Bridge
Builders
BRIDGE BUILDERS MINISTRIES
(a company limited by guarantee)
Company numkn. 07336077
TRUSTEES. REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 AUGusf 2023
Iiiilliiiiii
*ACZQ9C75•
2e40Y2024
COMPANIES HOUSE
A13
#105

BRIDGE BUILDERS MINisfRIES
(a rompany limited by guarantee)
LEGAL AND ADMINisfRAnVE INFORMATION
Registered Charity no:
1145235
Company Registration rto:
07336077
Trustees:
Revd Stephen Cobbin
Ven Nicola Groarke
Robert Quarton
Revd Ruth Whitehead
Revd Andrew Corsie
Liz Griffrths
Registered Office:
16 Horse Fair Lane
Cricklade
Swindon
SN6 6BN
Bankers:
The C(Foperative Bank
PO Box 250
Delf House
Southway
Skelmersdale
WN86
Independent Examine
Dovey Accountsw Seryices Ltd
Heyford Park House.
Heyford Park
Upper Heyford.
Bicester
OX25 5HD

BRIDGE BUILDERS MINISTrIES
(a company lirnited by 8uarantee)
TRUSTEES. REPORT FOR THE YEAR ENDED 31 AUGusf 2023- contlnued
The trustees. who are a19) dirertors of the charttable company for the purposes of the Companies Act.
submit their annual report and the financial statements for the year ended 31 August 2023. The trustees
have adopted the provisions of the Statement of Retommended practi￿ ISORPI: Accounting and
Reporting by Charilie5 {FRS 102) in preparing the annual report and financial statements of the tharity.
Trustees and Directors
The Tn￿tee$ who ser¥ed during the year **re:
Ven Nicola Groarke (appointed 26 September 20181
Revd Stephen Cobbin lappointed 26 September 20181
Robert Quarton lappointed 11 April 20191
Revd Ruth Whitehead (appointed 11 April 20191
Revd A￿1reW Corsie lappointed on l March 2020}
Elizabeth Griffiths was appointed as Executive Director on l November 2019.
Objertives and Activities
The charity's objectives are-. 'to advance the Christian faith and in particular the go5￿1 of redemptlon
and reconciliation forthe benefit of the public. by every available means but particularly (without limiting
the generality of the foregoing) by the provision of training arKI education in the principles and prartice
of Christian community-building and peace-makin& and {sn furtherance of Christian comrnunity-building
and peace-making) by the provision of advice. mediation. consultanoi and other services, to Christian
church leaders members and otherf.
Arising from this. Bridge Builders. vision is to see people resourced to live the tron5forming Gospel of
reconciliotion in every Ospert of their lives..
Bridge Builders seeks to athieve rts objertNes primarily by running a programme of training courses and
workshops for those in churches. charities. and other Christian o￿anIsations. Additionally, it provides
mediation. coachin& consultancy and other services for churth leaders, Christian organisations. and
individuals.
The full range of 8ridge Builders. actNities is covered on its webslte=
VW•4w.bbministries.o
In exercising their power50rduties. the trustees confimi that they have complied with theirduty to have
due regard to t1￿ gUIda￿e on public benefft published by the Charity Cornmiswn.
StnKture. Governan￿ and Management
8ridge Builders Ministries is a charitable company limited by guarantee. It Was fomied on 4 August 2010
and is governed by a Memorandum and Articles of Association and operates under the name 'Bridge
Builders.. It was registered with the Charity Commiswn with effect frorn 29 De￿rnber 2011.

