REG1Sf￿ COWANY NUMBEIL. 07852922 (England and Wales)
REGISTERED CXARrrY NUMBER: 1146171
REpoKf OFTHE TRusfEES AIID
FOR THE YEAR ENDED 31 I14R(H 2Q24
EDUCATION RrruRES TRU
SatsJW Audibx
Hasb"ngs
IBP

EDUCATION FUTURES Trusr
CONTBiifs OF THE FINANCIAL sfATEMEp¥rs
FOR THE YEAR ENDED 31 MARCH 1024
Rwort of the TnL*ees
I to 6
Statement of Trustees. ReSp￿IbIlItIeS
Report of the 1ndepeT￿rtAuth4
8 to 10
statement of Flnand•l A(*JvltJes
li
Balan￿ Shert
12
Cash Flow Statement
13
14
Notss to the Flnandal Statements
15 10 24

EDUG4710N BMIRES TRiW (REGIsfERED NUMBEIL. 07852922)
REPORT OF THE TRUSTEES
FOR THE YEAk ENDED 31 MARCH 2024
TIE tru*ees who are also d*eLtrys of ts thaiTty of c￿npanIeS A(t 2006, pr25ent U*ir ￿k1)rt
with the fiTharKial Stsi￿nents rrf ts chaTity kn the lear 31 Marth 2024. The truths have atrIpt￿fj the
provlslons Of￿ StatWn￿rtd Rec(ThmeThl&l (gJiP) aTrJ Rewxtlr@ ty Charthg.
OBJECTIVESAND AcrIvrriES
Obiertive5 and Arti¥ltks
Duying the repO￿Thj F￿nI)], CFb3rity to fuWII ts cknp(ts by rThJirNJ a ftrrfJe of ￿lthkn its area
of benef￿ tn fulfil its tharitsble al￿￿. aJvarKe educakn a￿1 iKrea* ￿luC￿t￿nal aitsinment by supportiNJ pupils,
their families and OJ)vnun￿* wthln c( depTwJ areas in Er¥J￿nd. au(aUon.based seNkes
have been devdcW ts meet the r*Js Lwthries, wth (Thaiity ertsuriTrJ that delivery tske5 pla￿ in tre
heart of the local ccffimunity. TlwowJfv)ut ￿ year, ts (hwtty due rejard to the cunmisslon's puL41c benefft
guidance when exw(i5ing any IK￿r$ or du
The Charlty ￿5 vlith tt￿dr￿. ￿, fam11￿ ar￿ w1n￿3b￿ adults in Rye and the
surroundlng area, foajslng in areas vlthkn Hasongs or whwe thllks and thIld￿n have
identsfied need.
Renovaticrf) (* The Firs gte Uph1￿ Rced as a 9Jitable thlion f(Y Serv1￿ denvery, has c(nlJnued thrO￿h￿rt
the year wth a frnLS on installation of pla￿￿j HanniThJ ￿mI￿￿on tr the Sfo was acqulred In 2021, so
durlng this year, the ft£us ￿ thÈ charity was to the Flanning I￿1110￿ c(mpkx condlljons have lowej
the prrxw but the Chatty ha% ￿lthed to fTR& them. whiLst a￿tinuing th ddivery through￿¢ the
year.
Use c( gmunds at Th Hrs has ￿Fe￿ arns arml tharfty by ithdlng the to
del￿er a wlde range of proV￿On. aLNIty io maw tr￿ f•Jllte5 and estabilsh prc￿SeS to keep pwle safe,
enabkd stsff lo offer outdttfj leanUng In llne wlth the ttori1ab￿ purr￿. ¢thildren and aduM5 tell us ttst The Firs
prowdes thern with a safe and that ￿￿luE the cwJ￿nty ts) access g￿rKI5.
The arrival of the ntw t￿lId1￿, fuThJed thr(wh 131ART. ￿7$ thitty to pkin the ddNery of addfoThl
Se￿£￿, whilst [r￿ti￿j the al￿ of ltrt pr
The ￿rff￿ent areas rf the sts . ft￿ball pitd). nKJiwn￿S a￿, ￿￿￿thd sp￿, Garden . provided a rdnge of
optIDn5 for the delNery (* £tMwses and l-l the vduniEer Workfo￿ was a￿e to work
safety in grourvts. kceslng ￿510n at Tr fir5 $8vice wjs wlth a ￿ spa￿ and the 4)portunity to
Improve their mattal ￿]1-be1￿J and b) wlth the kk71 Cfrnuntty.
Use of the CommW Learning Centre We* St L￿rdS (Jlkfjren* Certre) on Bexhill Rcod continu
thro￿hOUt year, pmiding thè (hrlty th mLth a￿1 a Ven￿ fvr the earfy years Comlc Reller
proJeLt We continue to ￿rk wRh Ea# Sussex c￿ co￿1 overtrE t￿ik1]ry rephirs.
The Comrllunty Cafe, at c￿￿ary cea*l June thls year to financlal
thallenge&

