
# Trustees Annual Report & Financial Statements for the Year Ended 31[st] March 2025 

Registered Charity Number: 1145724 

Company Number: 06339974 



## **1. Legal & Administrative Information** 

Trust Director /Chairman Anthony Rees MBE Trust Secretary Dennis Baynham Correspondence Address 13 Alexandra Avenue Merthyr Tydfil Mid Glam CF47 9AE Bankers Natwest Barry Town Hall Branch 117 Holton Road Barry Vale of Glam CF63 4TD Accountants Carston ETL, Tudor House, 16 Cathedral Road, Cardiff CF11 9LJ Stand Alone Shop Registered Office Unit 22 Taff Falls Road, Treforest Industrial Estate Pontypridd, CF37 5TT 

The Annual Report of the Southeast Wales Rivers Trust and the Financial Statements have been prepared in accordance with the requirements of the ‘Statement of Recommended Practice’, and ‘Accounting and Reporting by Charities’ (revised 2005). 

2 



## **2. Structure, Governance & Management** 

The chart below illustrates the current internal structure of the Trust and its staff: 


## **3. Governing Documents** 

The Southeast Wales Trust is governed by its Memorandum and Articles of Association as incorporated under the Companies Act 1985 on the 18[th] February 2003. 

## **4. Trustees** 

The Trustees for the year 2024-2025 were as follows: 

Anthony Rees MBE Chairman Dennis Baynham Secretary Jonathan Mead Jonathan Davidson Taylor James Gregory Professor Bob Williams (Resigned – July 2024) Richard Garner Williams. Gareth Harvey 

Trustee Prof. Bob Williams resigned from his position in July 2024 on grounds of ill-health. 

## **5. Organisation** 

Day-to-day management of the Trust and its operations is undertaken by the CEO who oversees the delivery of three key projects by the operational team: 

The Trust has employed officers in the following roles during 2024/25: 

- CEO (0.4 FTE) 

- Farm Advisor (1.0FTE) 

3 



- Project Office (0.8 FTE) 

- Project Manager – Rhondda (0.6 FTE) 

- Ely Catchment Coordinator (1.0 FTE) 

- Student Intern (1.0FTE) 

The team delivered three major projects during 2024/25: 

- Restoration, Protection and Enhancement of Ely Valley SSSI (RePrEEV) 

- Rhondda – a river for all 

- Inland Fisheries Habitat Restoration Project (SAF4) 

In addition to the internal management of the Trust outlined above, we have strong connections with Afonydd Cymru and our neighbouring Trusts. 

The Trust is a member of Afonydd Cymru (AC), the overarching Rivers Trust body for Wales. AC provide an advocacy service for the six Welsh rivers trusts and provide expertise and other supportive resources when required. 

SEWRT are one of six rivers trusts based in Wales. We work closely with the other five Trusts, sharing policies, guidance and other resources. This has included the provision of staff training by one of the Trusts for the benefit of all others. For example, one of the SEWRT members of staff is qualified to lead training in river fly monitoring and identification, and runs ad-hoc courses for colleagues in other Trusts and organisations. 

## **6. Objectives** 

The objectives of the organisation are: - 

- a. To promote the conservation, protection, rehabilitation and improvement of the rivers, streams, water courses and water impoundments in the rivers Kenfig, Ogmore, Thaw, Taff, Ely, Rhymney, Ebbw, and Sirhowy together with their catchment areas in all their aspects in South East Wales and adjacent areas of their banks and riparian lands; 

- b. To promote the conservation, rehabilitation and protection of the indigenous species of animal and plant life of the rivers, streams, water courses and water impoundments in the Rivers Kenfig, Ogmore, Thaw, Taff, Ely, Rhymney, Ebbw, and Sirhowy together with their catchment areas in all their aspects in South East Wales and adjacent areas of their banks, riparian lands and thereby enhance the biodiversity in the South East Wales area; 

- c. To advance the education of the public in the understanding of aquatic habitats, their related catchment areas, and their animal and plant life and the need for the conservation, protection and rehabilitation and improvement of such environments. 

## **7. Goals in 2024/25** 

1. We continued to develop the Trust and look for funding opportunities whenever they arise as well as new opportunities to improve the way the trust works. This will include seeking new National Lottery funding and support from private companies. 

2. Develop fundraising capacity within the Trust. 

4 



3. Maintain involvement with community partnerships and local and national bodies. 

4. Further develop policies, procedures, and operating practices as a priority working with other Trusts to provide consistency in Policy where appropriate.. 

5. Maintain active involvement with Afonydd Cymru and the other Rivers Trusts working in partnership to share and maximise efficient use of resources. 