BRIDGE BUILDERS MINisfRIES
{a company limlted by guarantee)
TRUSTEES, REPORT FOR THE YEAR ENDED 31 AUGUST 2023. continued
Stn*iwe. G¢J¥ernance and Managen*nt (continued)
The work known as'8ridEe Builder5. was originally set up in the UX by the London Mennonite Centre in
1996. drawing much of its inspiration from pioneering work in conflirt transformation by Mennonites in
the USA. The charity became independent during 2011. and the work was transferred to il from the
London Mennonite Centre on 31 Au8USt 2011.
Trustees are apwinted by invitation of the existing trustees. subject to a Satisfactory interview.
Prospertive new trustees are invited to attend a Trustees. Meeting prior to forn)al appointment. and to
ttend one of Bridge Builde￿ courses. for induction and trainire purposes.
The Eovernan￿ of the charity is vested in the Board of Trustees. The full Board of Trustees continues to
meet at least two times per year as per the Charivs Articles of Association.
Day lo day operational management responsibility is held by the Executi￿ Diredor {Liz Griffithsl
A full pro8ramme of open residential courses was Tun during the year with a total of 68 participants:
4-9 September 2022: Transfomiry ConftKt 1 19 participants
29 January - 3 February 2023: TTrn5l0mbi￿ Conflict 1 17 participants
27 March - l April 1023: Trarsforniing Confiirt 2 12 participants
14- 19 May 2023: Transforn)in8 C•nfii¢t I for 5eniorChfi5tian Leadeys 20 pa￿¢pants
We also ran 7 online and 27 in-person training workshops around England and Wales, of half-day to four
day5 in duratitin, at the request of the fol￿wIn8 ran8e of church bodies..
South Derbyshire Deanery
• URC Wales
Church in Wales
Wycliffe Hall. Oxford
Holy Trinity Church. Brusse15
URC SE Synod
Portsmouth Pathway Theological Trainin8 Scheme
URC North Thames Ministers. Spring School
CPAS Arrow Programme
Swindon Deanery
and the Church of England dioceses of=
• Newcastle
Gloucester
BTi5tol
Truro
Derby
Durham
Leeds
Liverpool
Guildford
London (Stepney Areal
London Iwillesden Area Senior Leadership Team)

BRIDGE BUIiDEIiS MINISTrIES
(a company Ilmited by guaranteel
TRUSTEES. REPORT FOR THE YEAR ENDED 31 AUGUST 2023- continued
These workshops were for a range of different participants including cufates. diocesan staff. parish
clerevi local church ministers. senior dergy. training incumbents. those training for ordained ministry
and local church leaders. tK)th lay and ordained. A totsl of 586 people participated in these workshops
(464 in per50n. plus 122 onlinel-
To facilitate ongoing support and training for those wh) had attended the foundation residential
trainin& h new programme of short online training opportunities. called "Just Remind Me" was piloted
with two free of charge workshops. A total of 20 people attend these. and it is hoped to extend this
proEramme as part of an online subscription programme
This means that during 2022-23. 6C6 people attended Bridge Builders training.
Alongside the trainin& we also provided coachin& mediation and otherservices at the request of church
organisations and individuals. Due to the demand on time and resources involved. we have limited the
number of large xaSe group intervention5. and focu55ed on a 5rnall amount of individual mediation
work. t>uring the year. Bridge Builders:
conducted 6 inteTventiOn5 either directly or using Bridge Builder< partners. with other
enquiries handed on to Bridge Builders. partners as outsÈde referrals
led a number of work consultancy or coathing sessions ft)r •ndNiduals and groups in church
leadership roles
Bridge Builder5. work continues to be very well received with positive feedback highlehting both the
quality and the impart of the training for those in ministry. The following quotes from evaluation forms
give a flavour=
is v￿rkShOp has opened my thinking to group dynamics arKI People￿ styles in communicalion.
A wonderfulty insightful and practical workshop."
Church administrator (September2022. Hondliftg Confiirt Construrtivefy. I doy worksht)pJJ
"Reèl and significant growlh in self-awareness. Learning embodied and constructed so well. Great
developrnent for enriched relationships and improved leadership.
Church of England Teom Vicar (Jan 2023. Transforming Conflirt IJ
"It's a really good springboard. particularly w￿n beginning to think how members of a team might
manage conflict differentl¢.
Loy pastorol ￿SiStant IMoy2023. Handling Conllirt Construrtively. I day worbhopj
"Brilliant - enlighteninE, engagin& challenging and totally relevant to my leadership and ministry.
delivered by excellent facilitators".
Salvation Army Divisional Leader (M(ry2023 Tronsfomiinq Confii(t I forsenior Chn5tion Leaders)
Flnandal Revlew
Bridge Builders had a deficit for year ended 31 August 2023 of£19.979 compared to a surplus in 2022
of £8.035.
Total income for the year was £105.104- a decrease of 1.2% from E106. 970 in 2022.
The principal Sou￿$ of funding during the year were;

