THE METHODIST CHURCH CENTRAL NORFOLK CIRCUIT Registered Charity No 1134271 Trustees Annual Report Financial Statements for the year ended 31st August 2025
CONTENTS Pa Legal and Administrative Details of Charity 34 The Report of the Trustees Statement of Trustees, Responsibilities 10 Financial Statements 11-16 Independent Examiner's Report 17-18
LEGAL AND ADMINISTRATIVE DETAILS Trust Address 31 Trinity Close, Dereham, Norfolk NR19 2EP Audltors Independent External Examlner Arden Kendall Limited Chartered Certified Accountants 20 High Street, Watton, Norfolk, IP25 6AE Bankers Barclays Bank plc 34 Market Pla, Dereham, Norfolk, NR19 2AS Central Finan Board of Ihe Methodist Church 25 Tavistock Square, London WC1H 9SF
Trustees of Central Norfolk The Trustees are appointed according to the constilulion of the Methodist Church (see page 51. The following Trustees have served during the period Covered by this report.. Geraldine Allen Pauline Baldry Revd. Jonathan Bell Sebastian Bell Maggie Blundell Olwyn Brough Joselyn Bunting Sarah Carter (appointed 15.1.261 Michael Colman Glyn Constantine Pippa Cook {Secretaryl Rita Cumberland Thelma Davey (resigned 12.3.26) Marion Dolphin Andrew Durrant Helen Dye (resigned 30.7.25) Gina Eames Beryl Ewin (resigned 30.7.25) David Ewin {resigned 30.7.25) Beryl Flood Christina Foster Aileen Fox Hannah Fox Roger Fulcher (resigned 7.11.24} Fred Garner Joyce Gathercole (resigned 1.5.25} Jennifer Gillings (appointed 17.9.24) Revd. Derek Grimshaw (Chair) (appointed 1.9.241 Peter Gwatkin (resigned 22.2.261 Pat Hall Jane Heath {appointed 17.3.261 Tony Hey (died 9.1.25) Pat Hotson John Hull Wendy Hull Sally Jones (appointed 10.3.26) Susan Jones Raymond Junge Dennis Leech (appointed 7.11.241 (resigned 30.7.25) Veronica Little (resigned 1.10.24) Elizabelh Lodge Stephen Lynn David Martin (appointed 30.1.25) Maria Martin Sally Martin Sylvia Meredith Deidre Moden Ann Morgan {died 28.11.241 Martin Neave Heather Parle Diana Pengelley (resigned 31.8.25) Marion Perryman Ros Pruden {appointed 1.09.241 {resigned 22.2.261 Revd. Anne Richardson (resigned 31.8.25) Anne Richmond Sarah Rodgers Sandra Simm Jill Skinner (resigned 12.5.251 Brenda Softley (appointed 22.5.25) Ruth Southerland Avril Temple Graham Thompson (Treasurer) Jo Trick Revd. Neil Vels (appointed 1.9.25) Revd. Rosemary Wakelin Elsie Warby Ailsa Warburton Jacky Woor Hazel Yarham Pamela Yaxley
REPORT OF THE TRUSTEES The Trustees have pleasure in presenting their report for the year ended 31st August 2025 under the Chanlies Act 1993, together with the audiled financial statements for the year. We confirm that the financial statements comply with the requirements of the Act, the Trust Deed and the Charities Statement of Recommended practi ISORPI 2005. The Trust was registered on 12th February 2010 in accordance with the Charities Act 2011. Particulars of the charity's Truslees and professional advisers are given on pages 3 and 4. Structure. Governance and Management The charity is operated under the regulations of the Methodist Church as ststed in The Constitutional PraGtiGe and Discipline of the Methodist ChurGh with advi from Officers of the Methodist Church. Governing Body The Trustees are the Goveming Body of the Trust and convene as the 'Circuit Meeting,. Recruitment of Trustees The Trustees are appointed to the roles identified on page 4. for a designated period, either by direct election at the Circuit Meeting for Circuil Officers or by individual Church Councils who elect their representatives to the Circuit Meeting. Organisational Management The management of the Trust is the responsibility of the Trustees. It is conducted through the Circuit Leadership Team and Circuit Meetings. Circuit Staff assist in the implementation of policies. The day-to-day administration of the Circuit is the responsibility of the Superintendent Minister and the Circuit Stewards. Aims, Objectives and Activities The objectives of the Central Norfolk Circuit are those as set out for the Methodist Church of Great Britain in the Deed of Union 1932 and the 1976 Methodist Church Act. The charitable objects are the purposes of the Methodist Church and these are the advancement of: (a) the Christian faith in accordance with the doctrinal standards and the discipline of the Methodist Church., Ib) any charitable purpose for the time being of any Connexional, district, circuit, local or other organization of the Methodist Church; Ic) any charitable purpose for the time being of any society or institution subsidiary or ancillary to the Methodist Church., (d) any purpose for the time being of any charity being a charity subsidiary or ancillary to the Methodist Church.
