REGISTERED COMPANY NUMBER: 06709076 {Engl•nd •nd Wal•s}
REGISTERED CHARITY NUMBER: 1140770
n?￿lIte
Financial Statements forthe Year End
h 2024
for

Pl•nni
Contsnts of the Flnanclal Statements
Page
Rep¢Yt ot th8 TnMt••8
1 to 4
Indepgndgnt Examlnerfs Rgport
Statement of Financtal Activit*s
Balance Sheet
7 to 8
Not•# to the Flnancl81 St*m•n(8
9 to 15

nnln Offlcors Soc
IBtsMd numbor: 06709078
rt of thè Trustees
forthe Year Ended 31 M h 2024
The trustses are aso dIr￿t￿5 of the d)arity for the pwposes cl the Companies Act 2006, present their
rep)rt ￿ the financial statements of the charity for Ihe year ended 31 March 2024. The trustees have
lopled th& prwsions of Accounting and Reporbng ty Charities.. Statement of RecomrrEnded Pr8ctic8
appIl￿ble to charities prep8ring Ihelr accounts in ?￿rd￿ce wth th8 Flngnclal Rgporting StarKlarrl
plic￿￿ in the UK and RewLlic of Ire18nd (FRS 102) lefvctive 1 January 2019}.
OBJECTIVES AND ACTivmES
Obkctiv•s and aims
The so¢ieVs pury)ose is to athance the education of the wJbJiG in plannin9 law, F4anning poliry and public
sector plaming pracbGe. 11 fijhlls this pu￿ through 8 programme of pxilicy and proJgGI work. everrts aTr
ucalbn, wblication dissemin8tlon of good prxuce and elgthniG update bulletins.
Th8 key obi8ctsves a￿ met by:
SuFfQrting local aThJ central govemmenl to fulfil their statrtory plannlng duties:
Undertaking researth and publlshing the usefvl results of suth research in the subject5.'
Prowding atyl guklance. irrfomalion 8nd promoling best pracb¢e and hlgh standards in
aming and related Servi￿$.
aising and ¥wrking with planning profeS￿Onal9, k)cal and cenltal go%Rmment. the Royal Tov
PlannSng Institute and othor related prof&sslonal bodies lo maintain arKI improve stsndards of ￿￿nnIng
for the publSc benefit.
The IWSt￿ reVIew￿ its financial arr8TrJements and adopt&J a new long-term business plan in September
2023. TW hav8 an wJreed membershSp slr8tegy and a ccfflMUn￿a(kjTrs strat8gy. as wefi a5 ￿e￿n9 the
soaevs risks on an annual basls.
&gnrficant acllvltl88
Over the18St 12 month wod the society has und8rtaken work in t￿ folkn•Ang ￿$..
Working with othgr F4anning and bLrfIt envSrfXrtnenl wofessiona15. the o)vemm8nt and the
membership of1he society to improve th8 8ffici8nt working of the national planning system,.
Leading a c￿OsS sectoral initiative lo raiso Ihg public awareness ofthe value of local authority planning
and to build stronger support for th¢)se ¥wrkn'r#J wthin the putAic sector,.
Hdding regular meetings thr￿gh its regif￿$ and top￿ nets¥orks,'
Continued lo develop a scoety preserrE on thè main sttS8l rn￿18 ￿tes. providiry regular update
infomatk)n'
Actively seeking to eslabllsh and support a netsvork across the regions of Young POS thich will
repr&8enL support and mentor those in the first ten y￿5 of their professional I￿e as public sector
planners;
Has appointed a pHrt-lime Reg￿n81 C(pordlnatrtO 8ssisI in developing a strory reglonal ngtr•Drk at
all ￿velS wthin the soc4ety,'
ProdLrced a adopted Business Pl￿ has prioribsed and allctste(l fvnds tts￿drd$ projects
identified as priorities for the next fve years and has recruited a Project and Development Mana9er to
steer these actions foThYard'
societys membership continues to represent ovar 3,C(KJ pL9nners aw55 all areas of
b1￿ sector F4annlng.
Public b8n8fft
The lJustees have had due regard to guidance published by the Charty CcfflmissSon on Wb1￿ benefft aThJ
)nsiders Ihe charity a¢Xs In aC￿rdanCe the guidance.
Page I

