REGISTERED COMPANY NUMBER: 07650610 {En8land and Wales)
REGISTERED CHARITY NUMBE R: 1143390
Report of the Trustees and
Unaudlted Flnandal Statements For the Year Ended 31 May 2024
West Norfolk Rldln8 for the DIMbled
Assoclatlon- The Ma8ple Centre

West Norfolk Rldlng for the Dlsabled Assoclatlon- The Magple Centre
Contents of the Flnanclal Statements
Year Ended 31 May 2024
Trusteeg report
Ito3
Statement of financial actlvities
Balance sheet
Notes to financial statements
6t012
Detailed Statement of Financial Artivities
13
Independent examiners report
14

West Norfolk Rldln8 for the Dlsabled Assoclatlon- The Magple Centr¢
Trustees Report
Year Ended 31 May 2024
The trustees who are a150 directors of the charity for the purposes of company law are responsible for
preparing the Trustee's Annual Report and the financial statements in accordance with applicable law
and United Kingdom Accounting Standards IFRS1021.
Company law requires the trustees to prepare financial statements for each financial year. Under
company law the trustees must not approve the financial statements unless they are satisfied that
they give a true and fair view of the state of affairs of the charitable company and of the incomin8
resources and application of resources, including the income and expenditure, of the charitable
company for that period. In preparin8 these financial statements, the trustees are required to..
select suitable accounting policies and then apply them con515tently,'
observe the methods and principles in the Charities SORP 2019 IFRS 1021-
make judgements and estimates that are reasonable and prudent,.
prepare the financial statements on the going concern basis unless it is inappropriate
to presume that the charltable company will contlnue in operatlon.
The trustees are responsible for keeping adequate accounting records that di5¢105e with reasonable
accuracy at any time the financial position of the charitable company and enable them to ensure that
the financlal statements comply with the Companies Act 2006. They are also responsible for
safeguarding the assets of the charitable company and hence for taking reasonable steps for the
prevention and detection of fraud and other irregularitie5.
In so far as the trustees are aware:
there is no relevant accounts information of which the charitable companrfs
independent examiner is unaware- and
the tmstees have taken all steps that they ought to have taken to make themselves
aware of any relevant information and to establish that the independent examination Is
aware of that information.
08JEcfivES AND AIMS
The aim o* the charity is to promote the objectives of the Riding for the Disabled As50tiation
Incorporating Carriage Driving registered under charity number 244108 by providing disabled people
in the West Norfolk area with the opportunity to ride and/or carriage drive to benefit their health and
well-being. The charity employs a small group of staff, and relies on the continuing help of volunteers.
The trustees are aware of the need to consider that West Norfolk Riding for the Disabled Association-
The Ma8pie Centre is meeting its obligation to provide public benefit. Our ob5ective ststed above
shows that thi5 is our aim, and we endeavour to 3ccornpli5h this objertive.
Page I

West Norfolk Rldlnz for the Dlsabled Assoclatlon- The Ma8ple Centre
Trustees Report
Year Ended 31 May 2024
ACHIEVEMENTS AND PERFORMANCE
In accordance with our ob5ectlves, everyone who comes to the Magpie Centre works towards their
own level of achlevement. Through the provision of riding, carriage driving and a number of equine
related artivities to a diverse range of people, of all ages. experiencing physical, emotional, or social
disadvanta8es we are able to improve the quallty of life for all those that attend. The tremendou5
physiotherèpeutic value of each of the tailored activities we provide is focussed on developing
confidence, self-esteem, soclalisation and communication skills.
The first half of the year proved challenging financially and a number of difficult. cost-cuttin8
measures were taken, in addition to continued fundraising, to ensure the continued viability of the
cent￿. The corner was turned in the new year and we have been fortunate in our horses remaining in
reasonable health, unlike the previous year where we were having to find additional monies to cover
high veterinary costs. We are continuinE to develop other areas of our work, principally riding and
horsemanship for home-schoolers with additional needs. In April we were awarded a National Lottery
Community Grant to enable us to build on this. We have also been awarded a place on the Alternative
Pfoviders Register with local educatlon bodies to provide services and facilities to meet the additional
needs of chlldren and young people with social, emotional and mental health Issues. Tea With A Pony,
an initiative started after lockdown for those living with dementia and thelr carers, once again proved
very popular and had another record year in terms of numbers attending.
Whilst the year has had Its ups and downs. we have been successful in continuing to develop our
activities. We have a commFtted and motivated community embracing the trustees, staff, volunteers
and the immense goodwill and support of the local community without whom we would not achieve
what we do.
FINANCIAL REVIEW
The net surplus for the year ended 31 May 2024 amounted to £31,773. The value of reserves held at
the balance sheet date amounted to £159.916.
During the year. financial support was received via grants. personal and corporate donations.
Additionalty contlnued fundraising ensured the Magpie Centre had sufficient funds to continue Its
activitie5.
STRucfuRE GOVERNANCE AND MANAGEMENT
The charlty is controlled by its governing document, a deed of trust. and constitutes a limited
ompany. limited by gurantee, as deflned by the Companies Art 2006.
West Norfolk Rlding for the Disabled Association- The Magple Centre is a company limited by
guarantee governed by its Articles of Association. It is registered with the Charity Commission Ino
11433901.
Page 2

