` 


## **Trustees' Annual Report for the period** 

Period start date Period end date Day Month Year Day Month Year 1 9 2024 31 8 2025 

**From** 

**To** 

## Section A                        Reference and administration details 

**Charity name** Bwlchgwyn Cabin Crew 

**Other names charity is known by** 

**Registered charity number (if any)** 1141478 

**Charity's principal addressBwlchgwyn** C/o Bwlchgwyn CP School 

Brymbo Road, Bwlchgwyn Wrexham **Postcode LL11 5UA** 

## **Names of the charity trustees who manage the charity** 


**----- Start of picture text -----**<br>
Name of person (or body)<br>Dates acted if not for whole<br>Trustee name  Office (if any)  entitled to appoint trustee (if<br>year<br>any)<br>1 Ms Jane Williams  Secretary Members<br>2 Ms Hannah Thorpe  Trustee  Members<br>3 Ms Jane Williams  Trustee  Members<br>4 Ms Lucy Easton  Trustee  Members<br>5 Mrs Diana Wellens  Trustee  Members<br>6 Miss Samantha Williams  Trustee  Members<br>7 Mrs Karen Thomas  Trustee  Members<br>**----- End of picture text -----**<br>


**Names of the trustees for the charity, if any, (for example, any custodian trustees)** 


**----- Start of picture text -----**<br>
Name Dates acted if not for whole year<br>As above<br>**----- End of picture text -----**<br>


## **Names and addresses of advisers (Optional information)** 


**----- Start of picture text -----**<br>
Type of adviser Name Address<br>N/A  N/A  N/A<br>**----- End of picture text -----**<br>


## **Name of chief executive or names of senior staff members (Optional information)** 

N/A 

March **2012** 

**TAR** 

1 



**Section B              Structure, governance and management** 

## **Description of the charity’s trusts** 

Type of governing document 

Memorandum & Articles of Association 

(eg. trust deed, constitution) 

How the charity is constituted 

CIO 

(eg. trust, association, company) 

Trustee selection methods 

Elected by members 

(eg. appointed by, elected by) 

## **Additional governance issues (Optional information)** 

You **may choose** to include additional information, where relevant, about: 

- policies and procedures adopted for the induction and training of trustees; 

**N/A** 

- the charity’s organisational structure and any wider network with which the charity works; 

- relationship with any related parties; 

- trustees’ consideration of major risks and the system and procedures to manage them. 

## **Section C                    Objectives and activities** 

**Summary of the objects of the charity set out in its governing document** 

**Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)** 

To provide the necessary facilities for the daily care, recreation and education of children during out of school hours and to advance their education and training. 

To provide quality and accessible out of school childcare at an affordable price, offering a range of play activities in a welcoming and safe atmosphere/environment. 

March **2012** 

**TAR** 

2 



**Additional details of objectives and activities (Optional information)** 

You **may choose** to include further statements, where relevant, about: 

- policy on grantmaking; 

- policy programme related investment; 

**N/A** 

- contribution made by volunteers. 

**Summary of the main achievements of the charity during the year** 

Bwlchgwyn Cabin Crew (Charity No. 1141478) 

2025 has been a year of continued growth, improvement, and continued commitment to delivering high-quality, accessible childcare services for families in Bwlchgwyn and the surrounding areas. 

**Expansion of Childcare Services** Flying Start provision continues to grow steadily as the Welsh Government rollout of free childcare places for 2-year-olds slowly continues. The Flying Start sessions are becoming more popular as communities closest to Bwlchgwyn don’t offer Flying Start. We have continued to provide 30-hour funded childcare places for 3 and 4-yearolds within our wrap-around care, as well as our after-school and holiday club services. All of our childcare offerings are delivered to a high standard and remain affordable for families not eligible for funding, with only minimal fee increases implemented to offset rising costs. Our services remain inclusive and accessible, helping parents to remain in or return to work, or engage in training to enhance their employment prospects. 

