REGISTERED COMPANY NUMBER: 07592707 (England and Wales)
REGISTERED CHARITY NUMBER: 1141612
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDEO 31 MARCH 2025
FOR
MUDEFORD WOOD COMMUNITY TRUST
Terence L Smith & Co
Chartered Accountants
38a Slalion Road
New Milton
Hampshire
BH25 6JX

MUDEFORD WOOD COMMUNITY TRUST
CONTENTS OF THE FINANCIAL STATEMENTS
for the Yoar Ended 31 March 2025
Page
Reference and Administrative Detsll$
Report of tho Trustees
Independent ExamineV$ Report
Statement of Financlal Acllvlties
Balance Sheet
Notes to th8 Financial Statoments
8 10 13

MUDEFORD WOOD COMMUNITY TRUST
REFERENCE AND ADMINISTRATIVE DETAILS
forthe Year Ended 31 March 2025
TRUSTEES
Richard Ashdown
Paul Hilliard IHonorary Treasurer)
Elizabeth Sabey Ichairmanl
Victoria Fullei
Michael Scott-Johns
Deborah Stephens
Samuel Weeks Iresigned 14.9.241
Roger Burge lappoinled 14.9.241
COMPANY SECRETARY
Roger Burge
REGISTERED OFFICE
The Treasurer
Mudeford Wood Community Centr8
Pipers Drive
Christchurch
Dorset
BH23 4TR
REGISTERED COMPANY
NUMBER
07592707 IEn9land and Walesl
REGISTERED CHARITY
NUMBER
1141612
INDEPENDENT EXAMINER
Teience L Smith & Co
Chartered Accountants
38a Slalion Road
New Milton
Hampshire
BH25 6JX
BANKERS
CAF Bank Ltd
PO Box 289
West Malling
Kent
ME19 4TA
Page 1

MUDEFORD WOOD COMMUNITY TRUST
REGISTERED NUMBER: 07592707
REPORT OF THE TRUSTEES
for the Year Ended 31 March 2025
The Trustees, who are also Directors of the Trust for the purposes of the Companies Act, submit their Report
and the Financial Slalernenls for the year ended 31 st March 2025. The financial staternenls comply with the
Charities Act 2011, the Companies Act 2006, and Accounting and Reporting by Chaflties". Statement of
Recommended Practice applicable to charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 effective 1 January 2015. As
charitable company, the Trust is governed by a Memorandum and Articles of Association.
OBJECTIVES AND ACTIVITIES
Review of Actlvlties and Future Developments
The specific object of the Trust is explained within its Articles of Association and, in summary, is.. to promote
for the benefit of inhabilanls of Mudeford Wood, Chrislchu¥ch, Dorset 13nd the surrounding areal the
provision of facilities by reason of their youth, age, infirmity or disability, financial hardship or, social or
economic circumstances or for the public at large in the intere515 of so¢ial welfare and with the object of
improving the life of the said inhabitsnls. In practice this will mean the provision of faci5ities offering diverse
activities for the social, mental and physical wellbeing of the local community, regardless of age. ethnicity or
culture. To help achieve this. the Trust engages with and encourages the local community to become
involved in the planning of activities and the running of the facilities al Mudeford Wood Community Centre.
The Trusfs operations meet its public benefit expectations achieved with an enthusiastic sel of volLJnleers
running the Community Centre and ils associated sporting and other recreational facilities. The Trust
assumed responsibility for the Mudeford Wood Community Centre and adjacent all-wealher pitch together
with access rights to the adjaeenl field from Christchurch Borough Council (Now BCP Council) within the
tems of licence agreements on 1st April 2012 pending the enaclmenl of a lease for the former fyvo areas in
November 2013. The Centre is a busy and thriving community based facility that offers a diverse range of
activities together with the opportunty for individuals and $ocielies to hire the all-wealher pitch, rooms and
halls for their members and others. In planning activities for the period the Trustees have ¢onsidered the
Charity Commission's guidance on publi¢ benefit and the needs of the local community. The Trust has
confirrned ils comrnitment for the Centre to be used for community purposes during a period of emergency
andlor local crisis as an evacuation or temporary holding location.
The Trusfs approaeh to costs management together with efficient use of available resour¢es means that the
Centre remains a financially viable charitable based organisation. The Trust continually seeks lo raise funds
and seek grants in order to maintain and enhance the Cenlre's facilities and activities provided. The Trustees
ijse an electronic booking system and employ financial accounlanls to produce management reports and
information that allows informed decisions lo be made about marketing spare Capacity and achieving best
value for the investments made of lime and money. Whilst the usage of the facilities for hire remains robust,
the conb'nued cost rises in energy and support services has proved a challenge for the Twst lo cope with
neGessitaling price rises for the hire of rooms and the All Weather Pitch.
During the year, the Trust Managed the complete refurbishment of the All Weather Pitch al a c05t of
£132.278. This major project has benefilled a substantial number of tennis, football and netball players from
our local community.
The Trust aims to". maintain prudent control of rt$ finances to ensure that il remains financially secure.,
maintain financial reserves that will meet Charity Commission guidelines." and lo generate sufficient surplus
funds to maintain the Centre's facilities to a high standard. The current financial environment is unpredictable
and likely lo result in a small operational deficit brought into balance by the Trust's reserves for the year
2025126. The Tnjst remains in close contact and Covoperates fully with the Local Authority and its published
guidance for allowing outdoor and indoor aGlivibes. The Trust employees a full lime Centre Manager, along
with a part time Development Manager with a specific remit lo review Trust policies, explore grant funding
and generate income from events and varied a¢livilies. During the year the Trust also employed a young
person for work experience on a terrn-lime only contract.
On behalf of the Trust, the Board is very grateful to the many individuals and organisalions that have
contributed either with their time or money lor both) in the last year. Every contribution has been much
appreciated.
Page 2