REPORT OF THE TRUSTEES continued Circuit Mission Statement The Mission Statement was reviewed during the period under review and will be reviewed again in January 2027. Our mission is to be the people of God in our churches and wider communities.. listening, caring, seNing and sharing., kind and respecfful. inclusive and welcoming. so that by some means, all may have the opportunity to encounter the living God. We will seek to do this by.. offering effective pastoral care to those who would welcome the support we give, whether they be people of faith or not. looking for individual opportunities to serve others within the communities in which we live. sharing the love of God with others and being a good neighbour. reIving all whom we encounter without judgement, whilst sharing who we are and whose we are. Our missional priorities are to.. work towards the best pasloral care that we can offer. share the gospel message wherever we are. 3. develop our understanding of justice, dignity and solidarity in line with the nationwide programme of the Methodist Church in Britain. manage our buildings away from closure, towards new missional projects. We will endeavour to do all this whilst continuing to= support varied and enriching worship in each of the Churches in the Circuit. value and care for our Ministers, volunteers and employees. c. offer training opportunities to equip those in positions of leadership. engage with our ecumenical partners. e. maintain our properties to the highest standards of safety and welcome. ensure that our fiscal reSoUrS are managed effectively and for the fulfilment of our mission. g. meet all the statutory requirements that have been placed on us as a registered charity. Achievements and Perfomiance The Central Norfolk Methodist Circuit has sucSsfUllY continued its activities for another year. We have seen the closure of two of our smaller chapels (Great Ellingham and Sporle) but eighteen churches continue with regular acts of worship, other activities and service in their respective communities.
REPORT OF THE TRUSTEES continued The Circuit facilitates the mission and ministry of its churches - both large and small with the organisalional support of a dedicated Administrator. the work of three members of staff and the energy and time given by dozens of volunteers across a wide geographical area. The Staff Team changed in September 2024 with the retirements of the Revd Jacqui Horton and Deacon Jen Woodfin and the appointment of a new Superintendent Minister, the Revd Derek Grimshaw. The arrival of a new Superintendent Minister prompted a review of staffing and consideration as to how care for the whole Circuit and its members might be reslruclured. The Revd. Anne Richardson left the Circuit in August 2024 and, a month later, we welcomed the Revd. Neil Vels and his family from South Africa. There will be a reduction in the number of full-time clergy within the Circuit from September 2026 and so plans are already in hand to employ additional lay staff to meet future need. The Circuit has again facilitated training in order to equip people to be informed and cofflpetent in EDI (equality. diversity and inclusion), Safeguarding and neuro-diversity. This has enhanced good governance and helped to de-mystify regulatory compliance. The Circuit currently has oversight of four redundant chapels. The Trustees have established a Mission Development Property Group that has been looking at how churches which have closed can serve the local community. In Great Ellingham the Group are looking into developing the chapel into a pre-school for the local community, whilst the chapel in Thursford is hoped to be developed into a dwelling for use by a local family at an affordable rent. Blakeney chapel is also being considered for sale to a local housing society who provide rented accommodation for families born in the area who cannot afford the normal rents of this seaside town. The former chapel in Great Cressingham has been repurposed and is home to "The Hive- a place of creativity, spirituality and wellbeing which continues to build a community for people of all faiths and none. Mission and Herita During the year, Walsingham Chapel further developed its programme as a heritage site and a place of pilgrimage via school visits and special events. Approximately five hundred school children lin conjunction with the Shrine Educational Department) and 250 adults 2024.. 180) crossed the threshold of the building. The Trustees have agreed the appointment of a volunteer Chaplain to assist with the work. The Circuit continues to make the Wighlon Chapel available to the East Anglia Methodist Heritage Centre. It is a home for the collection and display of East Anglian Methodist heritage materials and it is open to the public days a week from Easter to the autumn. This former church has regained a new missional purpose by welcoming over 300 visitors in 2025. The trained volunteer stewards engaged in many conversations about Methodism and faith, triggered by visitor memones and questions. Holt Methodist Church has an ongoing major building project for which funding applications are taking place. Once completed, the potential for welcoming the community into the building will be increased. The Trustees are supporting this important project by offering an interest-free loan, should it be needed. Financial Review The Trustees report an increase in the value ofthe Balance Sheet of£458,34712024: decrease of £1,606,154), mainly because of the acquisition of closed churches. Before accounting for the gains and losses on property, the General Fund shows a net loss of £54,482 {2024'. loss of £132.589)', whilst other funds also showed a net loss of £5.165 {2024'. increase of £366,939). The running costs of the Circuit continue to be supported by transfers from Reserves.