Plannln
Offlcors Soc
i3tsr•d numb•r: 06709078
Re ort of the Trusto9
f¢rthe Year En
od 31 March 2024
FINANCIAL REVIE¥V
Financial position
The total incom for the y8ar was £140.790 (2023- £114.9801 ￿1¢h, after deducting exp8ndiiure of £113,551
12023- £78,739) resuw in net income of £27,239120223- £36,241).
At 31 March 2024 the tharity had total re8eN88 of£318.39512023- £291,156). £63312023- £2.$501 of
Ihis is tr￿1d in restrGted fiJnd5.
M8mb8rship ￿bSCriptionS are the princp81 fvndirg source.
Resen￿5 pollcy
The bijstees have an agreed reserves poliGy, that specifies a range of levgls, consdered neGes50ry to protect
the operatlons of Ihe Charity in the event of *y loss of wthcipalgj income. The levels are set to o)ver a
minimum of fyv8lv8 months of unrestricted e￿enditure.
The reserves of the charity are rewewed on a regular b8s15 by the trusteas, who sel trte annual budget and
F18n expendilure in &cordant* the reseNes tKJllcy in place. Thg tru*ees wll be remewng ￿￿ming
performanGe cosls arnl theirdelivery to ￿Ing thg res8rv85 into line with the policy.
FufuRE PLANS
The 3¢xieWs aims 8re:
To remain the Gredibk VO￿ represenliNJ public sector pl0nr￿rg and influenang governm￿ local
govemment and key partners"
A stabte and engaged membership representing at least 809A of LPAS:
A Champion ofequality arKI dIve￿ty a representstive Board,.
A forwaTd400kn"ng &tiety relleclive of the whole prof8ssi¢)n wilh a stroro and recognised Brnnd.
A Stable fina￿81 base.
The knety wll stserthese actions overthe next Ihrea years through:
Supportlng local aulhority planners. providirMJ guidanee and best praclica,.
Robusly representing and defending the Ic¢al aUtI￿rity planning fiJnGOon In the ligm of further
Govemmenl changes made lo the planning system..
Engaging aclivety to prL¥nole the value of wblic secior planring wilh all Orfical parbes:
Prioritising an equality and diverslty strategy vthich wll indude rewlar mcfiitoring of the membersNp
Increasing Cap￿aty ￿￿thIn the Sooety arKI focussfng cn thè development ofthe next goneralK)n of
leaders through mentoring and providing guKlance for education outre8ch to schwls:
Re￿lar mnitoring of a clear wvrk programme and ￿￿e￿￿e$ to foujs energy and effort fry maximum
impact.
STrUCTURE, GOVERNANCE AND MANAGEMENT
Govwnlng documont
tharity is a rjivats Imited ccfflpany. limiw by guarantee. as defined by the CompgniesAct 2006.
The govemlng document is the Memorandum and ArtOc488 of Assodatk)n, dated 26 Sewember 2008 arKI as
8mended on 17 Do¢ember2010.
Pag8 2

Hannin
Offic•rs Soci
R ister•d numbor 06709078
ReAort ofthe Tnthes
for tho Year Ended 31 Mar¢h 2024
STrUCTURE, GOVERNANCE AND MANAGEMENT
Org*nlsatw)nal structuro
The company is a membership organisation whose membws pay ￿ annual mèmbershlp SUbs￿ption.
The m6mb6rs 8tht the trustses of Ihe th8rfty.
Thè chaimian and the presidenti81 team must all be ftjll m8M￿Ts of th8 swety p8rfomi senior rol88
thin 8 local pianning aLthonty in England. Any member of the society moy put themselves foTh¥ard for the
other roles within the board of trustees.
An iTrJemnity insurarKe FM)licy is maintained by the SOW trthe tr￿￿fit ofall trustees actiry in that c4Jacty.
The Sc￿lety has cffle tstholly ovThd Ivading subsdiary. POS Enterprises Ltd,
REFERENCE AND ADMINISTRATIVE DEfAILS
Reglstered Comp•ny numb•r
0670￿78 {Engl&xl and Wale51
R•gl8t•r•d Charlty numb•r
1140TTO
Registered t)ffice
Park House
37 Clarence Street
Leicester
Leicestershire
LE13RW
TruBtseB
S M Bartcn
R Bnstow
D V Evans
V F Geoghegan
P J Geraghty
A Hutchinson
G Jon&s
MSKtety
C E mo￿10t
KLShaw
A Rutter
E Ow¢n
Chair. POS SP Netr
Immediate Pèst P￿SIdent
Chair, POS Enterpris8S
Directcysthoul portfolio
President and Chair, DM N8tV+t)Jl(
Vic* Chairof Board
Treasurer
Chalr of Board
Chair. Young POS Iformalty known as POS NOVUS)
Sen￿r Vits President
Chair. y￿ng POS
Junior Wice President
- resiqned 08.01.24
- appolnted 16.0623
- 4)poinled 08.01.24
- appointed 12.07.24
Ind•p•nd8nt Examin•r
tw Waterf￿ld
Pork Hwse
37 Clarence Streel
LeicEster
LeI￿stershire
LE13RW
Page 3