EDUCAT1014 FUTURES TRusf (REGisfERED NUMBEIL" 07852922)
REIIORT OF THE TrusfEES
FOR THE YEAR ENDED 31 MAR(>12024
ACHIEVEMEKf AND PERFORM
Overvlew
During the year, the thartty applled for and ￿Lired rexHJrce5 frcffl a rdroe of to cc￿tinue Its wC￿L We
would ￿ke to thank ￿Jr fftjnde￿ SJPF*Nt over the year. FundlrY4 has teen frcth:
o Actwe Sussex.. Holling￿￿ 5porfG a￿1 Fc(tball F
o Bardays.. to delw foolball b) chlld
o ThART forThe Flrs (level(w*n( irKJudlng new on 4te.
o Comlc Relld.. ￿lIdIng F￿n￿at￿￿$Toj&hU (eaty ￿r5)
o Department for Levelling Upi P￿￿J￿r￿J and c￿￿1￿7￿$. Town t*al Flrs and P]umpton dthry
course5
o Emest ￿anwort. Wthout walls
o ESCC COVID &art'. fctsj eEenlta& The Clwity ts WirKJ a partI￿thIp to iTKAxle Ha5tiros F(￿banK M and
o ESCC PdMI￿ Learning (year 2 of the 3-yeai c(rtattl
o ESCC Holiday and Attlvity Fund.. Fknlfday ACtfv￿eS and Winier)
o NHS SLL55ex Universal Health Care: Aw'r*ion5 womt
o ESCC Mu￿p￿.. numery adults
o EsfAR.' Beats In Mlnd
o HasUThJs Borough Coundl., Hastings Y(th c￿JTh
o Lloyds Foundaibn.. CC¥E grdnt tr) p￿de cwr5es trvUInerab￿ aduA5
o Magdalen and Lasher tharity.. Lkfe Skills in the carryiry at Tr ￿r5 pih
o Lund Tru*.. developlrvj ttE fore* area arKI ddNtry
o Magdalen and Lather. Life SkJlb in tts Wlld kn 9*￿$
o NHS.. Health InequalilÈs fundwo for a Heath aTrJ Wel￿teN¥j H
o Sport E￿land. for at The Frs and Hdllngtr
o Sussex Comunity FOurKJab"￿: to mde a warn Spa
o Head5 Ckn.. Investors in v￿￿t￿r5.
o HtyJslng: RISE proje(£
o Aldl,.
D Fareshare;
o Lkll;
o Mayer Br￿vn Intern*￿al LLP;
o Te5CO,'
o Fusion GrWndg?￿
o The B and L L￿ch FamilyTrLL5t
o constan￿ FI￿ate fftl￿t manèjen￿rt
o Cobjrs tkn7Ong Urnltaj.
The legal input from Mayer Brown fnt&natky)al LLP hhs enat4gJ the d￿rity to Inv￿gate the legal aspetts of the
pknning and developmert for The Firs. Thr{)￿IK￿rt the ￿&r, Mayer Br(￿¥n Int￿natIonal staff have been UnWaV￿ng.
In their hlgh qualty, intenthe supwrt to ttt (Jwrty. Wlbb)Jt thelr input the Charity wyxjkt have sttwgled to have
achIeV￿ the ￿(glaSStoWardS planning and in pbming l￿ddi0r
Tesco has contlnued to ￿ppty hKJh qL*lity fixxl dona￿ fw hampers, iylth 2 I(￿1 stores en9Jrtng
that famil￿5 have acce5S to f￿h bread a￿] vegetaW. Aldi have C¢￿tinu&1 to make th)ngtions of cmmable5 to
supptyt projects and IrKal frJmille4 estojalty thrOUgh￿tY* pan(kn
Flnan(lal ￿pport has been received frcth ConA3￿e Prtvate As*t fvtsnagEment (Wirglnia a￿1 Robert Mllngtonl for the
delfvery In 5th0￿5 OF the *oryielliThJ prrNJrarrffne, Tale5 frrjn fipi. rwanjne ￿ pcwlar in as
outc(mes In improvlr@ readlThJ f￿ chikjren WIK) r￿1￿ do n(t etifvy trxJ)ks has ￿en &gnffL13nt.
The B and L Leach Faffli￿ TTLL5t Tnade d¢JwtiiK)s to supwrt crffe costs of At a dme when fundlThJ is
beoynlng Inc￿￿ng￿ tKJht fO]kn￿ng ￿ pandemK, these (knat￿ have tr￿￿1e a d[ffe￿ to the abilty to
delhver the c￿e se￿ceS ￿ the fdIcw￿Thj *jdyd￿nQ￿str&
Charitable

EDUCATION FLrruRES TRusf (REGTsfERED NUMBEIL. 07852922)
REPORT OFTHE TRusfEES
FOR THE YEAR EMDED 31 MARQI 2024
As a reAfft of the ti)ntinued efferts of and the ityng of Imng, the Charity C￿tinUed tr) provKJe
Se￿1￿ to rekn the Iwes fa￿ ty the vulwable farnilÈs aTrJ indwKJual& Areas of the Offl￿ were adapted
tD enabk &Jdthnal wactral suppcrt and kn(knr (Tr￿ to te thr￿tyl￿t the pvk)d, also malnlHlnlng
and expaTrlwyJ the out(knY arkl in ctlw veffj
Weve ervJaged L192 fftfidaris d￿rnJ 2023124. areas knjude:
' Community based learniThJ and wellbelry work*w - we￿e o￿tinued to ddNer our ukdcA)r learnlng
programmes gJPPDrUng vulrterab￿ aduys to tathe I￿ation aNI whllst upsknlling th2ir ￿kn¥ledge in a rar
of infaatives fr￿ DIY aThJ CLxkn lo bar&a. aTrJ famity kaming.
' Keyworker and I:1 swport wlth lo(zl sdMX￿ . ¢xJr atynavve provi4on ddivery a5 grcvm tN5 ￿r, wth
pport for tho* chIk1￿ ar￿ yourrfj Strlwling th nRin*ream edu&M to make h￿thIer lrfe* (tt)1￿.
Wekn Cr￿nued to witness the afte￿ of the pa￿len￿ and have lthcy and and language
delfvery in pn'mary sd)ooLs to suppyt chiklre n with tW ￿r9)nd1 dth
' Forest sthool ?rKI Life Skill$ in the Wlld - sesgors haj a dear fl￿￿5 on insuts, blnls a￿1 trees, ￿ng to)15,
Ilghtlng and coc4ung fire *y, Mlldl ng a camp i tert a￿1 vAde All wiors were
' d&igned to engage and promL*e a ￿ of nature and (WE for the erN1r0￿￿t at thè tlne as developing 9)ft
Is. The* thdvded confiden￿, CLXnmuniob"￿. tW$L￿1 and res]IlW)￿.
' Holida1* •￿tIeS and Food (HAF) . this ￿￿)￿ ￿ CE￿nued to tThide HAF aclMÈs acro￿ all maln
holidays {Swnmer, Christmas a)d Ea*r). Tr tsity ￿￿inued to 3 dffwent se5510ns: SFQrts, Forest
Sthwl a￿1 Arts and Crafts. We habE leamt what from [￿10￿ year5 arxl tkve4op&1 the p￿￿510n and
ccynmun1oy￿ ba￿ on fee(l)ac*
' Famlljes with under 3yr olds. the famfy y￿tre kv0Md￿ wa5 alnEd at ix4at&J, an￿L￿5, a￿1 l¢yèklnco
families with thild￿n U￿er 3 years old, partkularfy trrfje barrus to earfy develotmt,
hdplng them to Irr¢)rrMtheir dewand weJlL
' Food haDM>ers - add￿onal funds were secured to delNery ham￿yS the rr￿)st vuknerable
families and h 01￿eh￿dS acrc£s and St L￿rd%
' Volunteern . dlilicated and dynamt wAunteers have SLFPKYted ddiw a(TOSS a rnnge rl Inf(Li￿5 ftcffl fctsj
pack ng and delivery, to ga￿nhvJ, (r￿Se￿￿￿ a￿1 &lult ￿mIThJ progrann
We're prO￿j ofthe inpatt we n￿ke. txjrry 2023124 WY..
' Engageij with ow 2,192 ￿liarieS
' SupprAta 902 chI￿ren arKt y(wr@ Fecple in pJ&TrNe, athvit￿S
' Supported 215 8(Jults thrrAJgh ￿Ell-L￿1￿g aTKI ccfflunty leamiThJ Initia￿s, re￿￿ng In Confiden￿ and
rerg)nal growth.
' WoTked with 98 famlllesto oVeTCc￿￿ gJrth3llt(tha￿E In their fNe5
' ProwdLyJ vltal fooj 868 ￿￿.[r￿ lYMJth4ls
' s￿ured w £lm d￿rIty
' Recruit8J 16 rw v(Aurtsys onto thatty pro