## **Staffing and Training** 

|**Staffing and Training**|**Staffing and Training**|
|---|---|
|To support the long term staff stability, we took on an apprentice member of staff||
|introduction of Flying and training/development has been monitored to ensure||
|this continues to be a priority. Training highlights this year include:||
||Flying Start programme training, supporting the integration of natural|
||environments and loose parts play into all areas of provision.|
||Playwork training for multiple team members, ensuring compliance with|
||Care Inspectorate Wales (CIW) requirements.|
||Updated Safeguarding and First Aid training for all staff in line with|
||revised CIW regulations.|
||Level 5 Leadership & Management|
||Additional training in Makaton, Attachment, Trauma Informed Practice,|
||Welsh Language|



**Facilities and Environment** We’ve invested in our setting to improve both indoor and outdoor play environments: 

||Replacement ramp access|
|---|---|
||Replacement roof|
||Full hardwiring test completed|
||Exterior painting of building carried out|
||Continued to develop outdoor area development to enrich children’s|
||outdoor experiences.|



## **Promotion and Outreach** 

We have continued to raise awareness of our additional services by way of Flying Start funded places for expanded services and attract new families to take advantage of both the Flying Start & Childcare Offers across the wider community. 

## **Section E                    Financial review** 

March **2012** 

**TAR** 

3 



## **Brief statement of the charity’s policy on reserves** 

To reinvest all reserves into the club to ensure future development and improvement 

**Details of any funds materially in deficit** 

N/A 

## **Further financial review details (Optional information)** 

You **may choose** to include additional information, where relevant about: 

- the charity’s principal sources of funds (including any fundraising); 

N/A 

- how expenditure has supported the key objectives of the charity; 

- investment policy and objectives including any ethical investment policy adopted. 

## **Section F                     Other optional information** 

N/A 

## **Section G                    Declaration** 

**The trustees declare that they have approved the trustees’ report above.** 

**Signed on behalf of the charity’s trustees** 

> **Signature(s)** _J Williams D Wellens_ **Full name(s)** Jane Williams Diana Wellens **Position (eg Secretary, Chair,** Trustee Trustee **etc) Date** 23/3/26 23/3/26 

March **2012** 

**TAR** 

4 



Compw regtstyalkn nurnb8r CE018300
Churfty ￿15t￿￿on numÈ4r. 114f478
8WLCHQWfN CABIN CREW
TRUSTEES. REPORT AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2013
RMD fvLcwnlancy Soluuom Lld

BvAchgwyn Cabin Crew
Contents
Pag•
Tnwleei. RepN¢
IrthpBndent E¥•nkntrs Raport
o[￿nar￿alA￿V1lleB (Tnthdlrvd IrKc¢M and E￿￿KUr¥A¢¢￿nt)
¢tynpaTadv8 s181￿￿nI DIFthir￿aIA￿YSl0o 0nd￿lIng Incm INI Exp•ndlture k•XAthtI
8olonca Sheol
NotsB lothe FI￿n￿￿ St•temer
13

B￿Ch9￿1 Cabin Cr
Company Nth CE018300
Trustees. Report F¢x The Year Ended 31 August 2025
of Chlldwg Sgrvlc¢s:
h￿￿laY Se￿¢88. Pl ofLxJf L*thdc¥re to 8 St￿ and allord8tle fLYfarn1*5 Mt eTrJiWe I
siaffing qnd Trawthg:
. Updated Safeguardnig athj Fltst Aid staff Imlh rEMsed cf¥V rBgthl#m.
Faclllllos arml Envtrobmth:
. Full hathring te51 r•mpfeled
Pmmotlon and outr￿￿.
Ms Jane wlliams- Trustee
M$ Lury East￿. Tntstee
M$ Pknlgail Salthry. TOtstee14p￿rthl rM1r20241
Ms Plllson ￿￿lleng. YnJ5te8