BRIDGE BUILDERS MINisfRIES
(a company limited by guarantee)
TRusfEES' REPORT FOR THE YEAR ENDED 31 AUGUST 2023- contlnued
fees frorn training courses and workshops of £8933012022 £82.595};
mediation fees of E6.52212022 £9.3681:
grants of £1.2(KI {2022 £1.2W): and
donations received of £6.76412022 £13.102).
Total expenditure for the year was £125.672 - an intrease of 27% from £98.935 in 2022 - principallv
derived from increased staffing costs a5 we employed an additional part-time training provider to
increase our delivery capacity. and a 26% increase in training venue costs. refiecting the full retum to in-
person training, as well as the forced rnovement to new, more expensive venues following the closuve
of our previous provider.
The principal items of expenditure were:
staff costs
£65.374
venue c05ts for courses
£34.356
training partner service costs £13.383
operating costs
£10.082
12022 £42,804)
12022 £27.2311
{2022 f 15.296)
12022 £10.476)
Net assets of the charity at the year-end were £66.86712022 £86W61.
As on 313t August 2023 there are no monies in restrirted fvnds.
The truste￿, poliry has been to hold an unrestricted operational reserve representing a minimum of six
month5. Worth of expenditure. Based on expenditure levels associated with the current operating model.
on 31st August 2023 this has been achieved.
Risk Managemenl
The trustees review major risks on an ongoing basis. and through the Trustee Board meetin8s. In this wav
the Trustees are ensuring that they are paying due attention to the stability of our operation5 and to our
duty of care to both our staff and programme participants. Financial sustainability and Strateg￿ risks are
also constantly considered.
Durin8 the period, the most significant risk was deemed to be sustainability of the delivery l operating
model that could result from potential unavailability of key staff. Linked to this, is the additional risk
lissue of the long-tenn sustainability of an organisation that is dependent on the skilts and expertise of
a single key member of staff who is provtding all the organisation's operational leadership. and the
majority of its training delivery and the associated financial income. These risks continue to be reviewed
and miligation5 sought by the Board of Tft￿tee$- including establishing thinking for rnid to lonBer term
staffin8 Options / methods.
Plan5 for F￿Ure Periods
The impact of the Covid pandemic is Still being felt in the provision of a mix of in-person and online
resources to clients. However. the￿ has teen a growing confidence in clients to return to more face-tO-
face seNite provision and this is expected to continue. Whilst residential courses have remained popular,
there has been an increasin8 desire ffom clients for more beswke training. to meet specific and local
needs. and we fully expect this trend to continue into the future. Indeed. our tonfidence here has led to
the recfuitment of an addl￿)￿al part-time mernberof staff who has cofismlerable training and mediatton
experience to help facilitate and grow this aspett of our work.

BRIDGE BUILDERS MINlSfRIES
la cornpary limited by guarantee)
TRUSTEES, REPORT FOR THE YEAR ENDED 31 AUGUST 2023- continued
The investment in bespoke training is a150 allowing Bridge 8uilders to continually bring the benefrts of
thi5 work into the ongoing development of resources for residential courses.
Bridge Builders will continue to provide, as part of its core capability, a range of mediation services,
which, based on our experience to date. we see leading to additional training and fesourcing
opportunities.
Notwrthstanding the provision of mediation services. the primary focus for Bridge Builders 8oin8 forward
will be the continued development and provision of high-quality training to meet the evolving needs of
individual and corporate clients.
Whilst clients continue to experience challenges in their budgets. we strongly believe that Bridge Builders
has the skills and capabilities to meet the current and emerging needs of both existing and new clients
in an increasingly tense and anxious world.
Tru5tees' Respon5ibilitie5
The truste￿ {who are also the directors forthe purpose of company law) are responsibbe for preparing
their report and the financial statements in accordance with applicable law and United Kingdom
Accounting Stsndards (United Kingdorn Generally knepted AccountinE Practice).
Company law Tequires the trustee5 to prepare financial statements for each financial year. Under ihat
law the trustees must prepare the financial ststements in accordance with United Kingdom Generally
Accepted Accounting Practice (United Kingdom Accounting Standards and applicable lawl. Under
company law the trustees must not approve the financial statements unless they are satisfied that they
give a tTiJe and foir view of the State of affair5 of the charrtable company and of the incoming resources
and application of resource5. including the income and expenditure, of the charitable company for that
period.
In preparing these financial ststements. the tn￿ee$ are required to:
select suitable accounting policies and then apply them consistentlv:
Obse0￿ the method5 and principles in the Charities SORP-
make judgements ar￿ estimates that are reasonable and prudent:
state whether applKable UK Accounting Standards have been followed. subject to afty material
departures disclosed and explained in the financial statements: and
.prepare the financial statements on the going concem basis unless it is inappropriate to
presume that the charitable company will continue to operate.
The trustees are responsible for keeping adequate accounting records that a￿ suffitient to show and
explain the charitable compan￿$ transactions and disclose with reasonable accuracy at any time the
financial position of the charitabSe company and enable them to ensure that the financial statements
comply with the Companies Act 21x16. They are alg) responsible for safeguarding the a55ets of the