West Norfolk Rldlng for the Dlsabled Assoelatlon- The Magple Centre
Trustees Report
Year Ended 31 May 2024
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered company number 07650610 (England and Wales)
Re8lstered Charlty number 1143390
Reglstered Offlce
The Magpie Centre
Wallington Hall
Runcton Holme
King5 Lynn
Norfolk
PE33 OEP
Trustees
S Davis
G Mckenna- Resigned 24.01.24
N D Olding
J D Westrop
K Miles
Ichair) B Ford
PAsh
S Wilson
(Treasurer) C Hitchens
E Paul - Appointed 26.04.24
S Whitehead- Appolnted 26.04.24
L Fuller- Appointed 26.04.24 & Resigned 30.08.24
S Wilson
Company Secretary
Approved by order of the board of trustees o
signed on its behalf by:
C Hltchens
Trustee
Page 3

West Norfolk Rldlngfor tht Dlsabltd Assrylatlon- The Maople Centr•
ststement of Flnan¢lal Actlvftles
Yeay Ended 31 May 2024
Unrestrkted RÈstrltt•d
Fund 2024
Fund 2024
Totsl
2024
Total
2023
INCOMING RESOURCES
Charltable activites
100,963
100,963
72.992
Other activitie5
16.028
16,028
12,453
Donatlons and Legacies
45,262
51,262
45.493
Grants
5.650
50.485
56,135
Investment Income
199
199
19
Insurance
500
Total Itxom•
168.ilf
56W5
224,587
219.801
RESOURCES
PEND
Raising Funds
2,531
2,531
3.371
Charltable actlvltles
153,315
37,008
190.323
188,028
Total Expondliure
155.846
37,008
192,854
191,399
Net incomellexpendSturel
Transfer5 between funds
Total funds brought forward
12,256
19,477
31,733
28.402
94,ICK)
34,083
128,183
99,781
Total funds Carr1￿ fon¥ard
106J56
53,560
159,916
128.183
All Income and expendrture derive fr0Tr7 continulng actfjvltles.
The statement of financlal actlvltles Include5 all gains and losses recognlsed durin8the year.
The notes on pages 6 to 12 form part of these atc(wJnts
Pa8e 4