6. Work closely with Natural Resources Wales to deliver our elements of the Inland Fisheries Habitat Restoration Fund. 

7. Continue to contribute our staff’s skills to support projects led by other organisations such as: ‘Restore the Thaw’ project in the Vale of Glamorgan led by the local council. Water Vole Reintroduction Project led by the local wildlife trust. 

8. Work with local communities including schools to inform them of the importance of the rivers that run through their locality. 

## **8. Performance in Delivering Goals.** 

1. The Rhondda – A River for All project, commenced in April 2024. The project has been supported by financial contributions from: 

   - a. Vatenfall Windfarm Community Fund 

   - b. National Lottery Communities Fund 

   - c. RCT Shared Prosperity Fund 

   - d. Postcode Lottery 

   - e. Waterloo Foundation 

During its first year, the project has delivered: 

      - Engagement with 10 primary schools and over 450 children. 

      - Provided field experiences and training for students at Pencoed College, University of South Wales, Cardiff University and University of Surrey. 

      - Held six community engagement events attended by over 400 people – raising awareness of riverine habitats and species. 

      - 40 volunteers have been trained in river restoration, biological and water quality monitoring. 

2. We continued to work with Natural Resources Wales and Welsh Government on the fourth fisheries Strategic Allocation Fund (SAF). SEWRT benefited with a grant from this funding, enabling us to work right across the Trust area delivering: 

   - Four fish pass and easement schemes providing improved migratory fish access to over 6.5km of river. 

   - Eleven riparian habitat schemes delivering bankside improvements over 6.3km of river. 

3. The RePrEEV project completed its second and final year, having received funding from the National Lottery Heritage Fund who were administering nature network funds on behalf of Welsh Government. 

      - Invasive species control over 2.6 hectares of riverbank. 

      - Created 4km of riparian buffer strips. 

      - Undertaken four key habitat surveys. 

      - Planted over 1300 trees. 

      - Attended 32 events and engaged with nearly 900 individuals and worked with 127 volunteers. 

5 



   - Installed four interpretation boards along the River Ely. 

4. SEWRT submitted a successful bid for a further Nature Network Fund project on the River Ely which has been supported by the National Lottery Heritage Fund and will deliver a water and biological monitoring programme with schools and community groups along the Ely. This new ‘Ely Catchment Community Connections’ (ECCCo) project will run for three years from April 2025. 

## **9. Plans for 2025/26** 

Our focus for the coming financial year will be to deliver against our existing funded project commitments and also start to deliver our new ECCCo project. 

We will also continue to seek and secure alternative sources of funding in order to provide greater resilience for the Trust’s activities and provide longer-term security for its staff. 

## **10. Financial Management** 

In accordance with the Memorandum of Association, the Trustees retain overall responsibility for the implementation of financial policy in furtherance of the objects of the Trust.  They delegate powers for day-to-day running of the Trust to the CEO. The continual use of HRA Accounting based to manage our bookkeeping has enabled us to closely monitor all our funding. We also work within our financial procedures and policies. 

## **11.Reserves Policy** 

It is the aim of the Trustees to maintain a level of reserves sufficient to be able to cover staff redundancy should this be necessary. The Trust will also try to maintain a level in reserve to cover one year’s core costs. 

The Trust works on the principle of carrying out environment work as a third party. This funding comes from various sources and full cost recovery (management cost) is built into grant applications and any subsequent funding we receive. 

## **12.Risk Management** 

As a small charity, the Trust is managed by a close-knit group of highly committed and professional individuals with the benefit of expertise and advice from Afonydd Cymru and the River Trust. 

Public Liability & Personal Accident and Trustees Indemnity insurance cover are in place. 

Careful risk assessment and management of projects undertaken in partnership with other agencies ensures that all projects are delivered safely, with no environmental harm and at an agreed cost ceiling. 

We do not engage any contractors or sign up to any work being carried out for us until the funding is assured.  The use of HRA accounting has allowed us, with a new IT management programme to keep even closer cost control. 

6 



## **13.Principal funding sources** 

Our principal sources of income continue to be in the form of grants including, during the 2024/25 period, grants from the following: 

- Natural Resources Wales 

- National Lottery Heritage Fund 

- Vatenfall Community Fund 

- Postcode Lottery 

- National Lottery Community Fund 

- Shared Prosperity Fund (RCT) 

- Waterloo Foundation 

## **14.Trustees Responsibilities** 

Company and charity law requires the trustees to prepare financial statements for each financial year that give a true and fair view of the situation of the charity and of the surplus or deficit of the charity for that period. 

