to exemption from audit under section 477
of the Companies Act 2006 relating lo small companies.
Directors. responsibilities-
The members have not required the company to obtain an audit of ils finaneial statements for the
year in question in &cordance wtlh secb.on 476.,
The directors acknowledge their responsibilities for ￿)MPlyIng with the wuirements of the
Companies Act 2006 and the Charsbes Act 2011 with respect to accounb'ng records and the
preparation of financial statements_
These financial statements have teen prepared in accordan¢e with the provisions applicable to
companies subject lo the small CoMpan￿s, regime and in accordan￿ with section 132 ￿ the Charities
Act2011.
These financial statements were approved by the t¥)ard of trustees and authori5ed for issue on
2024. and are 5Jgned on behalf of the board by..
Mr5 M Thomas
Director
Mrs J A Hough
Director
Company registration number.. C6654712
The notes on pages 8 to 14 forni part ofthes6 finan¢ial $tstsmonts.

Think Ahead Community Stroke Group
Company Limited by Guarantee
Notes to the Financial Statements
31 March 2024
General infom)ation
The charity is a publi¢ benefit enlity, and a private company limited by guarantee, registered in
England and Wales and a regIste￿d chartty in England and Wales The address of the registered
office is Ashland House, Dobson Part( Way, In¢e, Wigan. WN2 2DX.
Statement of compllanee
These financial statements have been prepared in compliance with FRS 102. 'The Financial
Reporting Standard applicable in the UK and the Republic of Ireland,, the Stalemenl of
Recommended Practice applicable to charities preparing their accounts in accordance with the
Financial Reporting Standard applicable in the UK and Republic of lfflané IFRS 1021 (Charities
SORP IFRS 102)) and the Companies Acl 2006.
Accountlng policles
Basis of prepardtion
The financial statements have been prepared on the historical cost basis, as modified by the
revaluation of certain financial assets and liabilrties and inveslment properties rrEasured at fair
value through income or expenditure Whe￿ appI￿able.
The financial statements are prepared in slerling. which is the functional curren¢y of the entity.
Going concern
The directors have addressed going cOn￿M in the TnJsl*s' Report and confirm Ihal they
believe the tharity has enough financial resources to continue for al least 12 month5 from the
date the accounts are signed. On that basis, the thartty is a going concein.
Fund accounting
Unreslricled funds are available for use al the discretion of the truSt￿S to further any of the
charity's purposes.
Designated funds are unrestricted funds eamiarked by the trustees for parbcular future project or
Commitment.
Restricled funds are subjected to restrict.ons on their exrEndilure declared by the donor or
through the temis of an appeal and fall into one of sub-dasses.. reStr￿ted income fvnds or
endowment ftjnds.

Think Ahead Community Stroke Group
Company Limited by Guarantee
Notes to the Financial Statements (Gonbnupdl
31 March 2024
Accounting policies {cofttiftued)
Incoming resources
Al incoming resour¢es are included in the ststemenl of financial athvilies when entillemenl has
passed to the charity", il is probable that the economic benefits associated with the transaction
wll flow to the Chanty and the amount can be reliably measured. The following specific policies
are applied lo particular categories of income..
income trom donations or grants is re¢ognised when there is eviden¢e of enlillement to the
gift. receipt is prOba￿e and ils amount ¢an be measured relK4bly.
legacy income is recognised when re￿Ipl is probable and ent￿ement is established.
income from don*ed goods is measured at the fair value of the goods unless this is
impradical to measure reliably, in which case the value is derived from the cost lo Ihe donor
or the esb"mated resale value. Donaled facilities and services are recognised in the
accounts when received if the value can be reliably measured. No amounts are included for
Ihe contribution of general volunteers_
income from contracts for the suppty of services is recogniseé with the delivery of the
contracted service. This is dassffied as unrestricted funds unless Ihete is a Contr￿tUal
requirement for il to be spent ork a particular purpose and reluined if unspent, in which cas
it may be regarded a5 re51ricted.
Resources expended
Expendrture is recognised on an accruals basis as a liabilrty is incurred_ Expenditure includes any
VAT which cannot be fully recovered. and is classified urtder headings of the statement of
financial activities to which it relates.
expendituie Taising funds includes the costs of all fundraising activities. events, non-
charitable trading activities. and the Sa￿ of donated goods.
expenditure on charitable activities indudes all costs incurred by a ch3rty in undertaking
activib.es that further its charitable aims for the benefit of its beneficiaries, including those
suptKJrt costs and costs relab'ng lo the g0Veman￿ of the char'ty apportioned lo charitable
actNities.
olher expenditure includes all expenditure that is neither related to raising funds for the
charity nor part of ils expenditure on charitatAe acts'vities.
All Costs are allocated to expenditure categories reflecling the use of the resource. Direct Costs
attributable lo a single activity are allocated directly to that activity. Shared costs are apporb.oned
bets¥een the activities they contribute to on a reasonable, justifiable and consislent basis.
-10-