PlannlJn Officws S
R 18terod numb•r. 06709078
R& ort of the Trustees
for the Year Ended
1 March 2024
This report has been prepared in ￿nce with the sped81 prOM￿onS of Part 15 of the c(￿PanIeS Act
20C6 relating to sm811 companies.
Approved by order ofthe bc19￿ of trustees C￿ 12 December 2024 sign8d on its behaff by..
P Geraghty- Trustee
Page 4

Indo
ndont Exam1￿￿8 Re rt to thè Trutho8 of
Plannin Offi¢•r5 Socie
Indo￿ndant •xamth¢ts rep￿ to the trnsts•# of PlannirvJ OffiGgrs Socloty Clhe Companl)
I ￿F￿rt to the charity trustees on my exarninafK￿ of Ihe accounts of the Company for the year endpj
31 Matth 2024.
Responsibiliti0¥ and basls of rei
As the charity's trustees of the CoMp￿Y (and also Its dIr￿torS for Ihe purposes of compary law) yw arn
responsible for the prepwation of the acccwnts in 8ccordanc8 wlih th8 requirements of the Companies Act
2006 {Ihe 2008 Acr).
Having satisfied myself tt*t the aeLounts of the Company are not required lo be audited under Part 16 of tha
2C(J6 Acl and ar8 eligible for independent examination. I report in resm of my ex8mlnallon of your chatys
accounts as carri&J out under Section 145 of the Charities Act 2011 (Ihe 2011 ACVI. In csryiro ¢JJt my
gxaminat¥)n I have followed Ihe DI￿ti￿5 given by the Charfty Commlssion under Secb'on 145(51 Ib) of the
2011 Act.
Mlependent examlnevs statem•nt
I have cc*npl8led my examination. I ￿nfirM that no Matte￿ have c£Jme to my 8tt8nlion in ¢1)nne¢tK￿ Nwlh the
examination giving mg Gause to t4ieve:
8(Lountlng records were not kept Sn respect of Ihe Cc(npany as requirnd by Section 386 of the 2006
ACL. or
Ihg accounts do not acccfé wlh those recx)rds",
the a¢￿￿ts do not (x)mrAy with the accounting requiremgnls of Sgd(￿ 396 of the 2006 Act other
Ihan any requirement that the atxounts give a fair vi8w which is not a matter considered as
part of an ind￿ndent examination; or
the acojunts hove nol been prepared in aCcOrdar￿ wlth the mothods prinrypks ol the Statement
of RewmmerKlgd Practice for accountiry and reportng by charilles {applicat4e to charities preparing
thetr 8Lxounts in accordanc8 with the Finanoal Reporting Stsndard ap￿l￿ble in Ihe UK and Rep￿1¢
of Ireland IFRS 102)).
I have no concerns ￿)d have cffiie alms rK) other matters in conrnclion wlth the examlnatton to Ythich
attènlK*n should be dra￿ in this report in order to enablg a proper urKlerstsTrdlro of the ac())unts lo bè
ached.
rt( AndrewTiJrr FCCA
tr)rr watetheld
Part H￿se
37 Qarence Street
Leicester
Le1ceSte￿hw8
LE13RW
12 Deeanter 2024
Page 5

