REPORT OFTHE DIREcfoRS A￿D
UNAUDrrED FINANCIAL STATEMEKfs FOR THE YEAR ENDED 31 MARCH 2021
FOR
CADDESDEN PLACE RDA CENTRE

GADDESDEN P￿CE RDA CENTRE
CONTENTS OF THE FIli"A%CIAL STATEME,Y15
for the l-ear EDded 31 .M8rch 2021
Page
CompaTry Information
Report of the Director5
lthdependent Examirttrs Report
Stattmtttt of financial Activities
Bal#Thc¢ Shert
Ntstss to the Fin8n¢ial Ststsmtnts

GADDESDEN PLACE RDA CENTRE
COMPANY IliFORNIATION
for th* Year Endtd 31 M#reh 2021
DIREcfoRS..
Mts M A Keith
K G¢)sen
K Dabbagh
C P Grant
MYS A L Smilts
DrSPBell
ITS G A Gix)de
Ms S Retd
CHARITY NUMBER:
01140330
REGISTERED OFFICE:
Bridens Camp
Hemel He￿p￿ead
Henfonlshire
HP? 6EX
REGISTERED Tril IIBER:
0751?961 (England and Wales)
ACCOL wrxyrs:
ECL Howtrd Il'atson STllith LLP
Chanered .4¢counthnts
ECL House
Lake Str
Lei£hton Buzzard
Bedfordshire
LL7 IRT

GADDESDEN PLACE RDA CENfRE
REPORTOFTHE DIRECTORS
for the l'ear Eud¢d 31 ll&rch 2021
The directors present their rep)rt with the finaTa¢ial strtements of the comp8ny for the vear ended 31 March 2041.
STRUCTURE. GOVERTh AiICE AYD TrIANAGEMEliT
Gaddesden Place RD.4 Centre was incorpordia4 on l Febnwy 2011 as a private ￿mpanY. limited by guarantee. and
commenced operattons on l April 2011. when it tcM)k oi'er the operalions of the previous unincorwrated charTty
Gaddesden Place Riding & Driving for the Disabled. The companv souohL and received. ix)ih charitable status and the
a¥reement ot RDA Natiortal to the takeoTr"er.
The charitsble Company was established under a standard Memorandwn and Articles of AS￿)elatIOn, which are its
goveming documents. and which sets oth the objectiyes of the group and the ￿)werS of the DirectOTS.
PRINCIPAL AcfivITY
The object of Gaddesden Place RDA Centre is to promote the objects of the Radinq for the Disabled Association
tn¢orp(rating Carriage Driving. a charrty teÈistered under Chartty" Number 244108 ("the As%Kiaiion"I by providin
disabled people with the opportunitv to ride an¢Yor carriage drive to btnefrt their health and wellbeing in the local area.
DIRECTORsrrRUSTEES
The dir¢eiors shown below have held offÈce during the whol¢ of the wiod from l Apr¢1 2020 to 31 March 2021:
Margaret Keith (Chair)
Khalid Dabbagh (Holl Tttasvrer)
Kareji Gosen
Christopher Grant
-4nn Smiles
Catherine Bolshaw stepped down as director on 10 Novem￿[ 2020 after more than 20 years of dedicated Service.
How¢v¢r. the centre is very orateful fot the fau that She has remained on as a c03ch. She began as a volunteer in the
early ?IX)Os, more than 20 years ago. quickly kcoThÉng a ¢oa¢b and then a director aTound ?010. She became the
Chaimian on November 201 ? after the rtsi.un#tion of TMOT Kltlls fro¥n thai role. She w&s the Chair of the Board witil
early 2019 she reSi￿ed as Chair althouJ she ¢oniinued on the board until her re51onaiion on Noi'ember ?O?O.
Gaddesden is extremely grdiefvl for her deAJicatrd service ovcr the yeats.
Both Ashley Hodson and Paul Whitman restgned due ¢0 persona] commitrncnts. Both had WOTked hard for Gaddes&n
for rnOTe than 3 years havin8 Dir&ttots in early 2018: Ashlc) in January of 2018 aTKI Paul in April 205 8.
The Tru5tee51Dire¢tors meet several tirnes a year to discw fundrnising and other issues conceming the management
and rnnning of the RDA Centre.
The charity Colltinues w belong to the Association IRDA) and beneftts from insuramce ¢over. tratntng advice and
suppon.
N'ew Trustees are nomiall). recruited from our Fthl of volunteer helpe￿ or for S￿Id]Ist tDl¢s like Treasurer. from
existing Trustees, wider netivork of &wciates. Poteniiaj Trustees are inwied io attend a Trustee Tneeting to see what
we do and to have the Tnjstee role explained to thun. If tly agree to ￿ considered for a Trnstee role a vote is taken
by tXLsiing TTh￿tees.
New Trustees are proyided wtth the latest onnual accounts of the Chartfi. minutes of the last three meeiings. our
govem5llg document and "CC3 - The Essential TTusiee: vou need th know" from the CharÈts. ComTllis5ion
website.. wMv.charitycotnmission.g¢)v.uklkNEbliCati¢)n￿cC3.&sp. A￿l￿o￿al trdiThing 15 given depending on the nature of
their Ftsle and experience.
Page 2