Ye•rÈhded31 Mty2U14
2024
3ozJ
T1￿￿le Fixed
27,675
23.565
5L240
53.077
RENT ASS
Debtor5
Cash at bank and Ir* hand
14.2ZZ
65,771
79,W3
14,222
29,995
95.766
29.995 IffJ.9J8
11.148
68,851
aiEDITORS
Amounts fallln8 duewithin cneyear
11,Jizi
1¥312
14.8931
RRENT
18,681
19.995 108,676
74106
Tots145sets1•ss￿r￿rtI￿bn[Ire%
106.3S6
S3.5￿ 159.916
128,183
NET ASS
106A56 53,$60 159,916
FU14DS
Uorestri¢*d
Restrlcted
io
106,356
53.5fl)
94ICp)
34,083
TAL FU14
159,916
128,
FortheyeaTendlng31 May 24thecomp3nywasenttthdtoexemMhM from tudh under sertth477 ofthe
CompanlesAtt2W6 relaringtosmall companles.
OlreLtors' fespons￿Ill￿es'.
The membET5 have not requlred the companytoobtalftanaudltoiitsfln•ntl8lstatementsforth2year
In ouE5tEon In accordancewith sertEoft476..
Thedlrettor5acknowled8e theirre5pDnslbllltlu forc0Mp￿nE wlth the reoulrementsof theA¢twith respert
toawiuntln8 rwdsand the weparattonofflnaneSal statefflents.
Thetrustees acknowted8ethelr r¢sponslblNtlesfor,'
lal ensurfnÉthatthètharltablE compiny keep5awuntlng re£ordsthat ComplywthSect￿ 386 and 387of
the CompanlesAct ZW6and..
Ibl preparFngfinan¢lal staiernents whKh ol¥ea trueal￿fa1r￿eWOfthest4le0f affalrsof ihe charttable
£ornpafjya5 atthe endofeathflnandal yedra*)dof itssurplus ordÈfic￿foreach flnancial year in accordance
wlth rhe requ1￿ments01Seth0Th5394 and 395 and V4h￿h otherwise cornplywlth the requlrementsof the
Companle5Act2(￿relatinB toflnandal ststemenrs. $0 lar as applkablettsthe tharitable company.
Yhe5efirtanclal st*etnents h8¥e been prepared In accordaruwlththeprn￿5lonsappllrab￿lo￿arftable
tomp•nle$subJe£tto thesmall companle5 reglD*.
The flnantlal 5taternents wereapproved bythe boardolTrustees4nd authorfsedforlssueon
4nd were sWed on its behaMb¥.'
CHlt¢hens
Th00￿810￿ paiuPa8e6to X2foMI p*ttslthwfln4nd•lslat4monts.
PaBe5

West Norfolk Rldlng for the Dlsabled Assoclatlon- The Magple Centre
Notes to the Financlal Statements
Year Ended 31 May 2024
l. Accountln8 Pollcles
1.1 Basls of Preparatlon
West Norfolk Ridin8 for the Disabled Association - The Magpie Centre is a charitable company in
England. The address of the registered office is given in the charity irsformation on page 3 of these
financial ststements. The nature of the charity's operations and principal actlvsties are destribed on
Page 2.
The charity constltutes a public benefit entity as defined by FRS 102. The flnanclal statements have
been prepared in accordance with Accounting and Reportln8 by Charities: 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 issued in October 2019, the
Financial Reporting Standard appllcable in the United Kingdom and Republlc of Ireland IFRS 1021, the
Charities Act 2011, the Companies Act 2006 and UK Generally Accepted Accounting Practice.
The financlal statements are prepared on a going concern basis under the historlcal cost convention,
modified to include certain items at fair value. The financlal statements are presented in Sterling
which is the functional currency of the charlty and rounded to the nearest £000.
The si8nlflcant accounting policies applied in the preparation of these finantlal statements are set out
below. These policies have been consistently applied to all years presented unless otherwise stated.
1.2 Golng concern
The financial statements have been prepared on a going concern basis as the tru5tee5 believe that no
material uncertainties exist. The trustees have considered the level of funds held and the expected
level of income and expenditure for 12 months from authorising these financial statements. The
budgeted income and expenditure is sufficient with the level of reserves for the charity to be able to
continue as a going concern.
1.3 Funds
Unrestrirted funds are available for use at the discretion of the trustees in furtherance of the 8eneral
objectives of the charlty and which have not been designated for other purposes.
Restricted funds are funds whlch are to be used in accordance with specific restrlctions imposed by
donors or which have been raised by the charity for particular purposes. The cost of raising and
administering such funds are charged against the specific fund. The aim and use of each restrirted
fund is set out in the notes to the finan¢ial statements.
Pa8e 6

West Norfolk Rldlng for the Dlsabled Assoclatlon- The Ma8ple Centre
Notes to the Flnanclal Statements
Year Ended 31 May 2024
l. Accountlng Pollcles
1.3 Funds Cont....
Endowment funds represent those assets which must be held permanently by the charity, princlpally
where grants have been given solely for the purpose of purchasing an asset. Income arising on the
endowment funds can be used in accordance with the objects of the charity and 15 included as
unrestrirted income. Any capital gains or losse5 arising on the investments form part of the fund.
InvÈ5tment management charges and legal advice relating to the fund are charged agalnst the fund.
1.4 Incomln8 Resources
All incoming resources are included in the Statement of Financial Actlvlties ISOFAI when the charty is
legalty entitled to the income after any performance conditions have been met, the amount can be
measured reliably and it is probable that the Income wlll be received.
For donations to be recognised the charity will have been notified of the amounts and the settlement
date in writing. If there are conditions attached to the donation and this require5 a level of
performance before entitlement can be obtained then income is deferred until those conditions are
fully met or the fulfilment of those Conditions is within the control of the charlty and It Is probable
that they will be fulfilled.
No amount is included in the financial statements for volunteer time in line with the SORP.
Fixed asset gifts in kind are recognised when receivable and are Included at falr value. They ère not
deferred over the life of the asset.
Income from other activitles include5 income earned from fundraising events and tradlng artivitles to
raise funds for the charity. Income is received In exchange for supplying goods and Services in order to
raise funds and is recognised when entitlement has occurred.
1.5 Expendlture
All expenditure 15 accounted for on an accruals basls ènd has been classified under headings that
a8gregate all costs related to the category. Expenditure is recogn15ed where there is a legal or
constructive obligation to make payments to third parties, It is probable that the settlement will be
required and the amount of the obligation can be measured reliably.
1.6 Tan8lble ftxed assets
Tangible fixed assets are stated at cost lor deemed tostl or valuation less accumulated depreciation
and accumulated impairment losses. Cost includes costs directly attrlbutable to making the asset
capable of operating as intended.
Page 7