Statamont of Financial ActlvMle8
atln an Income and Ex dlturo Account
for tho Year Ended 31 March 2024
Incor
31.3.24
Totsl
fuNIs
31.323
Totsl
nds
Unrestricted Restricted
fund
fijnd
Notes
INCOME AND ENDOWMENTS FROM
Charltablo xtlvltles
Membership subscriptions
PukAiG awareness semces
51.555
16,583
51.555
16.583
51.550
3.925
Inv85tm8nt in￿rne
72,652
72.652
59.$)5
140.7
140,79)
114,980
EXPENDITURE ON
Charhabio activitigb
38,072
73.561
959
959
39.031
74.520
31.663
47.076
Publlc awarene55 seNice8
Total
111.633
1,918
113.551
78,739
NEf INCOMEIIEXPENDrruRE)
29,157
11,918)
27.239
36.241
RECONCILIATION OF FUNDS
Total furx1s Lyoughl forward
288.606
291.156
254.915
TOTAL FUNDS CARRIED FORWARD
317,763
318,395
291,1
CONTINUING OPERATIONS
All In￿Me and exp8ndiknre has arisen from ￿n1[nuIng aclivrttes.
The notes fomi ￿ oflhese finandal statsmonts
P8g8 6

Balance Shoat
31 March 2024
31.3.24
Totsl
funds
31.3.23
Totsl
fijnds
UnTestriGted Restricted
fjJTh
fund
Note$
FIXED ASSETS
Intsnglble as8ets
Herltage assets
Investments
20.295
20,295
26235
10
1¢)0
100
1(K)
28.879
28,879
34,819
CURRENT ASSETS
Debtors
Cash al bank
12
13.611
299,785
13.611
300.418
4.221
301.529
633
313,396
314.029
305.7
CREDrroRS
Amounts falling due Y￿thin one year
13
124.513)
124,513)
(49.413}
NEf CURRENT ASSErs
288,883
633
289.516
256.337
TOTAL ASSETS LESS CURREKr
UABIUTIES
317.762
318,395
291,156
NEf ASSErs
317,762
318,395
291.1
FUNDS
UTh￿S￿¢ted tunds
Restriol&J fvnds
14
317,762
288.606
TOTAL FUNDS
318.395
291,1
The chadtsble company is entitled to exemption from audFt under Sècticfi 47T of tha Companles Act 201K for
the year ended 31 March 2024.
The memt*rs h8ve not rBqulrad the company to obtain an *Jdrt of its financial statements for the year eThled
31 Mard) 2024 in acg)rdan¢g vJilh Section 476 oflhe Com￿leS Act 20C6.
The trustees aelaKh￿gè Ihelr responslblliles for
(8)
ensurir#J that tha charitaLle company keeps aC￿￿ntIng rKords Ihal compty V￿th Sec*ons 386 and 387
of the Companies Act 2006 and
Ibl preparing finanaal ststements whth give a true and fair view of the stste of affairs of the tharflab
company as al the end of each finonryal yeor and of its suryAus or defiol for each flnandal year In
accordance ￿ the requiremg7ts of Sections 394 and 395 and wthich olherwlse comrly ￿ the
uirements of the Companies Act 20(6 reIatr￿ to finarrAal statements, so f8r as apt4icable to t
charitable company.
The r￿ forni part of these financ4al s181emenls
Page 7
continu&Y...

Plannln OfflGer¥ So
Istsrgd numbor. ￿7{￿)78
Sh
nt5nued
31 Alarch 2024
These financial statemen15 have been prepared in ac03rd￿ with the w0vi￿on9 applicab￿ lo ch•itable
companies subjed to the small ¢X*mp8￿e5 reglme.
The finawal statwnents approved by fhe Board of Trustees aTrJ aulhorised issue on
12 Decemter %)24 and V￿re siwed on its bd)af ty.
P Gwaghty- Trustse
The notes form part ofthese finanual statsments
Page 8