MUDEFORD WOOD COMMUNITY TRUST
REGISTERED NUMBER: 07592707
REPORT OF THE TRUSTEES
for the Year Ended 31 March 2025
OBJECTIVES AND ACTIVITIES
VolunteerslFundralslng
The Trust is supported by the volunteer activities of ils Trustees in roles beyond their Governance
responsibilities, together with a wder ne￿Ork of volunteers who provide help in many ways. There has been
reliance upon a core group of 21 Volunteers (including 7 Trusleesl on a regular basis, with other volunteers
supporting one-off activities. Recruilmenl of new volunteers and Trustees continues lo prove drfficull as
expectations change from offering communty service lo a desire to just.pay and play" with the work lo keep
the Centre going undertaken by'someone else" The Trust is extremely grateful to those people who provide
their valuable commitment. The Trust's Fund Raising continues lo be focused towards both grant and
sponsorship applications for specific projects, together with a desire to restore ils comrnunity-based Fund
Raising events that will help grow its unrestricted reserves.
The Trust remains mindful of the competslive environment for securing grant funds with Trustees undertaking
regLtlar financial reviews al their meetings lo ensure that the wide range of activities available al the
Community Centre operate al least al balance or ideally al a sensible surplus lo maintain lulure financial
independence and viability.
FINANCIAL REVIEW
Financlal Result
The reported net expenditure for 202412025 of £79,498 includes an amount of £132,278 expenditure for the
major resurfacing of the All-weather Pitch. The figure also includes a generous legacy donation of £50,000
to be used for future ￿n0VatiOn ¢osts of the All-weather Pitch.
Excluding these items, the net income of £2,780 reflects the current challenging eosts environment. balanced
against the income from a solid base of regular users and groups. Taking account of the reserve funds
established, and as recorded within Note 1 to the Accounts, the Trust had unreslricled cash reserves of
£199.281 at 31st March 2025.
There were ￿ member5 of staff (excluding the young person employed for work experience). Other
seNices were delivered against consultancy or other contracts and paid following receipt of invoices. In all
cases contracts and payments were agreed in advanee by the Board of Trustees before delivery
commenced. Both members of staff are eligible and are registered for the work-place pension. The Trust is
registered for VAT.
The Trust benefits from its compulerised systems allowing precise budgeting and financial planning that have
proved invaluable during the year. Much of the systems and processes have been digitslised removing the
need for paper Tecords. The Trust has ensured that data back-up Is secure with records also held remotely
from the Centre as a part of the Trust's Disaster Recovery Plan. The Trust lakes active steps to ensure that
data is managed in accordance with GDPR ststutory requirements and is registered with the Information
Comrnissioner's Offi￿. The Trust is registered with PRSIPPL and holds a Music Licence on behalf of the
Centre and its hirers.
The Trust continues lo be grateful for the gorxl working relationships developed wth and support from its
unitary local authority - the Bournemoulh, Christchurch and Poole Council.
Resgrves
The Trustees regularly review the reserves of the Trust. The Trustees ieview the level required each financial
year tsking account of both increased costs and an unpredictable fund-raising environment. The operational
reserve has decreased to £135,207. Careful management of overhead costs and spend results in the
Trustees being able lo confirm that level of reserves as being Sufficient lo provide an adequate financial
cushion. Prudent costs management wll aim to ensure that the necessary reserves F)OSition will be
maintained during 202512026 and subsequent finar¢cial periods with further reviews by Trustees as may be
required.
Page 3