BRIDGE BUILDERS MINISTrIES
qa (ompany lirnited by guarantee)
TRUSTEES. REPORT FOR THE YEAR ENDED 31 AUGUST 2023- contlnued
company and hence forLiking reasonable steps for the prevention and detection of fraud and other
irregularities.
This report has been prepared in accordan￿ with the special provisions relatin8 to companies subjert
to the small companies. regime within Part 15 of the Companies Act 2(K)6.
This report was approved iythe Board on 2V0312024. and signed on their behalf bv:
Chair of Trustees
Rev. Steve Cobbin

BRIDGE BUILDERS MINisfRIES
la company limited by guardntee)
INOEPENDENT EXAMINEIYS REPORT TO THE TRusfEES OF BRIDGE BUIU>ERS MINISTRIES
I report to the tfustees (who are a150 Dirertors for the purpose of company law) on my examination
of the financial statements of Bridge Builders Ministries I'the charitable cornpanrfl for the year ended
31 August 2023 which comprise the Statement of Financial Attivittes. the Balance Sheet and related
notes.
This report is made solety to the charivs trustees. as a body, in accordante with section 145 of the
Charities Act 2011. My work has been undertaken so that I might state to the thariWs trustees those
mattefs l am required to state to them in this report and for ￿ other purpose. To the fullest extent
permitted by law, I do not accept or assume resp)nsibility to anyone other than the charity and the
charitvs trnstees as a body. for my worl for this report. or for the opifirons I have formed.
Re5p¢>nslbllities and basis of report
As the trustees of a charitsble company. you are responsible for the preparation of the financial
statements in accordance with the requirements of the Companies Art 2(K161'the 21￿ ACYI.
Having satisfied myself that the financial statements of the charitable company are not required to be
audited under Part 16 of the Act and are eligible for independent examination. I report in respert of
my examination of the charitable companlls financial statements carried out under seCt￿n 145 of the
Charities Act 2011 1.the 2011 ACVI and in carrying out my examination I have followed all the
applicable Directions given by the Charity Commission under settion 1451511bl of the 2011 Act.
An independent examination does not involve Eathering all the evidence that would be required in an
audit and consequently does not cover all the matters that an auditor considers in gprfing their opinion
on the financial statements. The planning and condurt of an audil goes beyond the limited assurance
that an independent examination can provide. Consequentty. l express r¢0 opinion as to whether the
financial Statements present a 'true and fairf view. and my report is lirnited to those specific matters
set out in the independent examinerfs statement.
Independent examinerfs slatement
I have completed my examination. I confirni that Th) material matters have come to my attention in
connection with the examination giving me cause to believe that in any material respect:
accounting records were not kept in respect of the charitable company as required by section
386 of the 2{￿￿ Act: or
the financial statements do not accord with those records- or
• the financial statements do not comply with the accounting requirements of settion 396 of
the 2Q)6 Act other than any requirement that the financial statements give a 'true and fair
view which is not a rnatter considered as part of an irKlependent examination- or
the financial statements have not been prepared in accordan￿ with the rnethods and
principles of the Statement of Recommended Practice for accounting and reporting by
charities applicable to charities preparing their accounts in accordan￿ with the Financial
Reporting Standard applicable in the UK and Republic of Ireland {FRS 1021.

BRIDGE BUILDERS MINISTrIES
la c(mpany limlted by gu¥antee)
INDEPENDENT EXAMINEWS REPORT TO THE TRusfEES OF BRIDGE BUILDERS MINISTRIES -
continued
Independent examinerfs statement (continued)
I have no concerns and have come across no other matters in connertion with the examination to
which attention should be drawn in this report in order to enable a proper understanding of the
financial statements to be reached.
Mr J Dovey FCCA
Date.....