Plannin Oflk•rn
tot
Flnan
l•1 Stateme
for the Year Ended 31 Mar
ACCOUIrnNG POUCIES
8•sl¥ of proparlrva th? flnanclal st*•ments
The financial statements of the charitable comp8ny, whith is a put￿lC i￿nefft entity under FRS 102.
have teen prepared In acoordan¢e with the Charities SORP {FRS 102) 'AccL)untiro and Reportrng by
Charilies: Statement ol Recomrrended Practice apF4icable to charit￿S weparing their accounts in
accordance with the Financial Reporting Standar(l applic81Je in the UK and Republic of Irelarvj IFRS
11Y2} leffeclive 1 J8nuary 2019).. Financial Reporting Standard 102 '￿ Finanryal Reportlng Stsndard
a[plicab￿ in the UK and Republic of Ireland. and the Companies Act 2rKA8. The finanaal stat&m8nts
heve been prepar&d under the histo￿1 ¢))st convenlon. with Ihe exceptlon of investments vthich are
i￿luded at market value.
Fimncial rap￿tIng standord 102- red￿ed dlsclosure exemptlons
The charitable rA)rnpany has tsken advantage of the follov+ir@ disdosLYe exemption In preparfjng these
finarrial statements. as p&rmltt8d by FRS 102 The Firwiial Reportiw Standard applicabl8 in Ihe UK
and Republic of Ireland,:
the requlrements of Sedon 7 Statement ot Cash Flows.
Prgparatlon of consolldatod flnanclol st¥tsmonts
finanual ststements contsin inftxmatton about Plan￿ng Officets kniety as an individual cotnpany
and do not ￿ntaIn consolidated finarrial infcm)8tion as the parent of a group. The charity is exempt
under Section 39912A) of the Compan￿S Act 2006 from the refwirements to wepare ttJnsolldaknJ
financial statements.
Incom•
l Ir￿ome is rec4)grrised in the Statement of FinancAal Aclrvib8s once the charity has 8ntiUement to tho
fvnds. il is prob8ble that Ihe In￿Me wlll be recelved the am0￿1 can be measured reliabty.
Expenditur•
Liabilities are rewgniwl as expendSttJre as soon as ihere L8 a IwJal or ¢x)nsthxtiv8 obligation
cA￿MIl￿rI￿ the charity to that exwnditure, it is probable that a transfer of economic benèfits N¥ill be
required In settlement and the amount of the eoligth'on can be measured reliabty. EXpe￿￿tture is
accountsd for cn ￿ual8 basis and has L*en classrfied under headings that aggregate all cost
related to the catsgory. Where c¥)sts cannot be dir￿tty attribJl&J to parbcuLgr headings they ￿ve been
allocated b 8ctivilies on a ba￿S consistent ￿th Ihe use 0fres0ur￿.
Allocallon and apportionm8nt of costs
Supwrts costs are allocated equalty be￿￿n inform8tr)n seNces and publ￿ awareness S8￿CeS.
V+pbsite is being amortised over an estimated usefrjl life of 5 years.
Heritage assets are csrri&J at historul o)st less any subsequent depreciation or imp8irment.
The haitage asset is considered lo hav8 an irKJefintt8 frfe and is therefore not depreclaled. The asset
is instead reMvNed at each reportlrKJ date for impaimient
The tharity is exempt from corForation tax on Ils tharitable acIl￿ties.
Page 9
¢ontinued...