B*lchgwyn Cabin Cv•w
Trustees. Report {contlnued)
For The Year Ended 31 August 2025
MS H8nnwh Tl*ype-Truit••
MI JaneWllkqmJ. Clw Ires•yJ 22AW2025)
M$ KareThTltomas. Truste• laFgiYd•J 1￿02*
Ch•tlty Numb
1141478
C(Mnpny NurNb•r
CE018XO
PvknclpAI Addrn
Brymbo Road
LLII 6UA
Ind•pBndontE¥•mk
RMO A¢¢wnlw S<&rtth Ltsl
RMO A¢¢wnl•y Sthlorr• L
PenY&y
LL13 7HY

Bwlchgwyn Cabin Crv
Trustee5' Report (wntinued)
For The Year Ended 31 August 2026
C)-￿
26 Mar 2026

Bwlchgwyn Cabin Crew
Independort Examln8rfs Report to the Trustees of Bwlchgvryn Cabln Crew
For The Year Ended 31 August 2025
I raporltothe dwrfty Iru$tee$ e• ry exarfn•Oon rllhe acojurts of Ihe Cffj>wny forthèy•ir •nded 31 W8¢2025.
R￿pon￿bIlIt￿ •hd Ba￿• ol Report
As Ihe chorlty trustees ofthe Cornpany l•TrJ #15011$ dbrector8forthe w￿03e$ of company I8￿. you ar• responathjk forthe kvepfftr￿￿ olth
accmts In accord0r￿ the requir¢metlls oftha C(ryarte&Acl 20D6 fth8 2006W.
H•¥ing Sa￿•fled ntysemthal the a¢￿In1$ of the Compw are not requtred lo be aud￿ under P8rt 16allhe 2006 Ad and are el￿1￿18 f
Ind8porYJent exa￿￿$￿0n. I report In wped ofmyoxomiTrabon ofyour Cha￿ty￿ accounts as corried out undersedw 145 olthe Charllitt Act
2D111'ih8 2011 Arfl. In oul nty exthnatton I have lollovxd Ihe DirecUon8 gI￿n bythe Charlty Ccfflrrf$9kn aadon 14615) Ibl of
Ih 2011 *
Inthip•ndwt Exthln•f• 8t•t•m•n¢
I have ¢otr•l•i•d ry ex4m1n8￿¢n. I ￿1￿M Ih•l no maltorn conw lo my 8llention In c(nnocllon the •xamlTralcffl ￿ryo m• to
bdle¥e.'
1. aeetyJnVng reeordo noi kept In re•p¢¢t dthe Company by seclhJna86 ollhe 20C4 Act.. or
2 Ihe 8vAun15 do nol lwd wblh Ihow r•cord8.'
1 Iho 8¢¢ounl$ do tomply I￿1h Iho accounllrvJ reqUI￿en1$01 $8dlon 388 ollh• 2006 Othorth•n 8ny requlr¢Trwnt Ih
•¢thJnl$ glve 4 Iwe •nd f•lr tAthlch la not a matter comldered a> pBrt olan Independ•nl eX&n￿nitiOn,. or
4 lh• •¢¢¢unls hova nol been prepored In acco￿￿nCe￿I1th thtr mthods Ind prfndF4•> oflho sibiemeni olReComn￿d0¢ Pradlu for
•¢¢wntJng and rtptyUnB by apP￿table lo prepjrfng th￿r accounts In •C<¢xd￿c* %41th Iho Fln•n¢J•l Roportlng
stond•rd aw11￿￿1¢ In th¢ UK 8nd Republlc ofirdoTrJ IFRS 1021.
I h8v• no c4ft￿mI and ceme acr￿$ no Oihermotter• In ¢Mnec¢lon wllh I￿ ax4rnln￿￿ lo *thich allertlon ¥hould bo drnyffj In th1• r•wt
r10 •n•bl• • prOp￿￿t￿MI•ndEng of the aCCQLmth to bo reathod.
RMD kc4wrt•n¢y Sotuttorw Lld
Oale
S8 Pon Y Bryn
¥th%h•m
LL13 7HY
Page 4