BRIDGE BUILDERS MINisfRIES
la company limbted by guarantee)
DETAILED INCOME AND ExPEND￿VftE ACCOUNT
FOR THE YEAR END 31- AUGusf 2023
Income
Fund
Operatloftal
Total
Total
Unrestrirted
Funds
2022
Note
INCOME FROM
Charitable artivitie5
96595
92.611
Grants
L2(Kl
Oonations
6.764
6.764
13.102
Interest
1.134
105.104
105.104
106.970
EXPENDIWRE ON
Charitable actbvit
115.117
115J17
88.059
Operating costs
Management artd
adrninistration
10.082
IOA182
10.476
473
473
125,672
125.612
NEf IEXPENDMIREIIINCOME
I￿979)
119W9}
8.035
Fund balanos at start of year
86J46
78,811
FUND BALANCESAT END OF
YEAR
66,867
66067
86.846
io

BRIDGE BUILDERS MINisfRIES
(a company limited by guarantee)
BALANCE SHEEr
AS AT 315f AUGU5f 2023
2022
CURRENT ASSETS
Debt¢>rs
16J60
12.490
Cash at bank and in hand
78340
101295
113,785
CURRE14T UABiunES
Creditors: amounts fallin8 due within oneyear
26.939
NET CURRENT ASSETS
66￿67
86.846
TOTAL NEf ASSETS
66J67
86,846
Representing:
UNRESTRicfEO INCOME FUND
1193791
8.035
BB Fund General
Fund balances at siart of year
47AOO
39,365
UNREsTRI￿Eo OPERATIONAL RESERVE
35.000
66J67
86,846

BRIDGE BUILDERS MINisfRIES
(a company limited by guaranteel
For the year ended 31 August 2023 the company was entitled to exemption from audit under
Section 477 of the Companies Att 2(X)6 relating to 5fflall companies.
The members have not required the company to obtsin an audit of its financial ststernents for the
year ended 31 August 2023 in accordance with Section 476 of the Companles Art 2￿6.
The trustees acknowledge their responsibilities for.
lal ensuring that the company keeps ?ccountirE records whith compty with Sections 386 and 387
of the Companies Act 2(￿ and
{bl preparing financial statements which gNe a tn￿ and fair view of the state of affairs of the
company as at the end of each financial year and of its surplus or deficit for each financial year in
accordance with the requirements of Serti0Tr5 394 and 395 and which otherwise comply with the
requirements of the Companies Art 2￿6 relati￿ to financial statements. so far as applicable to
the company.
The financial statements have been prepared in accordance with the special provisi0Tr5 relating to
companies subject to the small companies. regime within Part 15 of the Companies Act 2006.
The financial statements were approved by the tru5tee5 On 2110312024 at)d signed on their behalf
Chair of Trustees
, Reverend Steve Cobbin
12

BRIDGE BUILDEIS MINisfRIES
la company Ilmlted by cuarnntee)
NOTES TO TH£ FINANCIAL STATEMENTS
YEAR ENDED 31 AUGusf 2023
l Accounti￿ poli¢tes
lal Basis of Preparation
The financial ststemenls have been prepared under the historical cost convention with items
recognised at C05t or transaction value unless otherwise stated in the relevant notels). The financial
Staternents have been prepared in accordance with the Statement of Recommended Practice:
Actountin8 and Re￿rtIng by Charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and the Republic of Ireland {FRS 1021 a￿1 the Companies
Act 2006.
The financial statements do not indude a cash flow statement asthe Company has taken advantsge
of the exemption available to it within the Financial Reporting Standard applicable in the United
Kingdom and the Republic of Ireland IFRS 102).
The preparation of financial statements requires the use of certain critical accounting estimates. It
also requires ihe trustees to exercise their judgements in the process of applying the Company's
accounting policies. The areas involving a higher degree of judgement or complexity. or areas
where assumptions and estimates are significant to the financial statements. are disclosed in note
2. The trustees have prepared the financial ststements on the going conorn basis.
{b) Incorne recognition
Course fees are invoiced in advance and only recognised once the course has been run. Grants and
donations relating to specific artivities are deferred until the related expenditLire is incu￿ed.
Interest is accounted for on an ￿￿￿15 ba515.
Ic} Expenditure recognttion
Resources expended are accounted for on an accruals basis.
(dl Computer equipment
All computer equipment costing less than £2,IXK) is Cha￿ed in Statement of Financial Activities
in the year of acquisitron.
(el Taxation
The company is a ￿giStered charity under the Charities Art 2011 and therefore M liability to
taxètion arises.
If) Public benefrt entity
The charity is a public benefft entity.
13