The trustees are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the charity and to enable them to ensure that the financial statements comply with the Companies Act 1985, applicable standards, the statement of recommended practice and the regulations made under the Charities Act 1993. The trustees are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities. 

## **15.Financial Statement of Accounts** 

The financial statement for year 2024/25 has been submitted to companies House and the Charities Commission separately. 

7 



REGISTEREDCOMPAKf NVMBER.. ￿339974{England andwalesl
REGISTEREDCtrL4RITY NUMBER.. 1145724
REPORTOFTHE1RLrnAMD
FINAiiciiisfATEMENTS
FThITHE YEAR ENDED 31 MARCH 2025
Car51on ETL
TudorHouse
16 Cathedral R(￿d
CFII 9

sourHENSTWAiES PIVEPSTRVST
corirErirs OFTHE FINANCthLSTATEMENTS
FOR ThEYEAR EtIDED31 NURCH Z025
Rew*tsfthÈTiuSI*ÈS
IndependentExanwder'5 Rewt
Statementol P05ib
StateThentof Cash Fk)ws
NDtrstotheStatemertof Cash Fk)ws
14oÈes EQ the StaiemÈrtts
DEtaI￿d$￿t￿mert of knancialAarditye5
14

REPORTOFTHEThiISTEES
FOR THEVEAR EPIDEO 31 ￿RCH 2025
The trusieeswhD are al50d￿rectorS o* the thariiylorihe ￿rPoseS01 the lowr4esAd2(Xh. preSentt￿lrrepQrtWithlIt linanaal
5tèternentsof Ihe ¢harify forthe Veèr ended 31 March 2025. TheirLb￿eeSh3we adoptwltheprLM5ionsof ttcountingar￿ Reporrin8
try Charities". 5ts1ement of Recorbwmenthd Practrce applicab* to tharities preparing tl*r in accordancewrth the F￿an(la1
Aeportin8 siandardapk4icable UK aDd Rew¥LcoI We1a[￿{FAs1o2I lelfe¢tive IJ￿¢J￿Y 20191.
SIRATEGIC REPORT
STRUryURE,GOVERNANCE ANDMANAGEMENf
Governing¢Jorurnent
The Ihaflty is tontydled by its g0veM￿ docwnenL a deed of tTh54 and cw5LitutE5a lin*ed compBny. ty guarantee, as
defined by¢heCompaniesAct I1￿.
REFERENCE AND ADMINISTrATIVE DETAIL5
Registered Cornpony
06339974lÉngtsrHJand Wales)
Re844eied Charlty numbew
1145724
ftégistered office
Stand Alone
Unit 22b T3ffs Fall Road
Trolorest Indu5ttkil Estate
Pontypridd
CF37 5T[
TtU5t*ès
MrJ3mesGre80ry
Mr Gar&hJohn Hatvey laprrt)inied 1417120241
Mrlonathan lan Fjea
mrA￿t￿)nY Rees
Mrjonathan Davk4sonTaW)r
Mr Rlchard Garrorwillwns
Mroonnis Byron 8aynham
Prefessor RobertJohnWilhaMslre￿neoJ1n12o24}
Independettt Examlner
Carston ETL
Tudor House
16 (athedral Rt*d
Cardiff
CFII 9U
Report of the tru5tee5. int(rfwKèting a strat￿￿ ￿PY[ approved order of the iwd oftwstees, as the cowaAy directors o
818r2025
MrJamÈsGre80ry-Tru5iee
Page I

I￿￿PEN(l£￿fEw4INER.s REPORTTOTHETRusfEÉSOF
sourH VtsTV4ALES RIVEPSTrUST
kndÈpertdent examiner'5 rewt lothetru5tee50f South Ea5twalesRprttsTntstl*heCom￿thrfj
I ieport 10 Ihp charity Irvsr*son myexamintknnof ihÈaCto￿ts01 ihecompany forthe￿r ended31 Mafch 2025.
lknpon5ibilities and basls of reput
AS the charity's trusiees of the CLNDparry land akn its divetttys for the of cornpany lawl ￿ are re5wTr￿￿e for the
preparati￿ oftheaccounts in at¢0rdar*eWitht￿ re4uiretttnts ofthe conw￿5￿￿2[￿61.the 21D5Ad'l.
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me causeto belkwe..
accounbng r￿£￿ds￿ere rK)r kept Inresp￿of t￿(￿1￿Ya$ rewired ￿5￿0￿386￿[11* 200SAct", or
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Practs¢e lor ¥countin8 and rewrtI￿ by charities lapp1icaNe th th)riiies prt¥gr¢n8 thw a¢wnts ifi accordan￿ With the
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Page 2