Wèst Norfolk Rldln8 for the Dlsabled Assoclatlon- The Magple Centre
Notes to the Flnan¢lal Statemeftts- con*lnued
Year Endèd 31 May 2024
1.6Tan8ible 1Sxed a55ets Cont_.
Deprèciation is provlded on all tsngible fixed assets, at rates calculated to write off the ¢ost. less estimated
rèsldual value, of each asset on a systematic basis over its expected useful life as follows:
uildin8s and Bazebo
Toilets and portacabins
Stables
Rldlng equlpment
Flxtures and fittln8S
Horse box
Computer equipment
20% straight Ilne
IO% straight line
5% straight line
20% straight Ilne
20% straight line
20% straight line
20% straight Ilne
1.7 TaxatSon
The charity Ss an exempt charsty within the meaning of schedule 3 of the Charltles Act 2011 and is
consldered to pass the tests set out in Para8Taph I Schedule 6 Finance Act 2010 and therefore it meets the
definitlon of a charltable company for UK corporation tsx purposes.
IA Fund accountlng
Unrestricted funds can be used In accordancè with the charitable objettives at the dlscretlon of the trustees.
Restrirted fund5 can only be used for partlculèr ￿$trIcted purpose5 Within the oblects of the charfty.
IlestTiCtions arise when specified by the donor or when funds are Faised for particular restricted purposes.
Further explanation of the nature and purpose of each fund 15 included in the notes to the flnanclal
5tstements.
2. thher A¢dvltle5
2023
Fundraisln8 Everrts
16,028
12,453
3. Investment lficome
2024
202>
Deposit account Interest
199
19
4. 14et In¢omel{Expendlture)
Net incomellexpenditurel Is stated after charginpJl¢redttln81'.
2023
Depreciat5on- owned assèts
IProfitllLoss on dispoal of flxed assets
6,337
15001
9.057
17501
Page 8

Westl4Orfo￿1ld1￿fQrth￿ tMsabWAsso¢latkr+.The M•8ple C•rtrt
Notes toth Ftwn¢lal Slatémeiits.¢oniinued
Y•orEnded 31 M•y 2024
5. Remunernwon Ind OEn
There were no tru5tees' rernUner3tknorot￿r i*nefitsfortheye¥rendEd 315t May 2024 norforthe
yearended 31st May2023.
ThereweTe ntrtru5tees' exp2nses pald fortheyearended 31st May2024 northeyearended 31st May
2023
Thetotal staff costs and employee benefftswere as follows:
2024
2028
Wa8e5 and 5alarie5
Sodal security
Defined c1￿￿but￿7n pen51on ￿sts
101,050
91,348
1,677
102.727
1,273
91621
Noemployees re¢¢￿ed totalemployee bEneffts lexcludFng employerpensh)n ¢05t51 of morethan £fA).fO).
Total
Funds
Fund
Fund
Ineomeathd Ethdowmènts Frly
Donatlons and le8a¢les
41.6a3
45A93
awrfi*bl* *ctPdldos
f)onèVonstor rhJl¢
72,992
72.992
Gran15
Insurance
Othertradlng
Investment hcome
52,949
500
12.453
19
35,395
88,344
12,453
19
Totsi
w￿56
3924S
219
EKpendtture Ori
Ralslngfunds
3,3n
3,371
charkab￿
148,823
39.205
18&028
Yotsl
152.194
191J99
NetIr￿1fte/lE￿￿NdIiUrnJ
28.362
28.402
Rowidll•Uon ol Funds
Totslfunds IKowhtfrJrw8rd
65,738
34.043
99,781
T•t*lfvfftdsc•rrl¢dfon¥wd
94.1
34,083
Page9