MUDEFORD WOOD COMMUNITY TRUST
REGISTERED NUMBER: 07592707
REPORT OF THE TRUSTEES
for the Year Ended 31 March 2025
STRUCTURE. GOVERNANCE AND MANAGEMENT
Govgrnancg and Internal control
The Trust, which is a registered Charity, is limited by guarantee and does not have a share capitsl. The
liability of each Member under guarantee (who are also the TrusleeslDireclorsl does not exceed the sum of
£10. It is governed by a Memorandum and Articles of Association. The Trustees receive no remuneration for
their services. The Trustees who served during the year are as shown on page 1.
The Board of Trustees ha$ mel face*to-face as required by its Articles of Association and by other means as
may be required. The Board is supported by Truslee-led Working Groups that have more detailed
responsibility for the following matters.. Operations, Premises Maintenance and Development,. Marketing and
Communications., Volunteer Management., Finance and Governance. The Tole and composition of the
Working Groups is reviewed each year. The Board undertakes regular reviews lo ensure that il remains an
effectr've Body that achieves an appropriate balan￿ be￿een operational and strategic ir)volvemenl. It follows
Charity Commission guidance in this matter.
The systems of internal control are designed lo provide reasonable, but not absolute, assurance against
material misslatemenl or loss. They include..
A Business Plan and an annual Budget approved by the Trustees.,
Management accounts which show variance from budget and re-forecasl anti¢ipaled results for the year,
which are reviewed by the Trustees.,
Delegation of authority and reasonable segregation of duties", and
Appropriate controls over cash handling, card re￿iptS and electonic banking systems.
Risk managerngnt
The Trustees actively review the major risks, which the Trust faces on a regular basis. Recognising its size
and scope, the Trust has developed appropriate systems to monitor and control these risks and to mitigate
any impact they may have on the Trust's future. All activities are risk assessed and the Trust engages with ils
Insurers lo ensure that adequate assessment has been completed and appropriate cover is in place.
Approved by the Board of Tru5teeslDire¢lors on 25 November 2025 and signed on its behalf by..
Roger Burge - Truste
Page 4

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
MUDEFORD WOOD COMMUNITY TRUST
Independent examinerfs report to the trustees of Mudeforfl Wood Communlty Trust I'the Company.)
I report to the charity Iruslees on my examination of the accounts of the Company for the year ended
31 March 2025.
Responsibilities and basis of report
As the charity's trustees of the Company land also its directors for the purposes of company lawl you are
responsible for the preparation of the accounts in accordance with the requirements of the Companies Act
20061'the 2006 Acl'l
Having satisfied myself that the accounts of the Company are not required to be audited under Part 16 of the
2006 Act and are eligible for independent examin81ion, I report in respect of my examination of your charity's
accounts as carried out under Section 145 of the Charities Act 2011 I'lhe 2011 Act,). In carrying out my
examination I have followed the Directions given by the Charity Commission under Section 145151 Ibl of the
2011 Act.
Independent examiner'$ $tatement
I have completed my examination. I confirm that no matters have come lo my attention in connection with the
examination giving me cause to believe..
accounting records were not kept in respect of the Company as required by Section 386 of the 2006
Act., or
the accounts do not accord with those records, or
the accounts do not comply with the accounting requirements of Section 396 of the 20(k% Act other
than any requirement that the a￿UnIS give a true and fair view which is not a matter considered as
p?rt of an independent ex8minalion', or
the accounts have not been p￿pared in accordance with the methods and principles of the Statement
of Recommended Practice for accounting and reporting by charities lapplicable lo charities preparing
their accounts in accordance with the Financial Reporbng Standard applicable in the UK and Republic
of Ireland IFRS 10211
I have no concems and have come across no other matters in ¢onneetion with the examination lo which
attention should be drawn in this report in order to enable a proper understanding of the accounts lo be
reached.
Terence L Smith
Terence L Smith & Co
Chartered Accountants
38a Station Road
New Milton
Hampshire
BH25 6JX
25 November 2025
Page 5