SOIJTH EASTWAiES ￿vE￿sTRUST
STATEMENTOF F114ANOAIACtMnES
FOR THÈ YÉAR ENDED ai MAKH Z025
2015
Total
fvnd5
2024
Yotal
funds
funds
INCOMEAND ENDOWMEPUS FROM
OonaÉions *d ￿83t1@s
4.291
2,647
Charltable acti￿lIeS
GTaDts re(eNed
S31.952
245.(O9
In¥estmeTrt irKO
2.487
Total
53L95Z
538.750
250,143
ÉXPEP4DmJREON
Rèisingfund5
368.157
368357
184,948
Other
283Z7
Z8?17
33.143
Totsi
28JZ7
358.3S7
396ffi84
218,091
NET INCOMEIIEXPENOITUREI
. TraTr5fers betwèèn ftsnds
1215291
164.594
(16JJ81
142,
32,052
NetTh¢Mmomt in funds
127.756
I41￿65
32.052
RECONCILIATIONOF FUNDS
Total funds brought forward
IOB.138
138.3Z7
206.275
TOTAIFUIIOS CARRIED FORWARD
12ZA47
257.915
380.392
238327
T1*￿)￿s1OrMWt ofthEsEAn3ntialstswts

srATEMENTOF FINANCWL FOY￿14
31 MAROI 2025
Z025
Totsl
Dds
2024
lund
lur￿5
fund5
CURRENT ASSETS
Debtors
Cash at bank
Ao
IQ3.2
25.555
10>275
183.5LY*
4.273
282.430
Z57.945
257.915
386.77S
2È6.703
CREDThORS
Amount5falihgduewithin oneyear
li
163811
16.YR31
148,3761
NETCiJRRENT ASSETS
12LU7
257.945
380.19Z
238.327
TOTALASSETS LESS CURREKf L]AWUIIES
121847
157.915
218,327
NET ASSETS
122,447
257.945
380.392
238.327
FLINDS
Unrestricted funds
Restricted funLts
112N7
257,945
108,138
130,189
TOTAL FUNDS
238,327
The chariiabfe company is enitled to exempt¥￿ from autht Under 477 01 ￿ C(mpJnies Art 2rx6 for the year ended
31 March 2025.
The membws havè not ￿quired the ¢oryarry to obtain an ol it5 finwK¢I Y3M)erts for theycar ended 31 March 1025 in
acC￿lan￿￿th Sectyon 476 ofthe(tyw*sAci
The tivsreesacknowle(*e tel￿nsi￿litIeS lor
ensunng that the chari¢3ble company keeps reCC￿&t*￿t cornOywithSectiDns 386 and 387 of the colnr￿nIes
Act 2W6 and
pre￿nn$lin3r￿K￿ staiLYbEntswhich wea trueand fairyiEwof U* srateof 3ffairsof theilwitsWe¢omp3rty asatthe ond
ol each financialyoar andof itS￿rK￿lSordefi[Ltfor hnancial ye3rinaccordarKe w*hlhÈ r4uirementsof Section5394
and 395 which othetwise ctsnr*with the req￿em￿lSOf theCoMw*ACt2fy￿ r*tin8 ￿ fiThinual SkalemEnlS SO
far asapFlic3bl¢to thècharitablec<)mkJaThy.
2025
ThE fin•noal staternenis weo approved ty the Board of Tntsiees arnl auttrKrftsed fLY455UE on..........
ggned on ￿ tr￿balf by.
.. and w¥e
lame5 Gre8ory- Trustee
ThE¥￿e$fOrM Mofil**fittartoalst3temtnts
P38e4

STATEME14TOF CASH FLOWS
FOR THE YEAR ENDE031 ￿ftCH 2025
2025
2024
Note5
8sh fknws Irom operahniictivities
Cash 8eneraied from opèratsons
26322
81.6
r4et cash provi￿ by0peratln8ac￿￿t￿S
22
81,6￿)
Chaffly Incashand c45h eyyiv•l¢rttsln t
reporfngpErM)d
Cash and Ca$heq￿1¥a￿nts at the beynnint of
thè rèpof15n8 period
24122
81,69>
257.ln
175,488
Cash c45hequiv¥lettis atthÈend of th
reportlngperM)d
257,178
The ￿￿es1orM wioflhe5efv￿nCIal 5tatentnts