EDUCATION FUTURES TRusf (REGisfERED NUMBEL" 07852922)
REPORT OF THE TRiISTEES
FOKTHE YEAR ENDED 31 MAR(X 2024
sTrucruRi GOVERNANCE AND MANAGEMEpir
Govemiw document
The Charlty is tontrc41ed ty Its d￿nrt a of tru* arKI (￿4]¢uteS a Iwntsj CLynpanyy by
g￿1rantee, as defined ty the kt 2￿6.
The Charity Is a ￿t.ts profft company with tharftab￿ #att￿. n￿￿XandUM d arbdes provKles the *uthre and
underpkn5 all b¥ork U[￿ken by the ¢]wktr.
anl
The Board of Tru*e5 meets on a mnthty A￿jaS ¥e aprxoved by the thalr orf the PA)ard 8nd Pa￿r5 are
I￿ed to Injstees week to the nwirrfj. made by Tru5tee5 promde strategfc sw and
dtreLJion, wrth the aLthoity to (htef ExwArtfve staff memitr5 ckrified in tIE CEJegated
PcM*rs PolTCy.
IndUtt￿[b and trdinl Lf Tru#ees
1ndl￿t￿n processes are In pla￿ f￿ rwi Inj#￿, ¥th) are apLyYnipd In Ilne y￿th W￿rttment L* Tru5tee5 Pol
whlth Is avaiFaNe Upc￿ request. AJI truts undertake enhanca1 ￿ ch&*%
Stsff
txjrtsw the repor￿n9 Charity empw 33 yaff acTE65 the year. all hdd enhan￿ DBS chedrs,
and ￿ed the of 16 regular volunt
At the of ￿ Ferfod of rwrtiThJ, Tr￿ 16 full thne &aff Tnuntrer&
partne￿hIp
tXJrfrrfJ the year, ￿ lOng.sts￿l1ThJ Chld Executwe * d(Avn fr(m U*ir rcle wvj a I￿12[ Exeojbve was
appointed by Trustees. Their ro￿ wa5 to th"nLE retyowtry Tnjst au055 ex#J"ng s1xat￿l¢ networks as the
Trust ￿lL￿5 the opwjrtunlty to WOTk in partnerthip. The Y•)* gtho)Is is funda￿nts] to tis crrfe purtxise and
tharitsb￿ aim& Addf(icfflalty, d2veknplThJ ￿lark)nShipS wth ￿1rtr￿S and kK21 ¢xganis)tions Is key to ensuring that
resdetrtg ne&s are met, aTrJ t153t the availatrAe ￿l￿rt is w￿ded. The Execllt￿e altend5 I(￿al a￿1 o)unty
r￿Ung5 to a￿1 exte￿1 kk7tbwthp Y*xk
Rew￿niatknn this year ha5 ￿￿li[%￿ld LeamiTrJ in the CcffnmLmlty chity whkth enab
working o)Ilatoratlvety wilh rkher aju￿ thILs partws lo kN31 a(Jutt ￿f￿.
The Charfty c(yrtinued Its Involvenw)t in ktsl wyl C￿)ference& through pre￿n￿t￿l￿ and representathn
to raise the profile of the Charity and to aok(ate for wnJNova rArtaNnes fv th￿ren, fam11￿5 and vulnerable adults.
REFERE14(Z Arm ADMINisfRATIVE DFfAIIS
Registered Company numb
07852922 (Ervjland aThJ Wdes)
Reglstsred Charity rnwnber
1146171
Re9iStered offi
The Flrs
Eltthlnstone Road
Hasbngs
East Sus
TTr￿4 2AX

EDUG4TION ArnIRES Tiiusf (REGISTERED NUMBEL. 07852922)
REPORT OF IHE TRLWEES
FOR THE YEAR ENDED 31 MAROI 2024
Trustees
S G Hubbard Tru#ee
S J manwar1￿j TrustEe
A M Bal￿￿Tr
R E Athenden Ttijtr {re9Jned 27.423)
G M Burt Trustee {wgned 27.4.23)
C S Galbrnlth Truthe
P W Ashen￿ Trustee {res¥neJ 27.4.23)
A Waterhouse (resig￿￿ 13.624)
AMReed
H M Brookthaw Local G)veMn￿ Officer
J D Hopkjns lapwlnted 29.6.23) (re*JI￿d 26.9.24)
Audito
Athdown Hurrey LThr
Statijtw Aud
20 Havdoc* RcKid
Hathngs
East Sus9ex
TN34 IBP
Solldto
Tim ￿1fte5
Michelle Prow
Surfnder Atkar
Mayer Brown lntematw￿aI LLP
201 ￿￿(p$Jate
LoThJon
EC2A 2ED
Banks
The Co-operative Bank
PO Box ioi
1 Bo￿n Street
Manchester
M60 4EP
Virgin Mcly
Jubilee House
(hsforth
Newca5tk T
NE3 4PL
CAF
25 ￿ngS Hlll Avenue
ngs Hall
We* MalliThJ
COIF O)arlUes Derrt)sfc Puwnt
Senator House
Queen Vittoria Street
Londc
EC4V 4
AUDrroRS
The audStor5, Athd(vom Hurrey thIrt(￿ Limited. f(r rfrappKintmerrt at ￿ forthcxynlng Annual
General Meetirvj.
Approv8J by onler ofthe Ikxrd oftruts on .....
19 DecembeF 2024
.. ar¥J &gn&l its beha￿ ty..
Pa￿5