Think Ahead Community Stroke Group
Company Limitsd by Guarantee
31 March 2024
Financial instruments
A financial asset or a financial liabilty is recognised only when the entty becomes a paty to the
contractual provisions of the instrument. Basic finanaal instruments are initially reeognised al the
amount receivable or payable including any related transaction costs, unless the arrangement
conslitules a financing transaction. where it is rec￿nISed at the present value of the fvture
payments discounted at a m8rket rate of interest k)r a similar debt instrument. cyr￿n1 assets
and current liabilities are subsequenty measured al the cash or other consideration expected to
be paid or re￿iVed and not discounted. Debt instnjmenls are subsequenlw measured al
amortised ¢osL
Tangible Fixed Assets
Individual fixed assets are capitslised at cnst and are depreciated over their estimated useful
economic INes on a oducing balance basis as follows"
Asset category
Office Equipmenl
Fixtures and Fittings
Annual rale
33V/o Reducing balance
20% Reducing Lklance
Investments
Inveslmenls are ￿Corded al cost and then subject to an Impairment review al each financial year
end with any changes in value being recorded in income or expenditure in the SOFA.
Limited by guarantee
Esch member of the Board of Trustees has undertaken to guarantee the Charty's debts lo the
sum of£10 each.
Donationg and legacies
Unrestwted
Funds
Restricted Total Funds
Funds
2024
Donations
Donations and incoming resources
184.103
65,963
250,066
Unrestricted
Funds
Restricted Total Fund5
Funds
2023
Donations
Donations and incorning resources
197.296
64,476
261,772
11

Think Ahead Community Stroke Group
Company Limited by Guarantee
31 March 2024
Costs of raising donation$ and legacies
Unrestricted
Funds
Restricted Totsl Funds Total Funds
Funds
2024
2023
Fundraising costs
7.256
5,762
13.018
14,060
Expenditure on charftable actlvhles by type
Unre5tticted
Funds
Restricted Totsl Funds
Funds
2024
Charitable activty
Support costs
48,079
5,854
65.963
114,042
5,854
53.933
65,963
119,896
Unrestricted
Funds
Restricled Total Funds
Funds
2023
Charitable activity
Support costs
65,775
7.341
55,344
121,119
7,341
73.116
55.344
128,460
Staff costs
The total staff costs and employee beneffl5 for the reForts"ng perk)d are analy5ed a5 folli)ws".
2024
2023
Wages and salaries
83.902
90,847
The average head count of employees during the year was 4 (2023-. 4).
No employee re¢eived empbyee beneffts of rrK)re than £60,000 during the year12023: Nill.
Trustee remuneration and expenses
Al TnJ5tees l Directors gwe their tirne voluntary.
-12-

Think Ahead Community Stroke Group
Company Limited by Guarantee
31 March 2024
10. Tangible fixed assets
Computer
Offlce
Equipment Furnitur#
Website
Total
Cost
Al 1 April 2023
3,210
10,594
3.843
17,647
Al 31 March 2024
3,210
10,594
3,843
17,647
Depreciation
Al 1 April 2022
Charge for the year
3.210
9,712
291
3.622
45
16,544
336
Al 31 March 2023
3,210
10,OD3
3,667
16,880
Net book value as al 31 Mar¢h 2024
591
176
767
Nel book value as al 31 March 2023
221
1,103
11. Investments
2024
2023
Investment in subsidiaries
Carrying Amount
Al 31 March 2023 and 31 March 2024
Details of undertakings
Details of the investments (including principle place of business of unincorporated entities} in
which the company holds 20% or more of the nominal value of any Class of share Capital are as
follows..
Subsidiary Undertaking
Think Ahead Property Ltd
Registered Office
Ashland House
Manchester Road
gan
WN2 2DX
Holding
Ordinary Shares
Proportion of voting rights and shares held
2024 - 100%
2023 - 100%
-13-