GADDESDEN PIACE RDA CEKfRE
REPORT OF THE DIREcfoiL8
for tbe Yexr Etyded 31 Matth 2021
ACHIEVEMENTS AND PERFORMANCE
Th¢ Trustees hove had du¢ re8ard to guidance published by the Charity Commission on publi¢ b¢nefit and the
principles contained in the guidance are full) complied with. This yeAr has l*en completely disrupied by the
pandemic. heavily impacting on the ability to provide MIM￿[ leve15. The stop start nature of the covid
guidelin¢s only allowed for undu 300 riding sessions as Op[o￿ to nornrdl level of 3.3(M> each year.
As a charit! we remain dependeni on don*ions and our fiEndraising events whith support the running of our large and
active group and help to subsidise the ¢osi of rides for which we make a small charge. This year it has bcen
particlllarly importanc bui again limited by the pandemic guideltnes. It h&s been a fortULtous Jear in so far AS our
riding fatnilies and friends have rallied around 8ivÉng us financial and mora] support throughout th¢ year. Th¢ loan of &
paddock along with all necessary faeilities grewly rethiced the pony care cost
Fund raising this year included our Boxing Day Eveni {£3.404k H￿seY Estate events (£3.4?8}, "Buy a Bale of Hay"
compai8n (£6.122). Numerous other fi￿draiSIng activi¢i¢s duri￿ the twelve months realised an additional £7.110.
In 2019 we commenced a campaign io raise fvnds for Lmtr broader range of fa¢ilittes for our riders. includin8 the
provision of a Learnin8 Centre incorporatÈn8 the Mwhonic41 Horse {MHI. Our thrgeted ￿mpaIgn for the Learning
Centre raiscd a further £89.340 for ihis proje¢t this year. As the impact of the pandemic began io impinge on our
activities. the iniiial building plan5 were schled back. The curreni plon is to convert an existing feed barn io house the
MH which was delivered in October 2020 and is iernporaril). hotssed in our aren8. A iimelv lesacy of £124.330 from
the Esiaie of the Laie P .4 Low¢ rtceived in March in addition to a furthtt £2￿6￿ of grants and donations.. the
majorily of which were made towards business re¢overy from to￿ inwme.
Th¢ designated reserve polic). adopted Consisienily over the past year5 ha$ allowed the directors io eontinue to plan for
the future whilst miniaining ¢onia¢t with all our rider& volunteers 8Dd h¢lptts. All necessary s&feguards hove been
undertaken diiring the year.
The dirertors would like ￿ thAnk all those involved in aehieving the above and ihe Twstees *rtd volunieers have
work¢d extremely hard to keep Ihe RDA Cenire running. It thkes a loi of commitment and tÈme and th'e are I'¢ry
grdieful ¢0 all our volunteers and helpers for their dedication and sup￿)rt io ensure ihat our riders can still Ixnefii from
what we do. In addiiion, our thank$ ar¢ extended ￿ our sthff for their hard work. continued loyalty and ¢o-opeTaiion
through this testinB rim¢.
FINANCIAL REVIEW
All financial commitmenig have been durin8 the >'eat without havin8 to us¢ our desi8rt&ted operating reserve of
£ I ?O.000. However. it is anticipated that it will be ne¢¢ss3ry to ulilise some of it during 2021-??
The level of reserves was reviewed at the last Annual General Meding. The recommendations were ¥8re¢d &nd have
becn iniplc*i¢i1t￿. Th¢ r¢Yi¢w und¢rt•ken ha3 providtyj for fvnds necded to both uttd¢rtthk¢ fornY4rd plons os well a5
maintain the fabric of th¢ ¢¢ntr¢.
After a prolonged c105ure it will take a year or moT¢ for ridin8 a¢tiYities to retum to previous levels as s¢hool5.
individuals and volunteers timetsble other activities. Our assets need io be maintained during a period of closure and
reduLYd ¢apabiliiies
i.e. our ponics ha￿'C to b¢ fed and c4red for. and the riding school and Stables need 10 be
maintained in a serviceable ¢onditton. Ponie5 could be sold but cannot then bE e85iltr replaced 8$ RDA pollie5 Wlth the
righi i¢m￿rament. trdinin8, and ability are very ditTi¢uli io find and have becom¢ in¢reasin8 expejisive. Our sthtT are
art imwrtant and int¢gral part of our operations and we ￿ve been able to retain their %rvices with 50mc finan¢ial
assistantt through the Coronavims Job Retention Scheme.
The TnLSt¢es ih¢refore must Sive consideraiion io all the atM)ve and have ttviewed outgoings and financial needs for ihe
foreseeable future. and in pani¢ular for the neyt financial )"¢ar.
Reserve5 are reviewed and exploin¢d at every Annual General M¢etin8.