REPORT OF THE TRUSTEES continued Investment Policy In accordance with the Trust documentation, the Trustees have the power to invest in such stocks, shares, investments and property as they consider appropriate. The Trustees have used this power to invest in the funds of the Central Finance Board of the Methodist Church. In common with many other investment funds, the valuation of the funds showed a modest increase over the year. The Trustees continue to monitor the funds of the Circuit to enable clear and prudent policy decisions on expenditure. Risk Management During the year under review, the Trustees have maintained oversight of the major risks to which the charily is exposed, resulting in risk management strategies being implemented. Risks to which the organisation may be exposed are identified by the Trustees and kept under regular review. Reserves In accordance with the 'Constitutional Practice and Discipline of the Methodist Church,, the Truslees must meet ils financial obligations in relation to the support of its staff. the maintenance of the manses and payment of the District Assessment. The funds that are raised through a Circuit Assessment on churches are reviewed annually and seek to cover the costs of running the Circuit. We make provision for manse maintenance by budgeting a sum designed to cover all the expenses, as well as sufficient lo smooth out the costs over a five-year period. A Reserve has been created towards the removal costs of the Circuit ministers. It is Ihe policy of the charily to hold reseNes in ils unreslricted funds which have not yet been committed or designated for any particular purpose. The Trustees have set aside these reserves in order to protect the future operations of the charity from the effects of any unforeseen variations in ils income as part of a policy of good financial practice. The Trustees are committed to maintain unrestricted funds equivalent to six months, expendilure12025'. £148,000 - 2024.. £160,000). The Trustees reviewed the Reserves Policy during the year under review. Publlc Beneflt The Trustees have reviewed the activities of the past year in line with the Chariiy Commission guidance on public interest benefit. The aims and objectives of the Cenlral Norfolk Methodist Circuit are within those guidelines and are interpreted as providing specific benefit to those who are members of the Methodist Church.
REPORT OF THE TRUSTEES continued Fulure Plans In addition to an ongoing commitment to provide effective resources for the members and local churches, within the Central Norfolk Circuit, the Trustees are committed to.. ensuring the appointment and deployment of ordained ministry throughout the Circuit, as well as employing lay staff, as required. providing support for those who have oversight of Safeguarding procedures for children, young people and vulnerable adults. developing partnerships with other churches. determining the best use of redundant properties in fulfilment of our Mission Statement. Auditors A resolution proposing that Arden Kendall Limited be re-appointed as the independent extemal examiner of the charity will be put to the Circuit Meeting. Declarations The Truslees declare that they have approved the Trustees, Annual Report above. Signed on behalf of the charity's Trustees Signatures Full names Revd Derek Grimshaw Mrs Aileen Fox Positions Superintendent Minister & Chair of the Circuit Meelin Senior Circuit Steward Date 11th June 2026