EDUCATION FUTURES TRUST (REGISTERED NUMBEL. 07852922)
REPORT OF ThE TRUStEES
FOR THE YEAR ENDED 31 MAROI 2024
AMBaln

EDUCATION FimiRES IRusr
FOKTHE YEAR ENDED 31 MARCY 2024
The tru*￿ {whJ we a19) th2 dyettors (* EdLKatTh FubTr Tru* crThpany kw) are responslb
for prepariThJ the Report of ts Trust*s arKJ fits3mal StatUn&￿ in &C￿danTr with Op￿ICab￿ law and United
ngdom AC￿n￿'n9 *ndards {Untied A￿￿￿j koxmting fvath￿) Ind￿]Ir￿J ￿nancIal
Rep￿ng StarKlard 102 Tr ￿na￿JaI Rewxting &andanl aFrAh2ble ￿ the UK and Republ￿Of Ireland..
CDmpany law requlres the tnJ*s to We￿re flnarthl ttemerts fthathl year whth gNe a trL* a￿1 falr
vlew of the stste of *irs of tlk Charitab￿ ccffipany of the Incrynlng resou￿ and applicati￿ of r￿ur￿,
Induding IrKome arKI ex￿ndthre, c* chariiabk (tthpany tr that In preparirmj those financlal
statemerts, tr￿ tru*e6s a￿ Wulr￿ to
selett ￿tsble aCC￿jrt1ng aptty thw)
obsewe methods w1ndples In the (hi1ty W;
mèk£ judgements and estimates that are ￿aS0￿t4e aTrJ
prepare the finanaal statements gclrvJ basis unkn It is inappycyriate to preAmÈ the
charltabk cfynpany will Continue in b￿1￿.
The tmstees are ￿￿)Ible for keeplNJ pryr aLWrttrig r￿ts whtth wth rea9)nable a¢ajra￿ at any
tlme the flnanclal of the tharltafrk ccThpany to eroble them to mre that the finanaal 51atsnents
comply wth the (￿pants kt 2006. are resFonsb￿ safe9￿1rdIng trt assets oftt* ch8rltat* ccfflpany
arKJ hentr ts tsk1￿ reasonable step5 forthe a￿j detect1￿ of ftaud aThl other wregularit￿s.
In so far as the t￿5t￿ are aware..
there Is no relewant audfc irrforTn*kn of whkj) dwriiabk (tyryanls are unaware; and
the trustees have taken all #eps that W ought to have tsken to makE themse￿$ aware of any rdevant audfc
Infomiatton and to *blith tlwttl* are a¥Vd￿ ￿that I[ff￿tkn.
Pa￿7

REPORT OF THE INDEPENDEKf AUDITORS TO THE MEMBERSOF
EDUCAIION FlrruREsTR￿ {REGisfERED NUMBEIL. 07852922)
Opinion
We have audtie(I the finarrial Siatements cl Ed￿tI￿ RItu￿$ Ttust 'd￿rItsb[e Cunp)n￿ frK ts year eThl
31 March 2024 ￿ch cc¥nprtse Slotrment of ￿na￿l Pakn, the Ballal￿e Shee¥ the Cath How *tement
nctes to the finanoal 5taternents, indudlrrfj a 9rnry Lf s¥Jnrficant aa￿untiN p)l￿e5. The finandal reming
mework that ha5 b￿￿ appl1￿ in tlw pr￿ratti) i5 arty*K8bk law aThY Uniled ￿ngdoM Accountrw Strndards
(Unlted ￿ngd(ffi &neralty Acc(AJndng Pra*e), ￿Nial Rqthng StsThJard 102 Tne ￿nancIal
ReportSng 92ndard aprAICab￿ In the UK aTrJ Rep[￿t￿lC of IrdaTrt.
In opinion the finaThial Stateft￿￿:
gfve a true and falr wew of the &ate of the db3ritsbk (Lvnpallys atrdirs as at 31 March 2024 atxl crf ts Incomlro
resour￿ aThJ applicatic￿ of re9￿r￿, 1ndLxl￿Mj 15 trwJJTE atKJ ext￿)d￿￿. tr the year UEn ended;
have beer) property prepared In ac0vdan￿ w]th Untsl kn￿dCrfn Genwalty ￿￿P￿j Accounting Prdi￿, Ind￿1
Financi￿ RepordThJ Stsndard 102 The ￿nartial RepNJbng Starnjml a[￿ble in the LK and RetNI)Ilc of Irdand,;
and
. have been Kyepa￿d A) arAydan￿ the Of￿ Curpanies kt 2((15.
Baslsfor opinion
We condutted wr audr( fn ￿CordarKe wlth tntefft3t￿I &aThtsrd5 (UK) {ISA5 (UKI) and ap￿1(Able taw,
Our res￿))n￿bIlt￿e5 under those ¥3Thdards are fvrther de>￿1￿1 In Audthrg re9Kknslblllti@s the audit of the
financial 5tstements seythn of our reF¥)rL We are tharTrta￿e uAnrkiny In accorda￿e th the
ethical requiwerts that are ￿ILVanI to rrf ts fi￿7r￿jaI Yknents in induding tIE FRCS Ethl(al
nda￿, and the ￿0￿1C￿6 availab￿ frx snall ￿trll￿, orojnthn￿5 set out in note 21 to finandal
Slate￿Ents, and we have fulfillèj our other ethical resKrn9tNl￿s In arn)rdarKE wth tkese requremenl& We bdteve
that t￿ audtt have ¢thi￿d ts suflkknt aThJ appirfthte tD ￿de a basls for our cfinion.
Conclusions relating to goiThJ conr£rn
In audrfcing the finanaal #atew*nts, have that tru** ￿ of the gLing (￿￿M baas rf
accountt'ng in ts preparatiC￿ ofthe fffiarKial &aterwts
Ba* on the work tkive perf0M￿d, we have nrt ￿JentI￿ any material Un￿rtaint*S rekting to events or
condr(i￿5 tha¢ indkndualty iy colleth"vety, c7St spJnI￿rt (kNj￿ on the CharItab￿ C￿￿[13n￿S abl1￿ to contir￿e
a5 a gThng coTh2rn for a pthl of at kn5t iwth ftr#n finarthl statements are auUK)ri*d fc* Issue.
Our resp￿￿￿1￿￿e$ and the reswisibillt*s of tr￿￿eeS with rewt to (cy￿ern are deylibed in ￿￿vant
seLtIDns of thts rqxjrt
othw inf0m￿tIon
The tw#*s are ￿￿Ons1t￿e cther knfo￿nth. Tr tlJ)er the lrnfc￿atkn includgj In
Anwal Report, other than the fi￿naal (wr Rqxxt r* the tndwdent Audr￿r5 thereon.
()Jr opIn￿n on the finanri￿ #at￿￿nts dces nc* cw ithr and, ex￿pt to the extent (thern￿e
explicty siatej in our rethJt. (kn any fcmi (fjawrdr￿£ the￿.
In wne(tion with our athlit of tr finandal statem￿ts, ￿r respNthilrty is to the ther Informalion and, in
thirw so, cc￿￿er whether infOr￿th is rywtrrlalty incDna#gt wlth the finarrial ststsments or our
th¢)wI￿ge olxained In audit N ￿r￿se aprEars to be Mat￿la1￿ mi5Stated. If we vjentsfy n*Mal
In(Dnsistencks or apparert material Misstate￿￿, a￿ req[ll￿d to drttrmi￿ W￿er this to a rr5aterial
mlsstatement in the finaNial Ststwy￿S t￿￿￿￿e5. tf, on the 7Arrk we have Ferfu￿￿E, we condude that
t￿re Is a mat￿la1 mLs*atonert c( ths ots Informatic￿. we ¥e r￿l￿r&I to rekxrt that fa￿ We have nothlng to
repcvt in this r￿all1.
Opinions on other li￿tter$ P￿S￿1bed￿Y th"é"cofftpthèFAtt 2(M)6 "" __" _ _"'__ _"_' _"_ .
tn our opinK)n, based on the y￿rk Undertak￿ in the c(xr* of aud
the informatl(m 0￿en In Rep(rt of Tnjts the finarLial pr the finanoal Statements are
prepared is o)nslstent wtth ttE finanaal *atfftnts,' èrKI
. the Report ofthe Trustees has LEen ar*ab￿ bjal r8]uThnen