GADDESDEN PLACE RDA CENTRE
REPORT OF THE DtRECTORS
for the l'ear Ended 31 llarch 2021
oTHER.￿￿ERs
The Directors consider Ih* the company is ￿llY compliant with Safeguardin8 le8islaiion and Fire Risk AssessmenLS
requirements and is compliant wilh the GDPR l¢*islation.
This report has been prepHr¢d in acconlance wtth the provisions of Part 15 of the Companies Act 2006 rtlating to Sm￿1
companies.
ON BEHALFOFTHE BOAIU):
Margaret Keith- Dkrwtor
Date..
Page 4

GADDESDEN PLACE RDA CEYTRE
REPORT OF THE ACCOUNTANTS TO THE DIREcfoRS OF
GADDESDEN PLACE RDA CEYTRE
I report to the Ch￿lty trustees on my examinati¢)n of th¢ ¥LYounts of the company for the year end￿ 31 March 2021
which are stt out on poges 6 10 11.
Respon$lbllltle5 And b￿1& of report
As the ¢hariiy irustees of th¢ ¢ompany (and also its directors ftir the puryN)ses of company lawl you are responsible for
the preparation of the accounts in accordance wtth the requirements of ih¢ Compani¢5 A¢t 20061'the 2006 Act).
Having satisfied myself that the accounts of the wrnpany #re not required to be audited under Pan 16 of the 2006 Aet
and are eli8ible for independent examination. I rewrt in rw of my examinaiion of your Company's a¢Lounts as
carried out under seaion 145 of the Charitics Act 2011 {'the 2011 Aci.). In carying out my examination I hhve followed
the Directions ¥iven by the Charity Commission under section 1451SXb) of the ?01 l Act.
IDdtpeDdeD¢ e¥*miDer'$ 5tstemetht
I haTre Completed my examination. I confirm that no matters have come to my attention in eonnection with the
exhmination giving me cause to believe thai in an). ma￿rial Yespect..
l. a¢eounting rewrds were kepi in re4)e¢t of the compgny 85 required by seuion 386 of the 20(￿ Act; or
2. the aclounts. do noi a¢¢ord with those record& or
3. the accounts do not comply with the accounting requhrements of section 396 of the 2006 A¢t other than any
requirement thai ihe a¢counts Bive a 'truc arnl fair view which is not i matter considered AS part of an independent
examination: or
4. Ihe ac¢ounis have not been prepared in accordrn with the methods and principles of the Statement of
Reeommended Practice for accouniing and rerK>rtin8 by Charities lapp11￿ble to chariiies preparin4 their ai¢oyn¢s iii
accordance wilh the Finon¢ial Reporting Sthndard applic¥ble in ihe Uk and Republic of Ireland {FRS 102)1-
I h4Lve no ¢oncerns and have come across no ￿h¢r matters in Connerfion with the examination ts> which attention should
be drdwn in this repon in order to enable a proper understhndin8 of ihe accounts to be reached.
tcL LLE
D R kerins FCCA
ECL Howard Watson Smith LLP
Chartered A¢counian¢s
ECL I Ious
Lake Street
Leighion Buzzard
Bedftsrdshire
LU7 IRT
Date..
This page d(*s not forni pan of the statutory financi￿ smements
Paqe 5