STATEMENT OF TRUSTEES, RESPONSIBILITIES The Trustees are responsible for preparing the Trustees, Annual Report and the financial statements in accordan with applicable law and United Kingdom Accounting Standards (Uniled Kingdom Generally Accepted Accounting Practice), and that they show a true and fair view of the state of the Central Norfolk Circuits affairs. In preparing these financial statements, the Trustees are required to.. Select suilable accounting policies and then apply them consislently. Obsetve the methods and principles in the Charities SORP. Make judgements and estimates that are reasonable and prudent. State whether applicable accounting standards have been followed, subject to any material departures disclosed and explained in the financial statements. Prepare the financial statements on the going concern basis unless it is inappropriate to presume that the Central Norfolk Circuit will continue in operation. The Trustees are responsible for keeping accounting records that disclose with reasonable accuracy at any time, the financial position of the Central Norfolk Circuit and enable them to ensure that the financial statements comply with Ihe Charities Act 2011 and Trust Deed. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities. In so far as the Trustees are aware.. There is no relevant audit information of which the charity's auditors are unaware. The Trustees have taken all steps that they ought to have laken to make themselves aware of any relevant audit information and to establish that the auditors are aware of that information. io
Name of Clr¢ult: The Centrnl Norfolk Mèthodlst Clrcult Clrcult No: 14115 Statsmont of Financial Activities (SOFA) for the year ended 31 August 2025 Unrestrlcted Funds G&ngral Fund C1ult Mod•l Tw$t Re8trf¢ted Endowmant Fund$ Fund$ Totsl 2024-25 Totsl 2023-24 Notes Income 1 Donations and legaws 2 Income frthm monelary investments 3 Incorne from inve51rnent propert 4 Assessments on Chur¢he$ 5 Capital Receipts 6 Grants tsceived 7 Other ¢hantable income B Total Incom• 528 2.002 18,945 193,652 528 17,397 18,94S 193.652 472 9.926 18.945 149.639 15,183 91 141 12.063 420 191.465 8,464 221,S91 6,464 236.986 15.163 91 141 Expenditure 9 Grants and donations 10 Salarie5 and as5waled costs 11 ProFerty rnaintenan¢è 12 Connexional assessmenl & rnodel tn151 levy 13 District Assessment & Levy 14 CPF levy on property sales 15 Depreciation 16 Office expenses 17 Other outgoings 18 Total ¢harltsbl? •xpgndSture 19 Gainslllossesl on mon¢tary investments 20 Gainslllos$8$1 On invtstrn•nl propertie5 21 Nèt Incomelloxpondltur•l 22 Transfers bebveen funds 23 Other 9ainslllossesl 24 Net movement In fund8 416 149,414 31,379 416 149A14 31.379 183,003 40.586 19,333 19.333 46.131 46.131 45,781 153.302 5,709 24.727 27.436 480,544 5.138 28.155 15,440 276.073 5.138 28.155 16,667 296.633 1.217 20,SSO 10 10 131 8,429 517.863 463,381 59.483 517.863 1.325.504 458.347 {1.806.154} 15,256) (58.130) 91 (1.222) 131 (131) 522,864 1,891.970 2.414,834 163,386) 374,434 311,048 11,1311 2.954 1,823 458.347 11.6C6,154} 3.000 2,272.358 3.878,512 3.000 2.730,705 2.272,358 25 Totsl funds brought forward 26 Total lunds caftlèd lorwafd
Name of Circult: The Central Norfolk Methodist Circuit Circuit No: 14115 Balance Sheet as at 31 August 2025 Unrestricted G•nèral Clreuit Fund Modèl Trusts R•striet8d Fund8 Endowmènt Funds Totals 2025 Totals 2024 Nots¥ Flxed Assets Circuit Manses & E Land & Investment Investmen15 Total Ilxed assets ment roperties 1,765.936 571.045 1.765,936 571.045 70.779 2,407.760 1,277,444 546.812 70.648 1,894,904 9&10 70,779 70.779 2.336,981 Current Assèts Debtors Loans lo the Circuit 8,413 8,413 10,449 Investments with TMCP Central Finance Board Deposits Cash at Bank and in hand rot•l Gurr•nt a5$ets Current liablllties 240.269 243.269 102,534 4.468 358,684 3C6.786 37,182 58.705 413.122 100,711 1,823 113,592 240.269 1,823 3,000 Credilors (due in under 1 yearl Totsl cuffent Ilabilities Net ¢urr•nt a$seWliabilliie$ 35,739 35,739 77.853 35.739 35.739 322,945 35.668 35.668 377,454 240,269 1.823 3,000 Totsi8ssets tsss cuffent Ilabllltles 2.414,834 311,048 1,823 3,000 2,730,705 2.272,358 Provisrons for118bllibe$ and d)a Net assets 2,414.834 311,048 1.823 3,000 2,730,705 2.272,358 Funds of the Clrcult General Fund Iunrestiicted) Circuit Model Trust Fund Iunreslrictedl Designated Funds IVnrestri¢tedl rgtal Unr•strlet•d Funds Restricted Funds Endovm)ent Funds Total Funds 2.414,834 2,414,834 1,891.970 311.048 311.048 374,434 12 2,725,882 1.823 3,000 2,730,705 2.266,404 2.954 3.000 12 1,823 3,000 3.000 2,414.834 311,04B 1.823 2,272,358 Signed Circuit Treasurer