Think Ahead Community Stroke Group
Company Limited by Guarantee
31 March 2024
The prinThpal activity of Think Ahead Propety Ltd is propety managemenL Its financial period
end is 31 March 2024.
The profit after tax for the financial period of Think Ahead Propety Ltd was £15.662 12023
£2,092 - lossl and the aggregate arTh)unt of ¢apital and reserves at the end of the period was
£37,18512023 - £66.3551. Capital 2nd reseNes were reduced by £44.83212023.' £nill lo ￿State
the company's investsnenl property to depwialed histori¢ ¢051 to ¢omply with FRS 105 'The
Financi81 Reporting Standard applicable lo the Microentities regime..
12. Debtors: amounts falling due within one year
2024
2023
Trade debtors
Prepayments
26,087
2,086
26,087
2,086
28,173
28.173
Debtors due within one year comprise of £28,17312023= £28.1731 relating to unrestricted funds.
13. Debtots: amounts falling due after more than one year
2024
2023
Amounts owed from group underlakings
851,769
758.095
Debtors due wthin one year comprise of £851,769 {2023- £758,095) relating to unrestricted
funds.
14. Credltors: amounts falling duewtthln one year
2024
2023
Trade creditors
Other lax and social security
Accruals
Other Creditors
324
1,571
1.320
27,593
20.370
1,776
1,320
76,371
30,808
99.837
Creditors due within one year comprise of £30,80812023.' £76.371) relating io unrestricted ￿nds.
1S. Analysis of charitable fund5
Unrestricted funds
At
1 April
2023
At
31 Mar¢h
2024
Income Expenditure
General funds
906,886
184.103
66,g51
1,024,038
14-

Think Ahead Community Stroke Group
Company Limited by Guarantee
31 March 2024
RestTiCted funds
At
1 Awil
2023
At
31 March
2024
Income ExFenditure
Grant
65.963
65,963
16. Related party transactions
Summary of transactions with other related parties
Think Ahead Propety Ltd 15 a wholty owned subsidiary ofThink Ahead Community Stroke Group
due lo il holding the entire issued share capital of the company. At the year end a balance of
£851.769 (2023 - £758.0951 is included in debtors due after more than 1 year which was owed to
Think Ahead Community Stroke Group. This anK)unt is unsecured, interest free and has no fixed
repaymenl temis.
During the year ended 31 March 2024, Think Ahead Property Ltd charged premises rent lotalling
£18.000 12023.. £18.0001 to Think Ahead Community Stroke Group, which is included in
expenses for the year.
Think Ahead Community Stroke Group charged management charges lotalling £5,000 12023..
£5.ODOI to Think Ahead Property Lttj during the year. to recharge the administrative charges it
incurred on behalf of the company.
Think Ahead Community Stroke Group received a donation from Think Ahead Propety Ltd
totalling £11,200 {2023.. £34,000) as a resutt of the company making sufficient profits to allow a
donation lo be made This is in line with the staled aim of the subs"Kliary returning profits lo the
charity to support its charitable WOTk.
-15-

Think Ahead Community Stroke Group
Company Limited by Guarantee
31 March 2024
Independent Examiner's Report to Trustees
Company Number: 6654712
Charity Number- 1128934
We report on the accourrts of the company for the year ended 31 March 2024.
Respective responsibilities of Iruslees and examiner
The charity's Iruslees are responsible for Ihe preparation of the accounts. The trustees consider that
an audit opinion is nol required for this year under Section 43(21 of the Charities Act 2001 {the 2001
Act} and that an independent examination is needed.
Having satisfied oUrSe￿eS that the charity is not subject to audit under company law and is eligible for
independent examinalion. it is otjr resFK)nsibilty to".
Examine the accounts under Section 43 of the 1993 Act"
Exatnine the accounts {under section 145 of the 2011 Act)-
To follow the pra￿dureS laid down in the general directions given by Ihe Charity Commission
under section4317llb} of the 1993 Act and
To state whether particular matters have come to our attenlKsn
Ba$lg on independent examineTS' report
Our examination was carried out in accordan￿ with the General Directions given by the Charity
Commissioners. An independent examinahon indudes a review of the accounting records kept by the
Charity 2nd a comparison of the accounts presented wth those records. It also includes consideratiori
of any unusual items or disclosures in the a¢¢ounts and seeking explanations from you as tmstees
conceming such matters. The procedures undertaken do not provide all evidencè th81 would be
required under an audit, and consequently no audit opinion is expressed on the accounts for the year
ended 31 March 2024.
Independent examiners. statement
We have completed our eXaMinat￿n and can confimi that. no material matters have come lo our
attention which give us eause lo believe that in any material respecL
The accounting records were not kepl in accordance with SeCt￿n 130 of the Charities Act,. or
The accounts did not accord with Ihe accounb.ng tecords" or
The accounts did not comply with the applicable requirements concerning the form and
content of the accounts set oul in the CharitTres (Accounts and Reports} Regulations 2008
other than any requirement that the accounts give a True and fair" view which is not a matter
considered a5 part of an independent examination.
We have no concems and have come across no other matters in connection with the examination to
which attention should be drawn in this reF)Ort in order to enable a proper understanding of the
aco)unts to be reached.
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EKW51iams Accountants Limited
Dale.. IS D£CBr-6£(L
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