GADDESDEN PIACE RDA CEiYfRE
ST.&TE)I£_NT OF FIN_4NCI.4L.4CTII'ITIES
(LNCLLDING LNCO)IE .IID EXPEN4DITI'RE ACCOL:YD
ror the Year EBded 31 ,113￿￿ 2021
31.0321
Unrestricted
Fllnds
31.0121
31.03.20
Restricted
Funds
Totxl
Fullds
Total
Funds
Income And Endowments fro￿.
Donations and le(Ta¢ies
Other trading activitie5
Investmerrt5
144.898
95,462
240,360
18.719
1.805
18.719
1.805
21,429
1.993
Charitable activities
6.2(K)
6.200
12,482
55.28•
i7)
Total Income ¥4nd Eud0wme￿ts
184.104
9).462
?79.566
122.(H)9
Expendittsre on:
Rai52ttg funds
Charitable activities (noi¢ 4)
Other (note 6)
166
1.827
99.407
780
90.068
780
1.488
91,556
780
Tot&1 Expendi￿re
91,014
1.488
92,502
101014
Net Incom￿{Expenditllre)
93.0
93.974
187.064
19.995
Tr#ll$fe￿ b¢twee4 fullds
47.491
{47.491)
Net moveTneMS in fw)ds
140.581
46.483
187.064
19.995
RecoRcillation of Funds
TOTAL FUNDS BROUGHT FORM'.4RD
?50.514
7.849
258,363
238.368
TOTAL FUNDS CARRIED FORWARD
391.095
445,427
?58.i63
The notes f¢mn part of th&se financial stsM)¢nts
Page 6

GADDESDEN PLACE RDA CEPURE IREGISTERED hlIMBEIL" 117512961)
BAL.4IICE SHEET
JI March 2021
31.3.21
31.3.20
Notes
FIXED ASSETS
T￿gIble assets
69.556
29.140
CURRENf ASSETS
Debtors
Cash at bank
6.1?8
223 875
378.916
380216
230.(X)3
CREDITORS
Amounts falling du¢ within one year
10
NET CURRENT ASSETS
375.871
229.?93
TOTAL ASSETS LESS CURRENT
LIABILITIES
258.363
RESERN'ES
Rc5tricied income fvnd5
Unrestricted fund5
54.332
391.095
7.849
250.514
445.427
258.363
Th¢ Com￿nY is entitled to exemption fffjrn 4udit undtr Section 477 of the Companies Aa 2006 for the year ended
31 March2021.
The members have rK>t required the ￿MpanY io obtaith ￿ audit of its financial statements for the year ended
31 March 2021 in accordance with Sedion 476 of the Comp￿leS Act 20)6.
The dir¢¢¢ors a¢knowled8e their responsibiliiies for.
la) ensurin8 ¢hai the company keeps iccouniing records whieh eompty with Section5 386 and 387 of the Companies
Aci ?006 and
Ib) preparing financial ststements which give a true and fair view of the State of affairs of the company &$ at the end
of ¢a¢h finarhcial vear and of its SUTpIus or deficit for each financial year in AceoTdance with ihe T¢quirements of
SectlOn5 .194 #nd IQS and whiLh othenvise compls wilh the requirements of t￿ Companies Act 2006 relaling to
fin&ncial statements, so far as applicable to the company.
The finan¢i&l s¢a¢ement5 have been prepar¢d in accord￿ with the provisions applI￿b]e to vjmpanies $ubje¢t ￿ the
sm&ll companies regime.
The financial ￿atements were approyed by th¢ B0￿d of Directors 8nd authorised for issue
W..A£•t.vJ... and were si8ned on its behalf by:
MrsMA
h- Direrfor
The notes fom) part ofthese financial ststements
Pase 7