BRIDGE BUILDERS MINisfRIES
la cornpary limited by guarantee)
NOTES TO THE FINANCIAL STATEMENTS- contlnued
YEAR ENDED 31 AUGUST 2023
l Accounting policies- contirw￿l
Igl Financial Instrurnents
The Charity has chosen to adopt Sections 11 and 12 of FRS 102 in
respect of Financial Instruments
Short term debtots ondcreditors
Debtors and creditors with no stated interest rate and receivable or payable within one year are
recorded at transaction price. Any losses ari%ng from impairrnent a￿ recognised in the
Statement of fIna￿la1 Artivitses in 'operating cosis..
Cosh ond cosh equivolents
Cash and cash equivalents comprise cash at bank and in
hand.
Offsetting
Financial assets and liabilities are offset. and the net amounts presented in the accounts when
there is a legalty enforceable right to set off the recognised amounts and there is an intention to
settle on a net basls or to realise the asset and settle the liability simultaneously.
Ihl Fund Structure
The Company's Funds constitute unrestricted funds. which the trustees are free to use for any
purpose in furtherante of the tharitsble obiertives.
2 Judgements in aPpty1￿ acuwnting polkies and key sources
of estimatlon uncertainty
In preparing the financial statements, the trustees are required to make judgements, estimates
and assumptions that affert the amounts reported for assets and liabilities as at the balance sheet
date and the amounts reported for incorne and expen5e5 during the year. However. the nature of
estimation means thai artual outcomes could differ from these estirnates. Whilst the trustees
have made judgements, estimates and assumptions in preparing the financial statements. they
consider that these have not had a si8nifKant effect on amounts recognised.
2022
3 Charitsble artivities whith generate fvnds
Course fees
89.330
82.595
Mediation fees
9.368
Consultanc
340
Other incorne
653
359
14

BRIDGE BUILDERS MINISTRIES
la company limited by guarantee
96.595
92.661
NOTES TO THE HNANaAL STATEMENtS~ tontinued
YEAR ENDED 31 AUGUSf 2023
2023
2022
4 Grants recei¥ed
Grants
1.2(KJ
1.2(Kl
2023
2022
5 Charltable expenditure
Staff costs
65374
42.804
Venue costs
34.356
27,231
Training costs
383
15,296
Travel and subsistence
527
212
Book5 and Stationery
1,4ri
2,516
115J17
88,059
2023
2022
6 Operating costs
office Expenses
4.810
4,338
Professional Fees
2.260
Banking and Bookkeeping
936
Hardware and software support
2.653
2,942
10.082
10.476
15

BRIDGE BUILDERS MINISTRIES
la company lirnited by guarantee)
NOTES TO THE FINANCIAL STATEMENT5- continued
YEAR ENDED 31 AUGUST 2023
2023
2022
7 Management and administrati
Staff welfare
473
4n
4CKI
2023
2022
8 Debto
Trade debtors
11.654
10,258
Other debtors
1.520
Prepayments and accrued income
1,702.
712
16,160
12.49)
2022
9 Creditoys
Trade creditors
Accruals and deferred income Isee note 10)
28255
26.762
Other creditors
{622)
177
27.633
26.939
16

BRIDGE BUILDER5 MINlSfRIES
(a company limited by guarantee)
NOTES TO ThE FINANaAL STATEMENTS. continued
YEAR ENDED 31 AUGUST 2023
At I September 2022
30.530
Released in year
151,2251
Deferred in year
48.950
At 31 August 2023
28255
Deferred income is reco8nised when funds are received in advance of a tourse being run. The
deferred income is released once the course has run. in accordance with the income recognition
accounting policy of the Company.
11 Related party tra￿￿ctIonS
During the year. Liz Griffrths as a director of the company. re￿ived remuneration for her
employment as the Director of Training. No other trustees have received any remunerotion or anv
other benefits from employment with the charity.
During the year. MedIat￿n training servtces were provided by Clarity Development. a company owned
by the spouse of one of the trustees of the charity. The total fees charged for these seThices were
£1,213 and there was no outstanding balance at the year end.
The total aggregate value of donations received during the year from tnjstees or other related part￿S
where no conditions have been placed on such donations is £782.
17