REPORT OF THE INDEPENDEr￿ AUDtfORS TO IIEMBERS OF
EDUCATION FLMIRES TRusf {REGISTERED NUMBEL. 07852922}
Matters on whlch TNe are reqvired to rel￿ by exWlon
In the light ofthe kmvA&ge and understawJitKJ of clsarrtable oJnpEny fs enthr[￿￿￿rt (1)tal￿ in the ctyjrse
ofthe audiL have identified material MISStstan￿ in (Athe TrL￿.
We have ￿thIng to rew( rrf the frAbAng matt&5 V4tsp the 2C(6 rwulres ws to report to
if, in tyjr opinion:
uate aIxoun￿ records nrt thrrs aLxJfc have not tEen receiv￿ from
brand￿$ vi5tted by u5,. C
. the financial Statem￿ are nct Thl ￿J￿T￿nt with the ac(c￿r0]rO r￿ts and r*urTrs; or
tsln dI￿lOsure5 oftrustees, remuwavon lry kiw are Mt m&Je; or
have not recth£ all the Informattcm eXp￿nal￿S ￿ ￿UIre ft* our audif, Cf
the trustees were not ertitl￿1 to take athrtage d tt* CLYnFenE5 ex¥on fK¥n the requir￿nent te
prepare a Siratsgtc Rq)ort (¥ in preparing the
Re5pon5ibilities of tnL8tees
s eXp]aIr￿ more In the Tntheg Rwi4Llkns, trus￿ (w￿> are aLw the d￿r￿ of the
Charitab￿ company purpTh5 of ccffipany ￿￿) are re￿b￿ for t￿ prepaiation of the finar￿￿]I statements
a￿1 for b*ng sJti5fi&1 that ljw gNe a a￿1 FdiT a￿1 lrtemal c￿1 ￿ the trustees detemine Is
r￿e￿ry to enaNe prwraikn (rf fm)￿1aI &alerr￿ Élwt a￿ fTee frt¥n material m￿teMent, whether due to
fraud or error.
In preparing tke finan(ial statements. the are re51xJia￿ the charttable company% ablllty to
as a golng CC￿￿rn, dL￿o￿￿Jfr a5 aptA(obLe, rdat&d to gclng COn￿M arNJ uslng the g￿rrtJ con￿rn
basis of ullless the truts either iniEJxJ tD I￿￿KIate charitsbk ccrfnpany or to cw operatbns, CT
have no realisbc allerwth but to do ￿.
Our respon$lbllltie¥ for a￿lIt of the financial $13tem
r oblectlves are to obtaln reag)nable assurantr atKxrt whetl*r the finaThial *dknents as a who* are free from
material misstatement, ￿￿ether due to errcy, aTrJ to we a Rermyt of Irvjynd￿rt Audttor5 that indudes
r wnion. ReasOna￿e assu￿￿ is a high levd of as9JrdnTr, is nrt a guarart& that an audyc ￿ndutta1 In
acc0ndan￿ wrth ISAS IUK) will always detol a nwter471 when it exi*s. Missiatements r2n frDm
fra￿1 or error and are consKJered Thb3terial rf, i￿NidU￿￿ cf in ￿ ajgwate, they C￿ld ￿SOna￿ ￿ exp￿tsd to
tnfluÈnce the e￿rxrfnk of users taka) the Lk4SS of the* fina￿￿ statements.
Irregulariti'e5, ￿￿(lIng frJJJ, are ncTrcCffiFl￿r￿e with la￿ avl roJuK3ticm& We tle*Jn prctedffts in
Ilne wlth our ￿spon￿bIrt1es. 0uu1￿1 aL￿e. to (*l￿t nknl In respeLt of irreguLirf(ies, Inéudl
fraLKI.
tXJrlThJ the ￿annIng staJe ￿ thls aud* we (C￿￿K￿red w￿u￿?rfties aroLThJ LIw5 aTrJ regulat￿n5
relevant to charlty, indudlrrfj erquiry rf man￿￿t ￿￿e tharged wlth g(Verna￿. These were al
d&ussed durtw the audlt pknnlng meew hdd by team. We d￿ri￿5 sy&em5 and controAs In
[￿Ce, and fc#Thed an aswsrnert 35 to th￿"r opeTrlJJnal L4f&lfver£
We ot*alned an undersianding of the legal ￿ reguiat(My that a￿ a[WlCab￿ to ertty and detemiineij
that the rTh)st ￿gn￿(ant are relate to:
-Tne financial T￿Or￿ng *anda￿. FgS102
.He&lth and sa
.Empknyn￿rt Law
Based on res￿￿ of ￿Jr rig< ossesTrnt we aLxJit txr￿dureS to wjentify ncn-CCfnpbanTr
aws an
ons
Durlw the course of thts aKJit the team dixu*ed ths am wth ￿￿￿L*l5 of (tsrlV5 ¥2ff and also carried
Ixrt a review Of￿al eXFew for evhkn ￿.
We C￿5#￿ered tt* rlsk of fraud thrwgh mawrnt thefTkle atxl. In t&ng of manual
Joumal entrfes into •JdTt apwtsch.
We a￿ therefore of that h*nYfted. I￿r wc(edU￿ ￿￿1 undertaken, are
adequate for irr￿ular￿e￿
A fijrther desolW of our respJnsbif(￿s fcf of ￿ fina￿￿ &ateft￿ts L£ on the ￿nanUal
Repo￿ng Counol's ￿eL￿te at wym.froorg.uk1a￿jrt￿￿e5pj￿'1th& fc¥Tn5 part of ￿r ReFth of the
Inde￿d￿t AudttrJt5.