SOiITH ENStWAiES fdVERSTRiIST
NOTESTOTHE STATEMEFlfOF CASH Fio
FORIHEYEAII ENOED31 MARCH 2025
REcONCIL￿TION OF METINCOMETO NEf CASHFLOWAIOMOPEPAIIII6ACIIVIThS
2025
2024
Net lrftsmelwt￿ rewrllw pÈthd lasperthÈStstomertofFlnandalAciiviiipsI
14U65
31052
1lncre35e1ld￿reaSe indebiors
IDLrreasel[IrKreasein t￿ditorS
199.(K)21
116.7411
30.140
19.498
Net (ash by opptatlthbs
263ZZ
8L69)
ANALYSISOF C4SHAIIO CNSH EqUJVAiEPITS
20
2024
Noticedewyis Ilesstharn3monihsl
eritraftsirtd￿ed in bank kjans and oVerdrdftsfa￿1n￿¢￿th￿rtYe8r
2B35
282.430
125.252}
Tor31cashaTrS cash equbvalent5
2835N)
257,178
AWALYSISOF OWNGES IN NETFUIIDS
At IIV24
Cash flow
At3113125
Netca5h
Casharbank
Bankoverikaft
2814>)
{￿.25
1.070
25.25Z
283500
2S7.171
ZS.3
283,5rLI
Total
2s7.ln
2A321
z￿￿00
The noresf¢m part¢)f IhesefinanDal ststerniis
Page 6

NOTESTOM FINANCiALSTATEmEP￿s
FOR THEYEAR ENOED3L MARCH 2025
ACCOVtlmNG POilaES
Basis of pieparinz the flnarKlJl staiemerts
The hn3ncHI 5t3letnenlS ol the Ihariièwe comwy. whKh is a IX￿7￿ ￿èfil￿tityunl￿ FRS 102. hwe been prepareLI i
accordaDce vrith theChariDesSORP IFR$ I021'A¢¢￿￿ and Rety)rtirt8 bychwties". St3ttynent ol Re£omrn￿ded Prathce
typlicatletoch3fitiesprepar1￿thaf account5inaccordarKewiththe FinarKial RepOrtirest￿MIard applicawe in the UKand
Republic ol IrdaThJ IFRS 1021 leffecti¥e ijanuary 20191., Finawal Rep)rtiw&xdard 102 PinaKia1 AEP)rMeStandard
ap￿LIable in the UK and Repuwic of Ir4¥nrf the C(Mnpan￿s Act 2(Th. Tre h￿[K￿lI 5Tatements have been prepareLI
underthe hi5torKal cost convention.
In¢omt
All is recogrM5ed in the Statement of &r￿￿alA[byl￿0rtt the ÉNirityha5entitleTnertto it is wobable
thatthp intomewdl be reteW•hJ the•m￿tL￿berneasur￿ rdiaNy.
Spetified Pioiecis Fundiry Income is ryirnarity recwved Irom Nat￿ AexyJrctWalÈs ￿ We15h Water with the iemaifiin8
project income deD¥ed IToTh and sources. I￿0￿@ and 0￿2￿)n5 re(eiwJ are in r￿d￿ft ￿ the charitls
primaryobJe(ti¥esasdet•led in the re￿)rtof th¢Trustee>
ExpEnditure
LkiiMlitie$ 3re Yeto£nised 35eN￿￿8￿Ure as 500n a5 ￿￿rE15 • *1 obligation c(YDmittingtho ¢haritytothat
experoiture, it is wotrawe that a transler ol benelits wdl be reqL¥red in 5ethtrntnt the amount of tho
0￿18a￿on can be rDea5uredreliably. Exwdi¢urei$ acc￿ntedf0r￿ aDaU￿#sba￿5a￿jhasbÈe￿daSS7fiÈd￿ndertr￿adI￿gS
that aggregate 311 cost relèred to the category. wh￿ costs canTrot threctrattri￿ted to pa{￿U￿r headings they have
been alk)tsted t03tht6Èson a bas1sconsi￿enEW1lbthe u&eol reyJw{e
Taxalion
The Ch￿ty isexempt frowh iaxonfts¢haritsb1eaciMhe
Trd au¢)unbng
unrestyicred fundscan beused in a(cordasxewith tl*tharitatyeot4etiwesatthedisueiionof ihettustEe>
ReStr￿ted lund5 can On￿ be used frof pwtIC￿tyr restritted rMKrKises *ithin ￿ object5 of the tharity. A￿rth0n5 aris
when 5pKffied by the donororkn lurn1sa￿ raised for parricJarre5tsiciedpurrA>5e5
FurtherexsA•narion of the nature and puwp)5Eof eachfuthlis I￿uded intherotestothe fir￿￿04 statement>
DOt4ATK)NS A14D iEGAOES
2015
2024
Administrabon IrKome
4391
2.647
IrivE¥fMENTINCOME
20
2024
Interert¢*eNed
2.487