West P4orfolk RkllrKforthe 015abled As5￿18t]0n- The Ma8ph C•thr•
Not•s to the Flnanclal StatemÈnts- (ontlnue(t
Year Ended 31 May 2024
7. Ta￿ltsIe Fl¥ed Assets
BulldlnB5
and
Tollets
and
portacablns
Stables
orse5
At 1st June 2023
Addltions
Disposals
At 31st May 2024
10,501
8.153
16,417
35,600
12.000
17,5001
40,100
10.501
8,153
16,417
Depreclatlon
At 15tJune 2023
Charge for year
Depretiation or¥ Oisp0531
At 3tst May 2024
6,982
2,019
8,153
9,851
821
9,￿1
8,153
10.672
N•t Bookvalue
At 31st May 2024
1.51h)
5.745
40,1(K)
At 31st May 2023
3.519
6.566
Flxtu
Rldlng
equipment
Morsè
box
COmp￿er
•qulpméTrt
Cost
At 1st June 2023
Additions
Disp05als
At 31st May 2024
44,686
6,922
14,CQO
1,953
138.232
12,0
121,5(KJl
128,732
114,CfJOI
44,686
6.922
1.953
Depreclatlon
At 1st lune 2023
Charge for year
DeprecSation on Disposal
At 3tst May 2024
37,582
3,398
6.634
99
14.C
1,953
85,155
6,337
114,0(xil
77.492
114,OC*JI
40.980
6,733
1,953
Net eool( Value
At 31st May 2024
189
51240
At 3tst May 2023
7.104
53,077
Debtors: Amounts Fallln8 Due Wtthln On• Year
2024
Debtors
Other Debtor5
Prepayments
14,130
17
75
14.222
11,050
98
11.148
Page 10

West Nortolk Ridlng for the Disabled Association- The M48ple Centre
Notes to the Flnanclal Statements- ￿ntInued
Year Ended 31 May 2024
9. Credltors: Amounts Falllni Due Wllhln One Year
2024
2023
Purchase Ledger
Attruals
Social Securlty
30
3,735
665
493
4,893
802
1,312
10. Movernert In Funds
At
0110612023
Incoming
re50ur¢es
Resourc
expended
At
31105110Z4
Transfers
Unrestrltted fvnds
General fund
94.100
168,102
155,8461
106.356
Restrlcted funds
Restricted fund
34,083
56,485
137,008
53,560
Total Funds
224.587
1192,854)
159,916
Comparatlve for movement in funds
At
Incomln8
0110612022 resources
Resources
expended
At
3110512023
Transfers
Unrestrlrted funds
General fund
65,738
180.556
1152,1941
94,100
Restrlrted funds
Restrlcted fund
34,043
39,245
139,2051
34,083
Total Funds
99,781
219MII
1191.3991
128.183
Page 11

West P4orfolk Rldtng for the D15abled AssoclatTon. The C•ntre
Note5 to the HnaRcFal Ststements- contlnued
Year Ended 31 May 2024
I￿ Movement tn FUnd$-￿￿tInued
Details of the restrict￿ assetfunds are asfollows..
At
Incom￿ R•sources
At
0110612023 resour¢es
•xpond4d Trdnsf*r$ 3110512024
Restrlcted Fixed Assets
Private Donor I
Horseworld Trust
CIN
23,404
11,8391
2,000
12.1)001
23,565
900.fX)
7,677
102
I9￿>
110,1761
11021
9,991
7,492
Morri5ions
RDA National
Bluespark Foundation
Communlty Councilloi Grant
Lottery
NCF
250
1,000
900
36.094
2,250
250
16001
12561
117.13SI
18.959
2,250
Lynn Priory
Oonation
Masonic Charity
15001
15001
15,LJJOI
500
34.083
37
53.560
Prlvate Donor I
HorseworfdTru
- For the purchase of a Trew horse
. Fof hay steamer
- For stafftn& trainin& act*vitses. general or8anisational. and horse Pufchases
- Fof protertive clothing
- For Carrla8e diivertYainin8
- Forfundingtowards regionals and nationa15
-To purchase new equipment for the care of the horses
- Lottery main grant
- Learningthrough the r*ding proBfamme
For repairs to the Gator
- For Carriage Repairs
Fortore costs
Morrlslons
RDA Natlr)nwl
Bluespark Foundatlon
Communlty Cl￿n¢￿tIor Grant
lottery
NCF
Lynn PrEory
Do￿110
Masonk Ctharliy
11. Related Party Dlxlosure5
There were no related partytransactlgns for the year ended 31st May 2024
Pa8e 12