REPORT OFTHE INDEPENDENf AUDrroRS TO THE MEMBERSOF
EDUCATION FimJRES TRusf (REGISTERED MUMBEFL" 07852922)
Use of ow report
This ￿port is rllade Y￿elY to tIE thaTikLl£ Lrqnpanvs n￿rn￿, as a bDJy, in aca￿dan￿ Ylth thapter 3 of Part 16
of the Companies Art 2Cffi. Our audlt has beej) u￿ken g) that vie mijht 43te to tke Charftsb￿ company
membets those rnaiters we are r￿UIr£I1 to #ate to them In an ￿t￿#t and for ￿ Ol￿r purpose. To
fullest extent pemiitted by L￿, we do nrrt acwt cr as9ffFE re5PW5I)ilTri to an￿e other tron tharthlAe
cunpany a￿1 the thritsb￿ cunronys r1￿￿5 as a iKxty, ￿Jr audrfc wurK fLT th15 rep￿¢ or for the wnlons
IKve fornied.
Mr Sttjart Rosllng FCCA (Senior Ststuw Audittyl
for and on behalf of Asmown HwreyAudthrs L￿rt￿l
ststutthy Auditor
2D HavekK* Ro&J
Hasungs
Ea* Su55ex
TN34 IBP
19 Decefflbek 2024
io

EI)UCATION FIMJRES TRusr
(JNCORPORATIMG AN INCOME AND EXPENDrnIRE ACCOUTrffj
FOR THE YEAR ENDED 31 MAR(>12024
313.24
Totsl
funds
313.23
Totsl
fund5
fuNJs
INCOME AND ENDOWMENTS FROM
t￿)n8￿OrnS and ￿aCleS
25W7
25.897
32,244
Charftable acthiÉties
Operation of olarttabk ser￿e5
974,050
974,050
940￿54
(Xher tradlng acbwtses
Inveslrnent I￿on
18,202
14,205
18,202
14,205
67,5
4,949
Total
I￿1354
1,032,354
Im5.320
EXPENDThURE ON
RaisrwJ fund5
13,549
Charitable actAvltles
OpEfdtion of chaHtstAe stswce5
685,827
131556
817,1￿3
915,861
692,715
131,356
824,071
929,410
NEf INCOMEI(EXPENDmiRE)
339,639
(131?56)
208,283
115,910
RECONCILIATION OF FUNDS
Totsl furKls browJht forward
9[6￿77
1,356
I,(AO,233
924,323
TofAL FUNDS CARRIED FORWARD
1248516
1,248,516
1.040,233
Page li

EDUCATAON RrruRES TRl￿ (IiEGJSIERED NUMBEIL. 07852922)
BALANCE SHEEr
31 MARCH 2024
31.3.24
Total
funds
31.3.23
Total
funds
futxts
FIXED ASSErs
TaThJlble assets
15
653,078
653,078
459.359
CURRENT ASSErs
Debknts: amunts falling due within year
CAsh at bank and in haTr
16
79,471
568,597
79,471
568,597
131,147
697,223
648,068
828,370
CREDrn>RS
ounts falllng due ¥Tr*hin year
17
151630)
152,630)
(247,4961
CURRENT K45Efs
595,438
595,438
,874
TOTAL ASSEfs LESS CURREpff LIABILrrIES
1,248,516
1.248.516
I,(MO,233
IS5ETS
1,248,516
1,248,516
1,1)40.233
FUNDS
iJnr*lrted funds
19
1,248,516
908,877
131,356
TOTAL FUNDS
1,248,516
1,040,233
finandal slatemrt have preF43rgJ in Kcc¥tja￿2 pr(M9(￿ ap￿I￿Ne to tharttsb￿ ccffipanles
Jbiect to the Small conwni& rejime.
rI￿and[l siaternents ￿￿e apwed ty knrd c* TnJ#ees aTrJ aUthori￿d for 159Je on
19 Decefflbek 2024
. aThJ were siJn&l ￿ fts tr£ha￿by.
AMBal
Tru
S G Hubbard - T
Page 12

EDUCATION FirruRES TRiisr
CASH FLOW sfATEMENT
FOR THE YEAR ENDED 31 MARC*1 2024
313.24
3L.3.23
Cath gen￿dted frcm opErdti
246,099
Net Cash prov*ed by or￿atIng ￿lueS
Cash from Invesllry adivlths
Purthase of tsllglb￿ ftXEd a
Interest recelved
(227,419)
14,205
1481,895)
Net cash used In Invethg ￿tsvIbeS
(213.214)
(476,946)
Ch￿¢ In cash and ush e<Nl¥alwts in
reportlng pwlod
Cash and cash equivalerts at the
beglnnlng olthe rePO￿￿j period
(128,626)
(230,847)
697,223
928,070
Cash and osh equivalents at the ernl
of the reporting period
568597
697,223
13

EDUCAfLoN FirruRES TRusr
P40TESTO THE CASH FLOW ￿ATEm
FOR ThE YEAR ENDED 31 MARCH 2024
RECONaLIATION OF INCOME TO NErC￿ FLOW FROM OPEIiATING *lCllVI
31.3.24
313.
Net in(*Jme for the reportirwJ perh)d (ag w the Stat￿￿&￿ of
Finandal Activities)
Adjustments for:
Dweciathn tharge5
Interesr r￿fved
CEcxeasell1￿W5e) in (kbtfXS
(DeLTea5el/incTease in credth)r5
115,910
33.700
(14,205)
51,676
(194,866)
22,536
14,949)
19,6(Kl)
122,202
84,588
246,099
AP4ALYSIS OF CWINGES IN NET FUNDS
At 1.4.23
Cath fbw
At 31.3.24
Net Cash
Cash at bank ar¥J In hand
697,223
(128,626)
568,597
697,223
(128,626)
568,597
Total
697,223
(128,6261
568,597
The note5 fcm) ￿rt (rfthese finandal #atem￿ts
Pa￿￿ 14