NOTESTO THEFItiANCL4LSTATEMENfS. coDUhued
FOR THE YEAR ENOED31 MARCH 2025
INCOME FROM CFi4RifABLE AcrNmES
2025
2024
Speafl¢ proiertlr￿mÈ
532,951
245.(XYJ
GiantsrecelTr￿. induded in theabo¥e. are a5rd￿.
2015
2024
6￿1$
532,952
245,￿9
RAISI1￿ FLINDS
R*lTh8 donatiLvffjand lega(iE5
2025
2024
SK*cilic ryryect co￿5
a683S7
184,948
SUPPORTCOSTS
Other
Other￿s0￿r£¢sÈXpN
Z83Z7
TRUSTEES. REMUNERATr)NAND BENEFITS
Therewas no in&stees' remunerabonorott*r ber*fits lor thpyearaKJed 31 Marth 2025 lorthe ¥eareD(W 31 ￿rth
2024.
Tiustees. exFeTrses
Ttr*rewe￿ nOtruSteee￿￿e$p0ld ifithe year
STAFFCOSTS
2025
2024
WagÈs and salarie5
7.721
12.446
7,711
12,446
The aver<E montNy nuM￿r￿(em￿OyeesthnnltheYe* wasasfoNows'.
20Z5
2024
Charit3t4eactm￿ proie¢t staff
No employees we￿¢demO￿Ments in ex¢eSst4U￿).[M.

N07E5TO ThE FifI4NOAi SfATEMENT5. contsthed
FORYHE YEAR EPIDED 31 MARCH 2025
COMPARATIVES FOR IHE5TATEMEMfoFFW4ANU4LACfPII
Unresrricted
Rèstricted
TotBI
funds
INCOME AND ENDOWMENTS FROM
Donatron5 afKJ legKE5
2.647
2.647
Gtant5recoived
245,Wg
245,(
Investment income
2.487
Total
S.134
245.(A19
250.143
EXPENlJtTURE 014
Raisin8 funds
184.948
184.Y8
Oiher
33.143
33.143
T<)tsl
33,143
L84,948
218.091
t4EfiNCOMEIIEXPENDITUftEI
Tr4Thsfer5bets¥eenlw￿s
P8.(Q)I
60.061
183.8J31
32,052
Net rThJvemEntln fvtsds
55.791
123.7421
32,052
RECoN0L￿TI0N OF FUNDS
Total fur￿5 broughi forwar
52.Y4
153.931
206.275
TOTAL FUNDSCAItRIEO FORWARD
0.189
238,327
io.
DEbTOR5.. AMOUNTSFALLINGDVEWbTHIN014EYEAR
2025
2024
Otherdebtors
Prepayrnent53nd ¥crued income
1.355
1.920
2.550
1.723
103.275
4,273

SOLFfH EAffWAiES RIVERSTRU
tIOTESTO ThIE FIPIANCWSTAIEMEKIS.
FOR THEYEAR ENDED31 PMR(H202S
ii.
CREDrfoRS." ANM)Ut4TSFAiiJNG DiIE WtIH114 ONE YEAR
2025
2D24
Bank k)arsandO￿￿rèfts[s* Thotp 121
Trade¢￿￿110rs
Sec￿tY3nd other taxe5
urua15 3Nd deferredI￿jme
25,252
16,532
3.856
2,736
3.423
48,376
12.
LOANS
An analy￿501￿ maturityof IrhThlSi5 gNel bdow..
ZOZ5
2014
Amunt5 fdling duewittrinone yearon &rnand..
Bank overdTrfts
25,252
MOVEMENfiN FUNDS
between
fu￿5
At y4124
inlutsls
At 3ty3125
Unvestrirted fvnds
General lund
I￿.138
IZL5191
k22,447
ReStriCtedf￿ds
Welsh WaterTaff 5alwD Hèbtat
lrnprovernent Proiect
River cy[￿n Proiert
Surveyscc￿11oI
MisteU3neous Fund
sirdtegic Albcation Incomei&4rJi
Strategic ￿loCati￿} Fund 4
REpreeve
Watervole
RhOr￿th RiversforMI
Civil sanction Funding
INNS
Eccco
5.138
IZM3
2.749
117.4101
17191
.1231
15.1381
112.6431
2,749
17981
6.171
15J8Z
SA54
18.2591
5.855
29.9S7
50,000
1.909
123377
3?77
iX*,189
le4.591
136.8381
257.915
TOTAL FUNDS
238327
Iii.LM5
380.391
Pxe 10