Bwlchgwyn Cabin Crv
Slalemgnt of Flnancial Activities lincludlng Income and Exponditur• Acc¢Junt}
For The Year Ended 31 August 2025
X+25
2024
l￿d5
INCOMEAND ENDWElIt8 FR
17.659
17.6S9
171.089
2.717
171.089
2.717
185,971
2,899
171K6
17ts59
191,465
214.252
EXPENDMJRE ON:
1178.82
(322W P11,076) P07,4651
NETIEXPENOITUREW4C(AIE
15,0141
114.59n
119.6111
6.787
N￿￿0￿E1￿ IN FUNDS
15.0141
114.59n
119.6111
6.787
REW4¢1UATION OF FUNDS:
Total frJTrJ8 brwjtrd hjrwwd
214.657
53.310
267,975
281.188
TOTAL FUNDS CAIIIIIED FORW
2t6.643
721
248.264
267.975

8¥Achgwyn Cabln Crv4¥
Comparative Statement of Flnanclal Activities (including Income and Expth)d*ure Account)
For The Year Ended 31 August 2025
2024
ftmd•
IMCOAIEAIIO ENDOYalEIIT8 FR
Drywttorv&aTrl fegadq*
2&382
25,382
l 01S¢h￿4 CNll¢we
185.971
18&971
118.870
214.2
EXPENOITURE ON..
tolsch￿￿ Cl*dcwe Pwrhl
1178A18)
128,94TJ P07.46S
NETINCOME
10.352
P,5851
6.787
NETIIOVEIIENT IN FUN08
RECONCIUATIOII OF FUNDS:
T￿•1 fvnds brc4yJht
10.362
13.8esi
8.787
204,305
281.188
TOTAL FU14D8 CARRIEO FORWARD
214.857
53.318
287.976

Bwlthgwyn C•bln Crew
Balance Sheet
As At 31 Aug￿1 2025
2026
2024
nd*
TwvJlt4D Au
11
38,721
101,964
38.721
705 101,984
CURRENT ASSETS
12
11143
144.339
13.143
144.339
12.545
180,088
157,482
157.482
172,611
¢rndi¢or•: Amounty ONO Y•w
13
15.8231
15.8231
(6.eo
151.8
151.659
118,011
209.843
721
248.384
287.975
209,643 3&n1
248,384
267,975
FUMOS OF TrIE CHAiyri
R••tstded
Unmtd¢i•d Fw
38,721
2Q9,643
S3.318
214,6S7
TOTAL FUNDS
248.364
267.878
rdaljng lo cwyrdei.
regth•.
On boWofth• trpjard
M8Jane
26 Mar 2026