EDUCATION BJTURESTrLIST
NOIESTO THE FINAPICIAL STATEMEfiTS
FOR THE YEAR ENDED 31 MARCII 2024
srATufoiiY INFORMATION
Educati(￿ FubJre5 Tru* & an Inc￿ tharty. limttoj iry guarnntee. ￿J1Ster￿l In Eng￿￿1 & Wale& The
charty% re91*er￿1 ar￿ Lffte ethress can ￿ frAMKt In ￿ Rwrt ofbk Trust
AccouffflNG I¥)UCIES
Bast5 of preparing the finJrK¥ st*emenis
The finarKk41 stsbnents of the charitsb￿ cclnpany, %%41th Lg a wblic benefft ertty uThJer FR5 102, have been
preparol in K£(¥dan￿ ￿th tre ch]r￿e5 (FPS 1021 'P£oJmtJng and Rwrting by Charf(ies: Statement
of Reconrwded Prdcti￿ ¥Wi<2b￿ to thartt*s weparing acc(yJnts In accor¢arKE with the Finandal
Retx)rting StarKlard app1K?kn￿ in ￿ UK Reputit of ￿n￿ IFRS 102) (effectjve l January 20191,,
Fina￿￿1 Rep￿Ing Stsndard 102 Tr ￿narthI Rewthj Stsrthrd applKable In ihe UK and Rewbllc of
Ireland, Art 2C(6. hase been p￿par&I under the lkntal (ost
conv0)tsC￿.
In preparirrfJ tIE finarKial *ater￿nts, are reqLir8J to ff￿ke an aswment of abillty of the
dk7r]ty to contiNe as a C£￿cern. Tr trustees have p￿￿r￿1 a o5h fC￿tr for the ctharity whlth
covers the 12 monu) perKKI fr(¥n the date c( 5￿JnIng d￿se finaTh2￿ statsmerrts. Poain* backdrop of the
cov1￿19 Pdndwnlc a 're¥e￿ St￿ test i*en aP￿￿d to ￿ f￿ts5, sethJrvJ to establish the of
Ilquldty ￿rE￿n tharlty LS eXFÉtsJ to ha¥e duriro thts 12 goi¥J con￿rn perfol.
Cn the bass of t￿ fwa#s t￿ frdtt that has 9JbYantial n* current assets and rt as%ts,
the trustees are ccnfident that tr dkirity has &kNiJate re5)Ur￿ to condnue In operational existen￿ and to
meet ts l*biltOes as tjw fall due fLr fore5eeatAe fithre. ￿ a re&j￿ of tke above, the tru￿￿ have
a)ndudgJ that r( renwI[￿ appffjyote to &J(4* a gcfjKJ cL￿n basls of ￿q)arat￿￿ kn these flnandal
5ktetMerTts.
I Incnme Ls reccfjnised ui Stater￿t of FThndal ￿￿ties dwrty ts3s entidement to trt fu￿J5.
it is wobat4e that the Ino)me will aJ¥J r3n be n￿sUr￿ rdk)Yy.
lTh)yne ts defeN& in to rdi*l tr wvKes wovkled after the rewJting
ExpeThllturn
abilities are reccN3nl*d as exp&KIth as a5 there 15 a regal or ON￿a￿On Lrmmftting the
charity to that exkErKlittJre, it Is tw a trar￿￿ of ￿noMiC t*nefrts ￿11 IR req￿red in setuement
and the atnount of the obllga1l￿ can ￿ rr￿3￿red rdlably. Exrmdthre Is ￿)Unted ts on an acuua15 ba￿S
and has been da99fied under heading5 that ￿r￿Jate al c05t ￿lated to cat40ry. Where costs chnmt be
dir￿tty attritNJted to partkwlar WrKJs ttw al￿￿3￿1 to attlvibes on a t)a* o)nsistent with the
use of regxjrces.
Tangible ￿e￿ assets
p￿lat￿n 15 provKJ￿1 at the fdbMTrJ amual rnte5 In tydw to fft off eath asset over ts ￿n￿ted LEaul
Ccryuier equipment
. 33%oncc
Ta￿￿n
Fund ac¢ourtiNJ
Unrestdrted fun(L£ can te useAI in ￿Kdan￿ with the djatitrdble cèJeth5 at ￿ dlmuon dthe trJ5tees.
Restrkt&l funds onty LE LLsed ts partiojkr r&rKled purTKSeq vAthln the objeLts of the thèTIty.
RestriLtons arise when S￿)re1 by wlw fvnts are rdi*d fcf partiojlar reyycted purrKw.
Jrther e*arwfjc￿ ofthe nabjre aThJ crf eath furvj Ls knyuded Sn ThAe5 to the finandal statemerts.
Ihe charitable c[Kn￿￿nY operates a defi￿ crmts1but￿jTr p￿)Skn 9￿￿￿. Coyrtribut￿Jns payable to the
charitatrAe c(mpanVs thne we to ￿ Stat￿rt c* Anan￿1 In the wiod to
whkh they relate.
ccntinued...

EDucA￿oN FLryURES TRU
FOR ThE YEAR ENDED 31 MARQI 2024
The chanty Lyerdtes a thiniste￿j by the F*n&C￿ Tru* Co, whlth is aL*J open to
all employee&. Tr dwrity Ikis agr*1 to nk3tth an ￿pk￿.5 c(xtrilxhtiorLS.wrfchin the rdnge of mInim￿ 6%
to a maximwn 8% when they k1en￿fy thdr own thne. &aff ¥￿ll be eruAJra￿I tD (￿￿t￿but￿ but
will be aL* to ott out ifthEy kYTth.
DONATIONS AND LEGACIES
31.3.24
31.3.23
Donath￿S and gift akj
25,897
32,244
31.3.24
31.3.23
Fundrt4ng wents and cafe
18202
67￿￿
31.3.24
31.3.23
De￿It accourt kntuest
14,205
4,949
31.3.24
31.3.23
InVol￿d
161,K
736,526
76,118
141371
717,973
81,210
Grants
(kner Income
CYerab'￿ (*dwriiabk s￿￿e$
974,050
940￿54
GTrnts rccdved, the are asfdicths:
313.24
31.3.23
653,792
RAXSJNG FUNDS
Othor trndlng a¢tl¥ltles
31J.24
313.23
Purcha
13,549
P￿16
contiNed...

EDUCATION FLTTURESIRUST
NOTES TO THE FINANCIAL sfATEMEpifs. c0rtirx￿d
FOR THE YEAR ENDED 31 MARCH 2024
Lirett
Co*5 {
Jte 9)
SuppK*t
co*s {*e
Thxe IOI
Trtals
ltsratr)n of tharttatle suvkes
2,783
14,4(M)
817,183
31.3.24
31.3.23
Stsff co#s
Establishment costs
Stsff travd ar¥J trainir4J
runnlng c(tsts
Bad detts
Projects &c(NJrses
506,253
40,661
7,222
T3,￿7
2,623
136,517
33,7(X)
519,248
50,383
1408
65,301
252,385
22,536
2,783
912,261
10. SUPP(¥iT a)srs
Al £Ynd￿u￿e is ￿court￿l fN on an aTJwts l)& and has teen i￿￿(KI￿[ uTrler exkEn* cate9orles that
agg￿ate all cc6ts alkntiC￿ to Where cc6ts cannrt be dlrecty aitrif*JW to pwknoJFar att￿e5
Iwe ￿en all(tated a basi% oM%stert ￿1th rwJrce5.
Overhead5 have be￿ alkn7ted C￿ the baAs c( alk)3t>)n.
11. NEf INCOMEI(EXPENDrruRE)
Net inrrfflel{wndthre) i£ ￿ated after olarglngll(yalltSro).'
31.3.24
31.3.23
Audthrg rununerat
14,4LK>
33,7C
22,536
IZ TRUSTEES REMUNERATION AND BENEFrrs
were no trusteeg runuI￿at￿ ¢y ftr 31 Marth 2024 nrx ftx the year
ended 31 Marth 2023.
There weTe no tru*eeg e>pms pahj the year 31 Marth 2024 for the year end8J
31 March 2023.
Page 17
(L￿nue￿...