GADDESDEN PL4CE IiDA CEP4TRE
I¥OTES TO THE FIN.4NC.I.4L ST.4TE)IENTS
for the l'ear Ellded 3J 2021
STATUTORY INFORMATIOP4
Gadde5den Place RDA Centre is a private company, limiied by guarant¢¢, registered in England aT￿ Wales. Th¢
company's registered nurnber and regiMe￿d office addrc55 (*n be fwnd on the Cornpany Inforn)ation page.
The presentslion ¢urrency of the financial statements ts the Pound Sterling (£).
ACCOUNTING POLICIES
Basis of pre￿rIlle the st8ternents
The chart￿. c0n5t2tu￿5 a public benefii entti) Is defined ￿. FRS 102. These accounts have been prepared under
the historical Convention and in accordance ￿1th the Sthtement of Re¢ommend¢d Practice applicable to
eharities prepartn¥ their a¢¢ounts in aecordance ￿7th the Financial Reportinu StandaTd appli¢able to the UK and
the Republic of Ireland issued 0¢￿ber 2020- (Charkties SORP (FKS 102) (second editionJl- the Charities Act
201 l and ihe CompaThies Act ?006.
Reeogoition of income aDd expen5e5
Gtants and donations are recognised on ￿elp( ridin8 income on the basis of lessons tsiven in the year and
fundraising a¢¢ording to the date of the evart. whe￿ the ¢harity incuts costs for fi￿draIsIng. the5¢ are shown
separately under"'¢osts of generdiing funds"
T*ngtble fixed assets
Tanoible assets have been acquired from Gaddesden Place R]"ding & Driving for the Di5abl¢d at net b)ok valye,
wilh addiitons ai cost. Depr￿latIon has been eharged by refrrence to ortgir]a] ¢ost at the following annud rates
in order to wtite off each ￿Se% over its esttmated usthl life..
Short leasehold
Other equipment
Ponie5
Motor Vehi¢les
- over the remainin¢y term of the lease 10 23 June 2024
- varying rates from 50% to 3J% on cosi
- 2￿/Tr on ¢ost
- 20ty0 gn cost
T&tk equipment
Tack and equipment purch&%d is Capitalis￿ but És aCC￿￿ted for &5 expthditure as the cost is in¢urred.
Fund$
Funds are designaied in ￿ordance with the Reserves Policv w cover the runninu Costs sho￿]d the charity be
forced to cease its operations for reasons outside its eontrol. Unrestricted fimds can be used in accordance with
the charitable obje¢ts at the discretion of the TNstees. Restricted funds Can onl), be used for particular
resrricted purN)ses. The Trustees moniwr and discuss the re5tri¢ted funds to ensLwe the restricted expenditure is
allocated accordingly.
EMPLOYEES AND DIREcfoRS
The averye numbcr of employees durin8 the year wa$ 6 (2020- 5).
No employee or direeior received in excess of £60,000 per annuTE] during the current or previous year.
No tTUSttts were paid any ex￿nseS during the year{?020: £nil)
Page 8
continued...

GADDESDEN PLACE RDA CEPffliE
NlYtES TO THE FINANCIAL sfATEMEW75- conti#ued
ror the Year EDdtd 31 2021
CHARITABLE ACTIVITIES
Year End&1
Yew ended
31.3.20
7,168
iO,253
2.007
3.033
8,360
1.587
2.791
413
16,648
48.769
1.888
6,297
9.i71
1,084
2.781
Stabling staff
Shoeing
Vets, fees
Riding school runnin8 Costs
Tack and equipment
.4tTiliation fees and insurance
Mechanical horse projett
DeprtCTation of 8&se
L05s on sale of fixtd assets
9.280
330
3.749
91.556
99,407
TAXATION
The company L5 a regisiered ¢harity' and is exempt from wation on its incorne and capitaj gains.
rHER
A charge of £650 plus VAT {20?0: £650) is Tnade for the independeni examination of the ac¢ollnts.
GOIP4G CONCERN
The financial stsi¢men(s have been 5ryarcd on a going concern basis as the trustees belI￿,e that no material
uneertainties exist. The trustets ha%'e considered the leiel of fi]nds held and the exprtted leN'el of income and
expenditure for 12 months from the dale of a￿OrIsin￿ these financial ststements. The buduet¢d in¢ome and
expenditure is suffJ¢ient wlth the lth'el of reseEves for the charity. to be able io mitinu¢ as a going conrem.
TA)GIBLE FIXED ASSETS
Short
leasehold
Oth¢r
equipment
Motor
vehicles
P¢)nies
Tothis
COST
.4t l April 20?0
-4ddtiions
Disposals
12.163
77.175
56J61
13.(
6,785
109,123
56.361
4,000
5.000
At 31 Mar¢h 2021
12.163
133.536
6.785
160,484
DEPRECI.4TIO
At 1 .4pril ?O?O
Char8e for year
ElIMi￿ed on diS￿>SaI
.4?4
936
60,1
9,15?
7.290
750
4,070
l.i57
79.98)
At 31 March 2021
9.)60
69.i51
6.790
90.928
ET BOOK I.'ALUE
.4131 March ?O?I
64.185
1,358
69.)56
.4131 March 2020
i.7)9
16.976
i.710
?9.140
Paqe 9
¢OD¢inued...