MUDEFORD WOOD COMMUNITY TRUST
STATEMENT OF FINANCIAL ACTIVITIES
forthe Year Ended 31 March 2025
2025
Total
fund5
2024
Totsl
funds
Unrestricted Restricted
fund
fund
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
197
57,772
57,969
1,754
other trading activities
Investment income
Letting income
3,837
5,703
130,565
3,837
5,703
130,565
564
7,099
119,802
Total
140.302
57,772
198,074
129,219
EXPENDITURE ON
Charltable a¢tivitSes
Charitable Activities
260,886
16,686
277,572
132,032
NET INCOMEIIEXPENDITUREI
1120,5841
41,086
{79.498}
12,8131
RECONCILIATION OF FUNDS
Total funds brought forward
319,865
134,680
454,525
457,338
TOTAL FUNDS CARRIED FORWARD
199,281
175,746
375,027
454,525
The notes fomi part of these financial statements
Page 6

MUDEFORD WOOD COMMUNrrY TRUST
REGISTERED NUMBER: 07592707
BALANCE SHEET
31 March 2025
2025
Total
funds
2024
Total
funds
Unrestricted Restricted
fund
fund
Notes
FIXED ASSETS
Tangible assets
22,314
124,301
146,615
162,013
CURRENT ASSETS
Debtors
Cash at bank and in hand
17,548
169,284
17,548
220.729
13,743
291,921
51,445
186,832
51.445
238,277
305,664
CREDITORS
Amounts falling due within one year
19,8651
19,8651
(13,1521
NET CURRENT ASSETS
176,967
51,445
228,412
292,512
TOTAL ASSETS LESS CURRENT
LIABILITIES
199,281
175,746
375,027
454,525
NET ASSETS
199,281
175,746
375.027
454.525
FUNDS
Unreslrieled funds
Restricted funds
12
199,281
175,746
319,865
134,660
TOTAL FUNDS
375,027
454,525
The charitable company is entitled to exemption from audit under Section 477 of the Companies Act 2006 for
the year ended 31 March 2025.
The members have not required the company lo obtain an audit of ils financial stslements fgr the year ended
31 March 2025 in accordance with Section 476 of the Companies Act 2006.
The trustees acknowledge their responsibilities for
lal
ensuring that the charitsble company keeps accounting records that comply with Sections 386 and
387 of the Companies Act 2006 and
preparing financial statements which give a true and fair view of the slate of affairs of the charrtable
company as al the end of each financial year and of its surplus or deficit for each financial year in
accordance with the requirements of Sections 394 and 395 and which otherwise ¢omply with the
requirements of the Companies A¢1 2006 relating lo financial slatemenls, so far as applicable lo the
charitable company.
Ib}
These financial statements have been prepared in accordance with the provisions applicable lo charitable
companies subject to the small companies regime.
The financial statements were approved by the Board of Trustees and authorised for issue on
25 November 2025 and were signed on its behalf by..
Roger Bu
Trustee
The notes fomi part of these financial statements
Page 7