Notes to the Accounts 1 Basis of ac¢ounting The financial slalements have bèèn prèpared under the Charities Act 2011 in accordance wilh the 2014 version of Accounting and Reporting by Charities.. Stalemenl of Recommended Practice ISORPI applicable to charitses preparing Iheir accounts in a¢¢ordan¢e with FRS102- the Charities SORP IFRS1021 and laking note ol the Updalg Bulletin 1 issued in 2016. 2 Funds The funds held ¢onslilute.' General Fun¢Js held for any purpose of the Circuil which a Unreslricted. The Cirwil Model Tru51 Furkd has wide purpose5 defined in Standing Ofders and is categorised as unreslrided. Re$lri¢ted funds which are held for a narrower purpose. There are no Endowment fund$. Details ol each rnalerial ftjnd are disdosed in Ihe final nole lo these accounts. Any funds may be presentlI by more than jusl ¢ash. 3 Accounting pollcles Basis The$& a¢¢ounl$ have been prepared on the basis of hislorical cost except thal invesimenls are shown at iheir market value al the end of the year. on the ac4yuals basis to show a true and fall view of the Co11.S ffinancial position and activiti•$. Incoming Resources Income is induded in the Statement of Financial A¢tivities {SOFA} when Ihe Circuil becDrnes enlilled to the resources. and the Iruslees are reasonably rtain they will recee the resour¢es,' and the monetary value can be rreasured with suifKient reliability. Resources Expended Thi5 is rewgnised when a liability is incurred, or a conslructsve obligation arises, Ihal results in the payment being unavoidable. Liabilities are recogni$ed as soon as an oufflow of eeon¢)mi¢ beneffil 15 Considered more likely Ihan not under the legal or con$lwdNe obligation c4Jmmitting the Circuit to pay OLrt resources. Grants Gfants made by the Circur( from its own funds are recognised in thjll at the time of agreement or when the Circuil accepts that Ihefe is a legal oroperational obligation lo make ihe payment. VAT Since the Cif¢UIt is not VAT registered, all inpul VAT is charged with the expenses to which il refers. Tangible fixed assets for use by the Circuit Tangible fixed asse15 a capstalised if they can be used for rn0 than one year, and cost al least £1,(KJO. The freehold propety is shown in the accoLtrnts at revaltod cost, ol which Ihe land component 1$ deemed lo be £20.OC4J. No depreaalion is provided on the building because the trnslees consider the current residual fair value of the manse buildings lon Ihe assumption Ihal il had rea¢hed the end ol ils useful economic life by the year-endl lo be not less than ils ojrrent value. Any depreciation would not be rnalerial. The property has been reviewed for impainnent. The fixtufe$ fitting$ held have been deprlated usin9 the 10% reduryn9 bal8nce melhod. Investment Properties Inveslment properttes are hèld for the long-temi purposes of the ¢harity. Investments Investments are valued in the balance sheet at market value at the year end. Investment income is included in Ihe accounts when reCeae and any gains or losses on revalualion al Ihe yeaf-end are Shown in Ihe SOFA. Debtors and Prepayments Deblors relate prinapalty to the prèpayment ofthe September slipend in August, and prernium ofth8 insurance for Seplember. Creditors Cfeditorn indude both sundry expenses and specAfically the 1st quarter assessment receNed in August.