SOUTH EASTWALESIVVERSTRUST
NOTEsfoTHE FIIIANCIAiSTATEME14TS.wntkn
FOR THE YEAREPIDED 31 MARCH 2025
MOVEMENT￿ FUNDS-(ontknued
Net mo¥ement infund% i￿u&d in theab￿aTeaSf0Ikrt15..
Incomin
Movernenl
In fvrtds
eXp￿ded
Unre5trKtedlunds
General fund
128.3271
122.5291
Restrfttedtunds
strategic Althnon Flvd IrKorne IW3
Strategic All¢tsthon Fthd4
AepreEwe
WatEI Vts1e
Rhondda RNersforAII
EtyIN
eccco
IIZ08
6.173
15381
IM244
1154.0711
11692381
153ni
139.$841
a￿62
1.056
123377
J23,377
531951
13683571
161.594
TOTALFUP4DS
538.749
14
Comparativeslor rnovem¥ntin (unth
Net
Transfeis
Ai 114123
IDknd5
Al 3113124
UvrestrKted funds
G*eral lund
51344
124¢XVJI
83.8)3
1(*,138
Restsi<ted fvnds
Wd5h Water Efy vale Habitat Projett
We15hW3ter Taff Salmon Hat*tst
Impr¢vemÈni PrDjeci
WW RiverCy{￿n Proiect
81aen3u Gwent Project
NaLuia1 Re￿vr£eSWa[es
Sutveysconir
Mi5cfllarwus Fund
StratÈ8icAlbcaiion FU￿ IntoNt*lW21
RiverTBfFGravd ResiorabM Propci
Strategic Allocation Int4)melSAF31
StièieBi¢ ￿l￿ation Fund4
Repreeve
Waiervole
Rhondda Riwsfor All
CiwlSar*Oon FurKlin8
39.412
139.4121
48.634
a4,821
821
9.331
12.643
2.749
48.634
5.138
121.8451
17.8381
18211
12,643
2.749
18821
116.(ffj91
19,4301
5.539
10.5
17.0791
17191
V.1231
117.4101
7.366
28,911
50,(X)D
.911
153,931
.061
183.8031
130,189
TOTALFUNDS
X6.275
32.052
238,327
Pa8e 11

NOTESTOTHE FIFiANCIALSTATEMENTS. ￿￿1￿1¥¢0
FOR THE YEAR ENDED 31 MARCH 2025
13.
MOVEMENT It4 FIJNOS-mnttnued
Comparaiive netrnovemEnt in hJrw& iDrlLwJed ai¥>*areasfdW"
IrthDir4
rewce5
Resources
expended
Movement
Inlunds
UTh￿tritted hmds
GÈrtÈra fund
5.ly
133.1431
128.CL)91
Restrictedfvnd5
WW River Cyw Project
River Taff Gravd Resror31ion Project
strategic All¢xation Fund Income (SAF31
Stratewc Albcaiion FurK14
Repree4e
Watervole
Rhondda RNersforA
Ci¥i15anction Funthns
1210541
19.4391
190,5721
121.8451
10,550
19,989
81493
54,9J7
162,0301
21911
28,911
50,(
245,(X>3
li84,￿)
60.￿1
TOTALFUNDS
2Y),143
1218.0911
32,052
A¢(rrerniyear 12 WK>ryear l2fflonth5corntinedposit*￿ ￿a51(￿Jws".
Transfers
between
fund5
MO￿ne￿
tund5
At V4125
At31fsl2S
Uibre5tyirtÈd lunds
Ger*ral lund
150.538
120.641
122,447
RE5trKtedlunds
Welsh Watfr Taff Salmm HatAiat
Improvernent Proje
WW Rwer Cynon Project
r¥ey5 Control
Miscellaneous Fund
SlraIe8icAllocati￿ FurKJ ItKorne (SAF31
Sttateei¢Albc3tion Fund 4
Reprev
Watervole
Ah0￿jd￿ RtversfcxAII
SanctiDn Fur￿l￿g
Ety INNS
ECCCO
48,634
14.821
12.643
1749
iio.rmi
112,9761
112,6431
38,634
111.8d51
2,749
11.129
5.454
R,259
5.855
29.96P
110.2181
5,454
18.2591
5.855
29,967
50,1
3.377
L23.377
97.946
214.1(6
y.1(￿)
257.945
TOTALFUPIDS
206,27S
174.117
39).392
Page 12