MUDEFORD WOOD COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS
for thè Year Ended 31 March 2025
ACCOUNTING POLICIES
Basls of preparing the Ilnanclal statements
The financial slaternents of the charitsble company, which is a public benefit entity under FRS 102,
have been prepared in accordance with the Charities SORP IFRS 102) 'Accounting and Reporting by
Charities.. Statement of Recommended Practice applicable lo charities preparing their accounts in
accordance with the Financial Reporting Standard applicable in the UK and Republic of I￿land IFRS
1021 (effective 1 January 20191,. Financial Reporting Standard 102 'The Financial Reporting Standard
applicab5e in the UK and Republic of Ireland. and the Companies Act 2008. The financial statements
have been prepared under the historical cost convention.
Income
Grants and donations are accounted for as they are received. All other income including income tax
recoverable on gift-aid donations is recognised in the Statement of Financial Activities ISOFAI once
the charity has entillemenl to the funds, it is probable that the income will be received and the amount
can be measured reliably.
Expenditure
Liabilities are recognised as expenditure as soon as there is a legal or constructive obligation
committing the charity to that expenditure, it Is probable that a transfer of economic benefit5 will be
required in selllement and the amount of the obligation can be measured reliably. Expenditure is
accounted for on an accruals basis and has been classified under headings that aggregate all cost
related lo the category. Where costs cannot be directly attributed to particular headings they have
been allocated lo actsvilies on a basis consistent with the use of resources.
Leasing
Rentals paid under opeiating leases are charged to the SOFA on a slraighl line basis over the term of
the lease.
Tangible fixed assets
These are capilalised if they can be used for more than one year and cost at least £500.
Leasehold land & buildings are depreciated over the period of the lease, being 20 whole years from
March 2018. and fixtures and fittings over 4 years,. On￿ they are pul into operational use.
Taxation
The charity is exempl from corporation tax on ils charitable activities.
Fund accounting
The Trust's assets are held in Funds for slalutory accounting purposes - the Restricted Fund and
the Unrestricted Fund.
The Reslricled Fund stood at £175,746 at 31 March 2025 12024.. £134.6801, comprising £124,301
fixed assets, £50.000 legacy donation for future renovation of the All-weather Pitch and £1,445 of
unspent grant funding.
The Unrestricted Fund stood al £199,281 at 31 March 2025 {2024'. £319,865), comprising £22,314
Fixed Assets and £176,967 Net Current Assets. After setting aside from Net Current Assets £20.510
for future capital projects, and £21,250 for emergency capital maintenance. the remaining £135,207
constitutes the Trust's operational reserves.
Pension costs and other post-retirement beneflts
The charitable company operates a defined contribution pension scheme. Contributions payable lo
the charitable company's pension scheme are charged to the Slalement of Financial Activities in the
period to which they relate.
Page 8
continued...

MUDEFORD WOOD COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS . continued
for the Year Ended 31 March 2025
DONATIONS AND LEGACIES
2025
2024
Donatsons
Legacies
Grants
197
50,OOD
7,772
921
833
57,969
1,754
Grants Teceived, included in the above. are as follows..
2025
2024
Other grants
7,772
833
OTHER TRADING ACTIVITIES
2025
2024
Fundraising Income
Other incorne
3,837
564
3.837
564
INVESTMENT INCOME
2025
2024
Interest Received
5,703
7,099
NET INCOMEIIEXPENDITUREI
Nel incomellexpendilurel is slated after charginglleredilingl..
2025
2024
Depreciation - owned assets
15,398
17,906
TRUSTEES. REMUNERATION AND BENEFITS
There We￿ no trustees, remuneration or other benefits for the year ended 31 March 2025 nor for the
year ended 31 March 2024.
Trustèès. expènses
There were no trustees, expenses paKI for the year ended 31 March 2025 nor for the year ended
31 March 2024.
Page g
continued...

MUDEFORD WOOD COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS- continued
for the Year Ended 31 March 2025
STAFF COSTS
2025
2024
Wages and salaries
Other pension costs
39,202
747
26.536
387
39,949
26,923
The average monlhw number of employees during the year was as follows..
2025
2024
Administration
No employees received emoluments in excess of £60,000.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unreslrieled
fund
Restricted
fund
Total
funds
INCOME AND ENDOWMENTS FROM
Donations and legacies
1,754
1,754
Other trading actsvitres
Investment income
Letting income
5S4
7,099
119,802
564
7.099
119,802
Total
129,219
129,219
EXPENDITURE ON
Charitable activities
Charitable Activities
121,673
10,359
132.032
NET INCOMEIIEXPENDITURE)
7,546
110,3591
{2,8131
RECONCILIATION OF FUNDS
Total funds brought forw8rd
312,319
145,019
457,338
TOTAL FUNDS CARRIED FORWARD
319,865
134,660
454,525
Page 10
continued...