Plannin
to tha Finan¢lal Stat£m•nts. ¢ontln
for the Year Ended 31 March 2024
ACCOUNTING POLICIES- contlnu•d
Fund acMuntlrvJ
Unrestricted funds can te us8d in 8ccordgn¢8 Vthth tha charitslje (*)jeclives 8t ts disc*811c￿ of the
trustee&
Reslrthd fiJrK15 can onty be usod for parti￿1￿ rgstricte(I purposes vAihin the Obj￿ of the Ch￿ty.
Resthctions anse whèn speci￿￿ by Ihe thjnor ef when funds are Twsed for pwrticular restsicted
purposes.
Further explanation of the nalure and purFQS8 of each fiJrKI is included In the notss to Ihg fina￿191
ststsments.
In￿Stme•￿8
Inveslments in SUb￿d￿￿ry uTrJgrtaklngs Bre r￿ognIs￿l al cost.
Debtors
Short lenn debtors are measured at transacuon rmce. less any impaimienl. Loans receivable are
measured in￿alty at falr value, n81 of transaction costs. and are measured sub8equenUy at amcftrsed
cost uslng tha eff￿lIve rate of interost method,18ss imp8im)enl.
SPK*rt tem credttors are measured at Ihe tran&*tion price. Other finanryal liabilities, induding bank
loans. are m88sured inrbally al fair value. net of transaction ?￿s. and are measured subsequenljy at
amortlsed cost using th& effective intsrest mettw)d.
Gorng conc•rn
After rewthmng the charitys fr)recasts and kVl4ecti￿5, the trustees have a re8son8ble expectation that
the charity has adequate resourrEs to txfitinue In operational exSslence for the foreseeable fijbjre. The
charity therefore continues to adopt the goiro CCfK*m basis in FYep8riro the fina￿181 statements.
INVESTMENT INCOME
31.3.24
31.3.23
Gift Aid transfer from group undertaklng
Deposit ac¢C￿nt Interest
70,219
2,433
58.712
793
72,652
s9,￿15
INCOME FROM CHARITABLE ACTivmES
31.3.24
31.3.23
Actiwty
Momberstryp subs(Jiptior6 Membership &tscripli¢Ms
Events int))mg
Public awareness sthces
51,555
16.583
51,$50
3,925
68,138
55.475
Page 10
Contin￿d...

Plannln
Note8 to the Flnancial Statom•nts- contln
forth• Year Ended 31 March
CHARrrABLE ACTivmES COSTS
Support
costs {s88
nots 51
Totsls
Infom1at￿n servKes
Public awareness seM¢es
20,879
.368
18.152
18.152
39.031
74.520
77,247
36.304
113,551
SUPPORT COSTS
)vemanc
Managwnent
Finar
Totsls
Information s8rMces
Public awdreness
seNces
13.S88
42
2.970
18,152
13.S98
42
2,970
18.152
27.176
3,104
36.304
NET INCOMEI(EXPENDrruRE)
Net Incom￿(eXpendI1UT0) Is stated 8fter chargingll(¥editing)'.
31.3.24
31.3.23
Indepetht Examinarfs Fees - Extem81 Scrutiny
In¢Jependent Examine￿5 Fees - OtheraGcountsrw ￿CeS
Website amortis8tion
1.￿4
1,600
1.680
1.750
3.465
TRUSTEES. REMUNERATKIN AND BENEFITS
During Ihe year rr￿lb8rS of the board of trustees have prDvided serv￿$ to tho charfty's tradlrKJ
subsidiary. POS Enterwses Ltd. These have been pmided at commercral rates and on
I￿al busln8ss tems. Th8 trustees concemgd were contracted by the management of POS
Entwprfses Ltd purefy on the bags of their expertis6. The Iru51ees Goncemed. and amounts paid.
were D V Evans £12.436 {2023 - £4.541), G Jones £39,84812023 - £22.44018nd M KEly £Nil12023
£866)
Tru8ts08' eX￿nN$
There were M trustees, experw paid frf the year end&J 31 March 2024.
P•3811
contlnued...

Plannl
cern Socle
Notes to the FlnanclAJI tstLm&nts- Gonts_nu
AVERAGE NUMBER OF EMPLOYEES
The average Nmber of 8mployegs durirvJ the year vms nll {2023- n￿).
A8 wxh. there were no empws receNed t(rtal ￿P￿yee ￿nefft9 of more than £60,1)00.
IKrANGIBLE FIXED ASSErs
W8bsit8
COST
Al 1 Awil 2023 and 31 March 2024
29.700
AMORTISATION
At 1 April 2023
Charge for year
3,465
At 31 ma￿ 2024
9,405
NET BOOK VALUE
At 31 March 2024
20,295
At 31 ￿rch 2023
26,235
10. HERITAGE ASSErs
Total
MARIEf VALUE
At 1 Aprll 2023 and 31 March 2024
NET BOOK VALUE
At 31 March 2024
Al 31 March 2023
8.484
Herrtage assets consist ofa 8ifvw pr8sfrdèntial chain ￿1¢h was purtha8ed in May 2017 for£8.484.
11. FIXED ASSEf INVESTMENT8
Shar8s in
group
undertakirgs
MARKEf VALUE
At 1 April 2023 and 31 March 2024
100
NEf BOOK VALUE
At 31 Marth 2024
100
At 31 March 2023
100
Th8re V•pre no investm&nt assets ¢ytsde th¢ UK.
The comp8nVs invesiments al the balan￿ sheet data in the shwe wtal oftxYnw)ies indude the
follovang..
Page 12
(#)nlnued...