WestNorfolk Rldln¥forthèglsablod Aswdatkn-ThTr C•ntre
DetaWSt•tsm¢ntof FIMn¢l•lAtW¥iies
Vt•rEnd•d31 M*¥2024
IrKorn¢And Endrthynonts
Donattonsand teytbes
Donations
Gfft ald
45,261
44.020
1.473
45,493
45,262
Sl262
Grnnts
Grants
50,485
50A85
54115
s4tss
88.344
5,650
IXhpractl¥lYes
Fundraislng everts
I6￿28
Deposlt actount Intttest
199
19
Insurante
Donatlons fr)r rkllng
SLh)
l(M),963
l(Q.963
168.102 224W7
56,185
219,101
Exp¢ndllure
R￿In8 dDnthrb and lryadES
FundraWn8 expet
1531
3,371
DIre￿ Ponycosts
Pony Insurnnte
Wa8es
Employets Penslon
Staff Trdinin8
Rent and rates
UBhL14eat& Power
Ih5ur4rKe
Aepalrs and maln1eTha￿e
Telephone
Computef Costs
Pdntln& Posta8e andstatknnery
TradeSubscrIpt￿￿S
Waste Collettlon
Motor Expenses
Travel and Refreshments
AdYerttslnÈ
Accountanq Fees
(Dnsultsnry Fees
LeÉalAdmln
Bank& Paypal thar8es
Other Intere# PaYa￿e
Cbrd Charge5
Depreclalbn
IProfitllLosson saleOltsnÈlb￿flXed a55ets
Bad Debts
Sundrles othercosts
7.595
1,252
14.012
23.239
Il165
77.038
L677
42
7,365
4,441
8.173
43.624
11068
9L3
1,273
LO53
7,250
L354
7.071
4,398
727
369
559
L874
475
1.105
1.330
95
31K)
2m6
273
479
12
13A17
I￿50
L677
$60
7365
4841
O.IY3
L750
724
252
97
745
358
2.397
724
745
358
1397
2,057
552
318
1057
$52
69
4.498
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Pa8e 13

West Norfolk Rldln8 for the Dlsabled Assoclatlon- The Ma8ple Centre
Independent E¥amlnation
Year Ended 31 May 2024
I report to the charity trustees on my examination of the accounts of the Company for the year ended
31 May 2024, charity number 1143390, which are set out on pages I to 13.
Responslbllttes and basls of report
As the charitvs trustees of the Company land also it's directors of the company for the purposes of
company lawli you a￿ responsible for the preparation of the accounts in accordance with the
requirements of the Companies Act 20061.the 2006 Act'l. Having satisfied myself that the accounts
of the Company are not requlred to be audited for this year under Part 16 of the 2006 Act and are
eligible for Independent examlnation, I report in respect of my examination of your charitrfs accounts
as carried out under section 145 of the Charities Act 20111"the 2011 Act"). In tarrying out my
examination. I have followed the Directions given by the Charity Commission (under settion 145{5llbl
of the 2011 Act.
Independent Examlners Statement
I have completed my examination. I confimi that no matters have come to my attention in conftertion
wlth the examination giving me cause to believe that in any material respect:
accounting records were not kept in accordance with sertion 386 of the Companies
Act 2006,. or
the accounts do not accord wlth such records. or
the account5 do not comply with relevant accounting requlrements under section 396 of
the Companies Act 2006 other than any requlrement that the accounts give a 'true and
fairf view which is not a matter considered as part of an independent examination: or
the accounts have not been prepared In accordance with the methods and principle5 of
the Statement of Recommended Practice for accounting and reporting by charities
I have no concerns and have come across no other matters in connection with the examination to
which attention should be drawn in this report in order to enable a proper understanding of the
accounts to be reached.
ezla Benefer FCCA
Hayhow & Co
Chartered Certlfied Accountants & Audltors
19 Kln8 Street
Kln85 Lynn
t4orfolk
PE30 IH8
Date:
a aXLF-
Page 14