3wl¢h9wyn C•bln Crew
Notés to the Flnanclal Statements
For The Year Endod 31 August 2025
1. G8nerallnfoThaUon
n Cthn Crewis a ¢ory)ony by waranlee, tsKryr8led th E￿18￿￿ & ￿*$, reg1$1￿ rwmbw CE018300 arul 18gtslered
thanty Nmber 1141478. The registered offioi$.
2. A¢c¢uniiw Pollcl88
2.1. 8aBlb ol Prepwratlon of Pthan¢lJl St•t•mwts
Thefinanoal statements hav? been wepared In accordance ￿lIh the Charlues SORP (FRS 102)"knurthng and Reportlng by
harflles.. Statement of Recommer￿￿ed Practice 8ppIKable lo charfes preparing l*accounts in aEurdarKevAlhthe FlnatK%
R*pOrb￿ S¢and¥d applicaNe in the UK and RepuNlc of Ireland IFRS 1021 leffecuve l JanuHry20191", ￿￿Or￿4a1 Repty1bvJ St8ndaTd
Ihe Fthanfaal Reportthg Standard 8ppkable inthe UK and Repubuc of Ireland. andlhe Compon￿5 kl 2006.
The charl1ab￿ comp8ny188 PuNlceenefft Entity as defined by FRS 102.
2.2. IKomlng R080ur
Income Is reojgrfsed enUM8mert Is eslatQished Ihe ￿rn￿racIn be rthUy measureo, arKI rewF4i5 probatye.
IrKome from govemment cwfourklab(m gfants ts ￿0)gr￿Sed *tsniheth•My has effjMem*)tto IhefLmd8. perfO￿arKe coTrJtsorL8 8Te
l. orxl onyfequlre￿￿rts fordefwT31 ￿e Grridered.
Conirntts:
IrKoff* from oJrdr8cts fjs recognL8ed as the Se￿(e 1$ rfelher8d. measured ty Ihe crylEliDnrate
Typ¢s of Donatlon8:
The may8r￿Ept'.
. Cash donatsrm5 1￿ClUdir￿ Dnwff •nd le9￿ar￿¥1￿)
. 0￿1￿* donèts0￿ Ma approved p4aifam
. Inllkind dI)nats￿$ le.g. equipmert. ws. senAcesl, S￿)￿eCt to suit8￿1￿￿ and safety
-Corw8le donalcffj$ tysFx)n8cnhlp, ￿ere algn8d*ith Orgardgat￿8IySl￿ès
-Lagades In ￿118)
R•8trlct8d and Unre8trlcted Fund8:
. Re&lrfcted donallons mu81 be used thtslhe S￿￿￿e0 purpose aweed wilh the d¢y
- Unrnstdctsd d￿allOr* may be used al the vganisation'$ lo supwt we a¢b￿tr¢S
- Cle8r records must t* maintained thsts"ThJui5fmg tsely￿ fund Wes
Flnan¢lNI ¢ontrolJand RecrydlnB:
. Al donaiion5 mu51 be ￿rded promptly accuratdy
- Cash donalicffl5 rN51 fr4hJwslrict handliry procedu￿$
- DonalionsvAI te banked in and notoffset ogair4t exF4r
- throprtRte S￿Irt trams must maint81r￿d
R•cord Ke8plng andAudrt:
. Al dorJJw*nlation 1appbcat•j￿. agreement4 reports) must kieiaknvd
- Records mu51 be accessWe for audit or in5pethon
- fIna￿al record5 r￿￿t deatly dErruN￿￿4le howfunds we L￿￿
2.3. R•sOurC￿ Exp•nd8d
I reswrces expended are dSreiled Iow8rdB the thaiW5 objeclves. are wopBty ￿￿$e￿. aThJ a￿ tr•n8p8wty recw¢ed.
2.4. Tanqlble Flxed AB88ts and D￿recIatIon
TaThJltle fixed a5se15 are rnea5wed 31 Gost les$ a(wTrwlat8d d8wedallon 8nO 8￿MUlated Impalrn*ntlossas. Depre￿8￿on r8
prO￿ded ai f*$ ta v*tte aff the tost of1￿ flxed assets, le&8 thetreStkn￿ted value, O￿rth*expec1ed u5efLd Ir￿5
on the I￿￿￿ng bases".
Fmhold
Leasehold
P18ni & Mathinery
Molorvehicles
F￿lureS & FUtSngB
25% Slralght Lln•
25% &rnight LinÈ
25% Slraighl LlnE
Page 8

Bwlchgwyn Cabln Crew
Notes to the Flnanclal Statements Icontinufjdl
For Tho Year Ended 31 August 2025
2.5. Calh and Cuh Equlvalont¥
Cash and equlvalenly are ba81cfln8ndal a88818 thclude cash hand and d8posh8 hold at CBII %￿th banks, olher shtyt.term
highty liquld tsweyknents th81 mature In no m￿e than three months from the d818 of Kqulsbts'on aThl are reathycon¥wUble lo o
Bmoun¢ of cash *4th Irthlgnhlcant rfsk of thang8 ITh ¥0￿0. and bank o¥erdrafts.
3. In￿lle from Oonthnl Ind LeqacJo•
2026
2024
Il••tsi¢¢•d
RoBtrlct•d
fvnd•
Grnnts
17.859
25.382
4. Inw•¢rn•ni tncom•
2028
Unv••irfÉt•d Unr•thGtsd
fund•
2.717
2,899
S. N•tln¢om•llExp•ndlturnl
Th• nel (ex￿nd11￿0)An¢omQ li •l¥tsd •ft•r ¢h•rglntylwdNfvJl.'
2026
Deprodallw of t4ng1￿8 fixed 18uts- wi•d
on dlsposal ol langSble fixed a8M
6,784
3,387
An•ty￿• ¢1 Exp•ndltyrn
Actfvhl
und•rtaknn
dlrnctly
Support co•¢•
li¢e ￿￿* n
Out ofsthool CNldw• th14on
10.811
200.235
211,1)7fj
2024
Actfvlll•8
ndwt4knn Support ¢o•ty
dlrecty
Iiee note n
Oth of8d￿01 C￿ld¢￿Te p￿￿810n
12.122
198,343
207,466
Ptye9