MUDEFORD WOOD COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS - contlnued
for the Year Ended 31 March 2025
TANGIBLE FIXED ASSETS
Fixtures
and
fittings
Freehold
property
Computer
equipment
Totals
COST
At 1 April 2024 and 31 March 2025
240,747
108,713
3,544
353,004
DEPRECIATION
Al 1 April 2024
Charge for year
84,259
12,037
105,846
2,475
886
886
190,991
15,398
Al 31 March 2025
96,296
108,321
1,772
206,389
NET BOOK VALUE
Al 31 March 2025
144,451
392
1,772
146,615
At 31 March 2024
156,488
2,867
2,658
162,013
10. DEBTORS.. AMOUNTS FALLING DUE MTHIN ONE YEAR
2025
2024
Trade debtors
Other debtors
Prepayments
16.676
528
344
11.605
757
1.381
17.548
13,743
11. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Trade creditors
Social security and other tsxes
VAT
Other creditors
Accrued expenses
391
496
4.780
302
3,896
5.786
463
4.095
123
2,685
9,865
13,152
12. MOVEMENT IN FUNDS
Net
movement
in funds
Al
31.3.25
Al 1.4.24
Unrestricted funds
General fund
319,865
1120,5841
199,281
Restrlcted funds
Restricted funds
134,660
41,086
175,746
TOTAL FUNDS
454.525
{79,4981
375.027
Page11
continued...

MUDEFORD WOOD COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS- eontlnued
forthe Year Ended 31 March 2025
12.
MOVEMENT IN FUNDS- continued
Nel movement in funds, included in the above are as follows.
Incoming
resources
Resources
expended
Movement
in funds
Unrestricted funds
General fund
140,302
1260,8861
1120,5841
Restri¢ted funds
Restricted funds
57,772
116,6861
41,086
TOTAL FUNDS
198,074
1277,5721
179,4981
Comparatives for movement in funds
Net
movement
in fund5
At
31.3.24
At 1.4.23
Unr68trleted fund8
General fund
312,319
7.546
319,865
Restrlcted funds
Reslrtcled funds
145.019
{10,3591
134,680
TOTAL FUNDS
457,338
12.8131
454.525
Comparative net movement in fvnds, included in the above are a5 follows..
Incoming
resources
Resource$
expended
Movement
in funds
Unrg$triGtgd fund$
General fund
129,219
1121.673}
7.546
Restrlcted funds
Restricted funds
110.3591
{10,3591
TOTAL FUNDS
129.219
1132,0321
{2,8131
Page 12
¢ontinued...

MUDEFORD WOOD COMMUNITY TRUST
NOTES TO THE FINANCIAL STATEMENTS - contlnued
for the Year Ended 31 March 2025
12.
MOVEMENT IN FUNDS- contlnued
A current year 12 months and prior year 12 months combined position is as follows..
Nel
movement
in funds
Al
31.3.25
At 1.4.23
Unrestricted funds
General fund
312,319
{113,0381
199,281
Restricted funds
Reslricled funds
145,019
30,727
175,746
TOTAL FUNDS
457,338
182,3111
375,027
A current year 12 months and prior year 12 months Combined nel movement in funds. included in the
above are as follows..
Incoming
resources
Resources
expended
Movement
in fund$
Unrgstriclod funds
General fund
269,521
1382,5591
1113,0381
Restrlcted funds
Restricted funds
57,772
127.0451
30,727
TOTAL FUNDS
327,293
1409.6041
182,3111
13. CAPITAL COMMITMENTS
2025
2024
Contracted but not provided for in the financial statements
98.000
14. RELATED PARTY DISCLOSURES
There were no felaled p?rty transactions for the year ended 31 March 2025.
Page 13