GADDESDEN PLACE RDA CENTRE
OTES TO THE FIP*.4.%CIAL ST.4TEMENTS - coMtinu¢41
for the l'ear End¢d 31 .Ilarch 2021
TANGIBLE FIXED ASSETS- cotttio*ed
The R5dirtg School and Gallery are based on a prorkrty leased at a pq)percorn rent for a rKriod of ?1 year5 to 23
June 2024.
DEBTORS: AMOUNTS FALLING DUE WITH￿ O.YE YEAR
31.i.21
Other debtOTS
l.iOO
6.128
10.
CREDITORS: AMOUNTS FALLlTr4G DUE WITHIN OI¥E YEAR
31.320
Trade crtditors
her creditors
4.345
780
4.345
780
MOVEMENT OF FUNDS
Balance
April ?O?O
Income ExpenditLW¢
Transfers
Balance
31 March 2021
Lnrestricted fijnds
General res¢rve
tksignated Reserve
Boylter ReseTh'e
Root. Repair Fund
Mechanical Horse
Pony Purchase
Capital Equipmtnt
Replacetnenl
77.514
120.000
8.000
15.0
30.0
184.104
(91.014)
(9? 711)
77,893
120.000
8.000
100,000
48.202
I iO(K)
25.0
85.0
18,202
12.0(Kl
?5.O¢KI
R￿trICted fitnd5
Mechanical Hor5e-
Grants
Hay Bales
7,849
89440
(4131
147.4911
49.28$
6.122
(1.075)
5,047
•58.36j
279.566
9? 5021
Included in restricted funds for the specified use of contributints towards the mechanical hors¢ ar¢ gTants
received from Sir Peter O-sullevan Tmst of £b.820. Spgrts England of £IO.000 and SEIB Insurance Brokers of
£5,000.
Other large gryants received during the Year tnclude £5.(KKI froTn London Lutw Airport Limited ILLALI as a
ridino subsid),. £5.0￿ frotn Hert5 K'allos ClinEcal Commissioning Group IHVCCG) io help with the charity's
restart followittg the COVID 19 1(Kkdown aT]d ￿(1)0 fmm Childwick Trust to IK used for any purpk)se.
Page 10
continued..

GADDESDEN PLACE RDA CETr*TrE
NOTES TO THE FINANCIAL STATEMENTS- contillued
ror the Year Ebded 31 ,%19￿h 2021
12.
ANALYSIS OF FUNDS
Yu¢d Assets De￿ornI
(Cr￿llor5)
Bank Fund B318nc¢s
Unrestricted funds
.4cLumulate(I fund
Desienaied Reserve
Boulter Reser%e
Roof Repair Furhd
Mechanical Horse
Pony Purchase
Capiial Equipment Replacement
69.556
(3.0451
11.3
120.0(K)
77,893
120.000
8,000
loo,￿)0
48.202
12.000
25.0(K)
100,oix)
48.202
110(KJ
25.0(K)
Restricted
M¢chanical Horse- Grdnts & don*ions
Hay Bales
49.285
5.047
49,285
5.047
As at 31 March 2021
i78.916
445.4?7
AJEalysis of funds prtvious year
Fixed Assets
Debtorsl
Icrdiiors)
Bank Fund Balances
Unrestri¢t¢d funds
Accumulated fund
Designated Reserve
Boulter R￿¢￿'e
Roof Repair Reserve
Mechanitral H()Tse
29.140
5.348
43,0?6
120.000
8.000
15.000
30.0(
77.514
O.(K>O
8.000
15.000
JO.000
R￿TrIcted ￿ndS
Mechanical HoT5e- Grants & Donations
7,849
7.849
As at 31 March 2020
?9.140
?23.875
?58 363
13.
RELATED PARTY TW4SACTIONS
During the year the uiwees made unconditional don•ions totalling £?40 to the ¢harit) {fjo_￿.. £4651.
There were no other related party transathions requirinq disclosure.
14.
POST BALANCE SHEET EVENTS
Despite the ongoing effects of the Coi'id-19 pandemic coT]tinutng after the )'ear eniL the charity has continued
with lis operations alld its fsnan¢ial position has remained strong.
Patt li