Nrkns to the Financl•l Strthments qcontlnued)
For The Year Ended 31 August 2025
7. 8￿Pert Co•ts
(xrt of School
ChlldwD
Provi*lo
143.186
6.337
5.867
18.77
O¢prec4DthJn
200,235
2024
iart olS¢hool
Chlldcarg
pro￿#10￿
EmF4oyee coill
137.742
28,849
1dmth￿tr9II
Dey•d•ii
3.387
18,973
195,343
2024
9. Jtaft Co•t•
2026
24
ind Ml•r*s
133.928
132.917
2,034
2,tr29
2.419
140,931
137.610
10. Avwtye I￿￿kn•r ol Employ•
nwmber 01￿￿￿0$ dlafjw 1112rA4.. 111
P•p 10

B*rf¢hgwyn Cabln Crew
Notss to th• Flnanclal Statgmonts Icontinuedl
ForThe Year Ended 31 August 2025
11. T•rvJNe Asqots
L•nd &
Property
T¢tsi
M8¢hlnory
Ax al I Sopt￿￿Or 2024
AddMons
91,803
$3.270
146.073
t¥$poul8
12951
12951
As 8131 2025
91,803
53.583
145.366
Doprecthdon
at 1 Sepknber 2024
Prowdod Il* perlod
43.109
6,784
Q121
42,109
5,784
1212)
•131 NAlVU•t 2025
48.681
48,681
Net Bovkv•￿•
8t 31 2025
81.e03
4.9W4
96,705
Al ¥t I Septsmber 2024
1.803
10,181
101.984
12. Dobtorn
202S
Du•tAlthln on• y•w
Trade d•blorn
Oth•r d•NoT•
11.94S
1.198
1,347
13,143
12,646
13. CMdi¢¢r•'. Amoun1• F•ltlng Du• V•llhlD Oty• Y••r
202J
2024
Tr•d¢
Cmhw vedknrn
T8X8￿0￿ and Jod81 $ewrfty
Atw￿8 and deler￿d Inc4Jm•
2,805
12001
1,771
1,447
1,217
5,823
6,600
14. P•Mton Comrnllfflent•
rhlrttable c4)mpany operalu • d*1￿0 penslon sr*wme. ofthe Stheme ar• hBld wjprpiety from IhJBe oflhe
chafltAb* company In •n InO¢JpendEniiy adrfnl&lered thJThJ.
t*Jrfng Ihe ye8r ihe tharge lo ihe &¢alErnBnl offingnd818ctl￿IK98 In reiped ddthed ¢￿Il￿bl￿10n Sche￿5 ￿,41912024.. £2,029).
balanc* 8h8eldate of £NILwvedueto Ihe fvnd we Induded ITh rx8dhorn.
Page11

8wlchgwyn C4biTr Crv
Notes to the Flnanclal Statements Icontinu8d)
For The Year Ended 31 August 2025
15. lth Funds
A¥•t1
A¥¥t31
Exp8thM AuBll$t 202S
2024
214.657
1718C*%
1178,82
3.￿￿8c(￿
1- Rural Grn*2012
14,
14.664
7.373
1,$01
3.412
3.271
51- wr8C-ITl>ant
58.K¢￿. Tralet FaaHI*8
3.412
3,271
14.514
114A141
15.4861
13.8701
1467)
(7A161
. Fnntslwe CC. SEN 1..1 Fw¥knJ h)tw)
67. Jwy SeNce Fu
68. W￿￿.sEN 1.1 IMLdt¢4e
3.870
487
7.816
53.318
17.659
132,2581
36.721
Totalfund¥
267.975
191.465
P11.0761
24&364
As￿31
2033
Unrestrfctod fwds
1¥870
1178,5181
214.657
Robtrfcted funds
3. ￿￿c Grant
1- Rltyal Grant 2012
14.
14.664
45-KfBC. CV19 ReoJ%w Furrtj
7,373
7,373
(678)
51.Krec.ff Gra
3,412
6n
3.412
58. Kec-To1et Fadllies
116,729)
3,271
14.514
CONTINUED
14.514
P•ge 12