sovfH EW WALES RIVER5TRusr
NOTESTOTHE FIIWNUALSTATEfyIEPITS.
FOR THE YEARENDED 31 ￿R￿1 Z025
13.
movE￿IlT SN FLINDS. Con￿TrU¢d
A current year 12 nv)nlhs arKJ woxyear 12rnnihsctyTr*Jitkd ndm(rtemeTht 1nhJ￿. irtluded in theakneare3sfdlow>
IYK•Nnc
re50wces
Res0￿￿$
experthd
Movement
in funds
Unrety*tedlunds
GÈn@ral fund
10932
161.4701
150S381
Restrk￿ fvnd5
WW Rivw Cynon ￿¢￿e¢l
Strategic ￿lOca￿On Futh4 Income IW31
St¢aiewc Allocati￿ Fund 4
Repreeve
Watervole
Rhondda Riversfor All
c￿11 Sanction FLndin8
El¥ IN
ECCCO
121(fAI
19).5721
IiY.79)1
1231,2681
15,507)
139,5841
121.8451
11,129
5,454
4259
5.855
29.9S7
IOL701
If4244
239,527
11362
69551
123.377
123,377
757,971
1543,8661
214.105
TOTALFUNOS
7&892
1614,7751
174,117
14.
RÈLATEDPARTY ThSCLOSURE5
There wete no re&ted parlytransa¢ik)nsforihe yearenthd31 Mar(h2025.

DETAIIEDSTATEMENfoF FINANCLAiACTIVmES
FORTHE YEAR ENDED 31 MARCH 21)25
2025
2024
INCOME AJIDEt4DOWMEP4TS
ODnations and legiaes
Administtrtion ol lundsincon
4291
1647
InYÈstsmeTrtlncome
Inteiest re£eNed
1.506
2.487
Charitable¥ttivhOts
SpEctht wqett Income
532.952
24S,W9
Totsl lttcominz resources
538.749
250,143
EXPENDITURE
Ralslngdonationsand *a(ies
Specilic projectC05t5
368357
I84￿8
Support costs
Other
Wage5
Insuran
Committee eynses
8ankchar
bscriptiens
AccouniaDc¥
Broadbarbd andsofNare
General ExpEn*s
AdVertt￿n8￿ M3rketi
Oflite costs
Pengon costs
Repairs and maihtena
7.721
1.329
12.446
1,636
905
Z.5LK)
6.617
In
a.168
19Z
146
3JK)7
2,5(Q
5.794
115
4,582
765
4.349
28.327
33,143
Total resource5expended
396.6f4
218.C81
tlet lTrcome
1421*5
32.052
This pageik)eS￿)t lcthpart ofthe st31￿0ryfiOaD0astalaTh£I1l$
P4e 14

INDEPENDEKf EXAMINER'S REPORT TO THE TRUSTEES OF
SOUTH EAST WALES RIVERS TRUST
Independent examiner's report to the triistee5 of South East Wales Rlvers Trust I'the Company,)
I report to the charity trustees on my examinatlon of the accounts of the Company for the year ended 31 March 2025.
Responsibillties and basis of report
As the charity's trustees of the Company (and also its directors for the purposes of company law) you are responsible for the
preparaknon of the accounts in accordance with the requirements of the Companles Act2006 ('the 2006 Act,).
Having satisfied myself that the accounts of the Company are not required to be audltedunderP3rt 16 of the 2006Act and are eligible
for independent examination, I report in respect of my examination ol your charity's accounts as carried out under Section 145 of
the Charities Act 2011 ('the 2011 Act,). In carryin8 Dut my examination I havc followed the Directions given by the Charity Cornrnission
undor Section 145(5) (b) of the 2011 Act.
Independent examiner's statement
Since your charity's gross income excoeded £250,000 your examiner must be a Member of a listed body. I can conh'rm th3t13m
qualified to undertake the examinatlon because l arn a member of the Associatson of Chartered Certlfled Accountants, which is one
of the listed bodie
I have completed my examination. I confirm that no matters have come to my attention in connection with the examination givlng
me cause to believe:
accountin8 records were not kept In respect of the Cornpany as requlred by Section 386 of the 2006 Act; or
the accoLmts do not accord with those records. or
the accounts do not comply with the accountlng reqU1￿MentS of Sectlon 396 of the 2(xi6 Act other than any requirement
that the accounts 8Ne a true and fair view which is not a matter consldered as part of an independent exarnination; or
the affounts have not been wepared in accordance with the methods and princlFAes of the Statement of Recommended
Practlce for accounting and reportin8 by charities (applicable to charltles preparlng thelr accounts in accordance with the
Fil￿ncIal Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)).
I have Tr) 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 en3tAe a proper understanding of the accounts to be reached.
Huw Carter FCCA
The Assoctation of Chartered Certified Accountants
Carston EfL
Tudcy House
16 Cathedral Road
Carthff
CFII 9U
Page 2