Plannln Ollkers Socio
Not•# to th• Financial Statomo
ntln
for the Year Ended 31 March 2024
11. FIXED AsseT IWESTMEKfs. contlDwd
POS Entsrpris•s Ltd (Company nUM￿r 08708161)
Reglslered office.. Park House. 37 Clarence Stree( Leicester, LE13RW
Nature of bU￿ne$S.. Town FAanning consultancy
aass of share..
Ordinary
holdiTrJ
1fM)
31.3.24
31.323
Aggregate capftal and reseNes
Proffit forth8 y8ar
72.057
28.531
113.745
7Q.219
12. DEBTORS: AMOUNTS FALLING DUE wmiiN ONE YEAR
31,3.24
31.3.23
Income debt
VAT
Propayments ￿rUed income
1,615
340
2,266
737
13.611
4,221
13. CREDITORS: AMOUNTS FALUNG DUE IMTHIN ONE YEAR
31.3.24
31.3.23
Amounts owed to group uThJertakings
Other rAitors
Accn￿lS and deferred Inccffie
3,4
565
5,565
40,392
24.513
49.413
IncI￿led vllhln accruals and defeff￿1 income is deferred irKome of £12,892 (2023 - £12,597) for
m8mbership Sub￿ripl0nS which cover a per￿ foNowrvJ the year end.
14. MOVEMEKf IN FUNDS
Net
movement
in funds
Al
31.3.24
At 1.4.23
Unrestrlcted funds
Genwal lund
288,606
29,156
317.762
Restrlcled funds
Lond￿ BorC￿h$ Fund
2,55)
11,9171
633
TOTAL FUMDS
291.156
27,239
318,395
Page 13
conlnued...

Plannl Olllcers Socl
Financial Statan8nts- eontlnu
14 MOVEMEKf IN FUNDS- continuod
Net movement funds, inclLxled in the abov9 are as follows..
conyng
Resources Movement
resources eypended
In funds
Unrestrlded fund•
Gèneral
140.79)
(111,634)
29,1
Restrlctod fun
London BoroLFghs Furb
11.917)
{1,917)
TOTAL FUNDS
140,7
{113,5511
27,239
Compwatlv•s for mov•m•nt In fund$
Net
movement
In fvnds
At 1.4.22
31.3.23
Unrostrictod fvnds
General fund
252,125
36,481
288.
R•strlthd fund•
London Bortsjghs Fund
2,79)
1240)
TOTAL FUNDS
254,915
3e,241
291,156
Comparative net movement in fvnds, Ind￿ in the abov8 8re as fdbws:
Irwming
ReSoU￿eS Movwnent
rewrce8 expended
in kjnds
Unrestrict•d funds
General fvnd
114,
{78,4991
36,481
Restrlctsd funds
London Bcwugh$ Fund
(2401
12401
TOTAL FUNDS
114.980
{78.7391
36.241
London Boroughs Fund
The London Boroughs Fund was transferred to Ihe Ptanning Offic*s Sodety ￿ the wnding up of a
fomier d￿rity for the putpose of providing funding towards the costs of education of the public in
F4anning law and F(Jli¢y wthin Ihe London Boroughs.
Pag& 14
cijntinued...

pi
nnin Officorn S￿1
Fln
15. RELATED PA￿ DISCLOSURES
The charitable ccmpany has tsken advantage of exemption. under the lemis of Financial Reporbng
StarKlard 102 The Finan¢Tral Reporting Standard applKable in the UK and Republic of Irel8rvJ', not lo
dixlose related paty transactions ¥￿th whdly ovmed subsidiaries the group.
Thgre were no relatsd paty tsnsxttons for the yearended 31 Mard) 2024.
Page 15

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