B*khgwyn Cabln Crv
Notss to the Financial Stslements (contlnuedl
For The Year Ended 31 August 2025
82. IACBC.&nwll Cryilol
64. FlntBfrfreCC. SEN 1..1
12,9481
(28.947)
$3,318
Toialfvndl
261.188
214.252
1207.4651
267.975
requlred Thjl ex(*edlng £1.
P4e 13

Bwlchgwyn Cabin Crew
Independent Ex•rninerfs Report to the Trustees of BvAchgwyn Cabin Crew
FOT The Year Ended 31 August 2025
I report tothe tharltybu8tee8 on my ex*thation ofthe acco￿ts oll1* C￿panYI0rthey￿ ended 31 knJu5t2025.
R•Spon8￿1511O* 81818 of Report
As tharitytru&leÈs ofthe Company land also118 dSrectors lorthe W￿0988 of compwry IV￿}. you are reSpc￿tIO forthe p￿paraD(￿ of the
a¢Munts In attordance ￿th IhÈ requlremw18 of the CoryarOesAct 2008 Ilhe 2006Actl.
Hathng satisfied myselflhal Ihe acxxwnls of the Compwry are not requwed lo tse 8u(thted urtsler Part 1601 Ihe 2006 Act 8ThJ are *ilYe fc¢
Indep•￿e￿I eXanNna￿On. I rEPDrt in ￿ped01MyexaMI1IatIOn ofyour charitys ac£ow)ts as carlied out undersection 145 01lhE Charibes A
20111.lhe 2011 Adl. In canyuiy 0￿m￿ exam*)alv)n I have g￿n bylhe Charity ￿[￿r seclirn 145151 Ibl of
2011 A
1n+J•p¢ndgn¢Ex￿th0*S Sl•tom¢nt
I ha¥e coryleleo rny exa[￿na￿. I that no matte￿h￿? lo my all8ntton In connezlion IhE examin•tsw gmng c8U8e to
beDe¥e.'
l. accourdlng recordsv4ere not kept th resped ofthe Company a5 required by 8edion 386 oflhe 2006 Art or
Z Ihe a¢K4unl$ do nol acryyd I￿1h Ihose records., OT
I IIE a(tounl$ do w o)mply ￿th IhÈ accoun￿r￿j requirewts olsect4in 396 ollhe 20(6 Act other Ihan any reqUIr•￿nI that
ccouN5 give a lairwe¥V 1$ nota matter corK8idered 8$ P8rt ofan independent eXawmal￿￿.' or
ttTE ow>uN5 ho￿ not been prEpa￿d In aCC￿￿nCeVlIh the melhodB and prtnCl￿85 oflhe Statement of Recommended ￿8￿4¢e lor
•CCDunling and repDrting by rharities Its that1￿?5 prep8rfrvJ theSr accounts In acDxdance Ihe Finanrial RepDfttrpJ
8tsndatd oppliGobk in Ihe VK 4nd Republlc of Irdarh1 IFRS 1021.
I have no MrKem$ and ha¥* t4)mÈ 8cross no othermalters In connttiie*) *ith I￿8 ex4mirwfjw auenuon sh￿Id be dra¥￿ in thi5 repLYt
10 enabk a proper understandltvJ of the attoLmt& lo b8 reathwj.
RMO A￿￿￿tarIcY Scthtknr6 U
58 Pen Y 8ryn
exffiam
LL13 7HY
P8g8 4