4 Payment to Trustees Thetro were no payments made to trustees for additional services providfjd to the Citcuit by agreement wilh the Circuit Meeting, Ihi5 exdudes stipends. Trustee expenses 2024125 12 £15,962 2023124 12 £14,046 Number of Trustees Total amount Expense payments primarily relate to 1mbur$ement for travel and computing costs 5 Fees for gxamination or audit of the accounts 2024125 2023124 Independent examinerfs or auditors, fees for reporting on the accounts Other fees leg.. advice, accountancy services) paid lo the independent examiner or auditor 120 120 786 762 6 Pald employees Staff Costs pald durfng the year were: Gross wages, salaries and benefits in kind Employer's National Insurance costs Pension costs Total staff costs 2024125 19,503 1,751 796 22.050 2023124 27,247 1,973 938 30,158 Avorago number of full-tlme equlvalènt omployees In the year were: 7 Capital Commiknents and Contingent Liabilities 2024125 2023124 Approved grants to Cir¢uit churches and projects 8 For information only Money received (md passed on to Ex*ernol O 2024125 nisations 2023124 Balan¢0 brought fopward from la8t year OfferingslGffts- received for Extemal Organisations 12.690 OfferingsIGifts - passed to Extemal Organisalions 12.690 Balance carrled forniard
9 Tangible Fixed Assets Cost or valuatlon Flxtur•s, fittlngs and equlpment Payments on aeeount and assats undor con8tructlon Investment Propertles Other bullding• Land Total Balance brou ht fOard 20.000 526,812 1.226,066 51.378 1.824,256 Additions 215 000 215.000 Revaluations Dis sals Transfers" Balance carried forward 20.000 526.812 1.226,066 1.824.256 Accumulated depreciatlon Balance brou ht forward OepTecialion charge for ear 5,138 5,138 Revaluations Dis osals Transfers" 8alance carried forward 5.138 Net book value Brou ht fornvard 526 812 1226,066 51.378 1824.256 Carried forward 526,812 10 Inveslment assets The circuit has Investment properties. 3 Roses Court Wells and 12 Churchill Close, Watton all with current sitting lenanls. The circuit has no comrN)n investment fund holdings 11 Loans The Circuit has not provided any loans lo the circuit during the year.
12 Analysis of designat•d and restricted funds 2024125 Restricted Fund Name Opening Balance Incoming Resources Resources Ex ended Trnnsfers Closing Balance Purpose of the fund Rocklands MC Fund 2,954 91 11.2221 1,823 For upkeep of land of fomier Rocklands MC Restricted Totals 2,954 91 11.2221 1,823 'Comparalive analysis of restricted funds 2022-2023 Restricted Fund Name Opening Balance Incoming Resources Resourcts Expended Transfèrs Closlng Balance Purpose of the fund Ro¢kland$ MC Fund 2,807 147 2.954 For upkeep of land of former Rocklands MC Restricted Totals 2.807 147 2,954 13 Analysis of Endowment funds 2024125 Endowment Name Rocklands Methodist Church (MC) How the capital is invested TMCP Trustees. Interest Fund The current value of the capital £3,000.00 Annual Income £140.46 TCMP admin charge (£9.75) Transfer to CFB Alc (£130.71) What the income was used for Upkeep of Rocklands graveyard The reasons for the transfers between funds were as follows.. Transfers for application of interest to specified purposes, also payments of approved grants to individuals or churches as provided for in terms of bequest, trust deeds etc.
CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to the trustees The Central Norfolk Methodist Circuit On accotsnls for the year ended 31 August 2025 Charity no (if any) 1134271 Set out on pages 1to7 I report to the trustees on my examination of the accounts of the above charity ("the Trust.) for the year ended 31 August 2025. Responsibilities and basis of report As the charity's twslees, you are responsible for the preparation of the accounts in accordance with Ihe requirements of the Charities Act 2011 ("the Act"). I report in respect of my examination of the Trust's accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145{51(bl of the Act. Independent I have completed my examination. I confirm that no material matters have examinetrs statement come to my allenlion in connection with the examination lolher than that disclosed below ') which gives me cause to believe that in, any material respect.. the accounting records were not kept in accordance with section 130 of the Charities Act- or the accounts did not accord with the accounting records. or the accounts did not comply with Ihe applicable requirements concerning the form and Content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a 'true and fair. view which is not a matter considered as part of an independent examination. I have no concerns and have come across no other matters in connection with the examination lo which attention should be drawn in this report in order lo enable a proper understanding of th8 accounts to be reached. Signed: Date: Name: Robert Kendall Relevant professional qualification(s) or body (if any): FCCA Address". 38 High Street Walton. Norfolk IER Oct 2018
IP25 6AE Section B Disclosure Only complete if the examiner needs lo highlight material matters of concern (see CC32, Independent examination of charity accounts.. directions and guidance for examiners). Give here brlef details of any Items that the examiner wishes to disclose. IER Oct 2018