EDUCATIIXI FimiRES TRUST
NOTES TO THE FINANCIAL STATEMEfus- contlTh*d
FOR THE YEAR ENDED 31 MAROI 2024
13. sfAFF cosrs
313.24
31.3.23
Wages arxl sok4rfes
ial securtrty crtsts
Other ￿ns￿)n coys
459,Q)2
29,657
17,504
469,414
30,895
18,939
SO6,￿3
519,248
31.3.2
31.3.23
overage morthty runLv ofunrtyes ¥
31
The average nun*w duthvJ the was:
18
18
The average rnonthty nwntw C(wn￿ees duty ￿ year ￿ as f￿￿?￿5.
313.24
31.3.23
No allp10￿S rffelved eKe55 cf £60,￿).
Key management roles
TrAal empbyee under FIiS102: £141.131
14.
Unre5triLtsJ RestrthE1
f￿d5
Total
fvndg
INCOME AND ENDOWMEPlfS FROM
Donabons and bjades
312H
32,244
Charftable alllvltks
c￿era￿On of charf(able sth
750,2C4
190,39)
940,554
(Xher tradlrg athlues
67,573
4,949
67,5fJ
4,949
854,970
190.350
1,045,320
&XPENDlllJRE ON
Raisng funds
13,549
Charltsble èrtivities
Q)eraUon of charitable
TJ9,833
176,028
915061
Trtal
176,028
929,410
INCOME
Transfer5 between fvnds
ioi
(12,886)
14,322
12.886
115,910
Net movement In funds
88,702
27,208
115,910
RECONCTUATION OF FUNDS
Totsl funds brought f(*ward
820.175
104,148
924?23
Page 18
(DntiTx￿...

EDUCATION NmiRESTRiisr
NOTES TO THE FINANCIAL sfAIEMEr￿s. aMrtiThRd
FOR THE YEAR ENDED 31 MARQI 2024
14.
Unreyjlrted
fvnds
RestridEd
fvnds
Total
funds
TOTALFUNDS CARRIED FORWARD
908,877
131256
1,040,233
15. TANGIBLE FIXED ASSErs
cL￿PL
equipment
m&hin
Tctsls
At l Ayl12023
Id￿L￿6
477P)4
225,655
4,1Wl
1.415
483,310
227,419
At 31 Marth 2024
703.459
4,CV>I
3,179
710,729
DEPRECIATION
At l Aprll 2023
Charye for year
21.718
31463
818
655
1,415
23,951
33,700
At 31 Marth 2024
54.181
1,473
1,997
57,651
NET BOOKVAWE
At 31 Narch 2024
649278
2,618
1,182
653,078
31 Mard) 2023
456,
3,2TJ
459,359
16. DEBTQIS: AMOUNTS FALUNG DUE wrrHIM OME YEAR
313.24
31.3.23
Trade debtDf5
Cther debtors
A0T￿d I￿(
49,456
439
28,205
1,371
51,025
600
41,636
37,886
79,471
131,147
17.
313.24
31.3.23
Trade ugJttor5
Sock31 security and cts taxes
Other credit
Defened Inccm
5,754
6,555
10,760
13,817
124,494
5,809
10,915
94,484
52,630
247.496
19
c(mUnued...

EDUCATION FUTURES TrUST
FOR TrE YEAR Ef4DED 31 MARQI 2024
I& LEASING AGREEMEIITS
Mlnlmum knse pkiyynents urmkn n￿￿(a￿￿1)l￿e civab'TrJ lew fall due as f￿h￿S.,
31.3.24
31.3.
W5th1n year
c￿e and fve years
In mcfe than fTve ythrs
15,(¥))
60.LXx)
160,000
14,500
60,000
175,01
235,LK(I
249,5
19. MOVEMEKf IN FUNDS
Net
At
31.3.24
At 1.4.23
in funds
GenetBI fund - Current assets
Generdl fund . TarKJrtle ass*
497,101
411,776
339.639
836,740
411,776
339,639
1,248,516
Re5tdcted fuTKIs
BBC Chlldren In Need
Nat￿TraI Lottery. COWID SuFr•Xt
Nat￿n￿lde
CHART. cu￿ert a*ts
CHART- TangitAe assets
This GIH Can
Flrs F&- Vlrgkn Medla
Polke and G1rne Commi5SK>￿5
33,231
90
319q8
15.421
47,583
(33,2311
1901
(32,9481
(15,421)
(47,583)
13)
1526)
11.554)
526
1,554
131256
(131,356)
TOTAL FUNDS
1,040.233
208,283
1,248,516
Net moverrtht In fy￿ls, Indudal kn ￿ at￿Ye are as f(￿￿5.
tTKcrfnlr
In fund5
Unrestricted funds
Genernl fuNI- CutTa)t ass*
1.03U54
(692,715)
339fi39
Restrlcted fvnds
BBC Chldren in N
Natlonal L•. (l)vtD Susijxt
NatiOnW￿Je
CHART. ￿r￿t ass*s
CHART- Tangibk a55ets
This ¢3rf Gin
Flr5 Fest- V￿gin Media
(33,231)
(33,231)
{90)
{90)
3-1,94&)-t>2,9
(15,421)
{15,421)
(47,583)
{47,5S31
(3)
(31
(526)
(526)
(1,5541
(1,554)
{131,356)
1131,3561
TOTAL FUNDS
I￿32,354
1824,0711
208,283
Page 20
ojniinued...

EDUCATION FuniRES TRiisr
NOTESTO THE FINANCIAL ￿ATEmE1¥fs. Contirn￿d
FOR THE YEAR ENDED 31 MARCH 2024
19. MOVEMEKf IN FUNDS. o)nthM*d
Tran￿er$
At
31.3.23
At 1.4.22
In funts
fijr
Unrestsicted funds
GeneTrl fund- Current as
Generdl ftmd- Tangib￿ ass&5
820,175
121,196
119,608)
{444,270)
431,384
497,101
411,776
820,175
101,588
(11886)
9￿,877
COM￿ RelEf
thiklm in
15.105
{23,068)
{21,B51)
(6.991)
(7,W)
33,231
6,931
Nationtl L• Ccfflmunty Ajnd
Natlonal Lotttry. COVID
Nallrffithje
(%ART. Currert assets
ART- TaThJiiAe a55ets
Live WorkTh
Thls Gid Can
rs Fest- Mryln Medla
Children in N&- fv*)ney Heroes
PcAio arKI Qwne c￿nn￿l￿eTS
43,599
(37.258)
{10,651)
103,190
(2,928)
17,760)
{3,4￿)
(90)
{I,Doo)
{3,369}
32,948
15.421
47,583
(50,SII}
50,511
7.760
616
526
4,923
1,554
104,148
14J22
118B6
131,356
TOTAL FUNDS
924?23
115,910
I,W,233
Comparative net ftJThY& in abNe a￿ a5 ft4b7hs:
in funds
Unr85trirted funds
Genernl ftJNI- Cjuratt
General fuNJ- Tangibk assets
854,970
(T33,774)
(19,608)
121,196
119,608)
854,970
53,382)
101,588
Ic Rellef
BK ChI￿ren kn Need
19,049
396
142,1171
122,247)
(6,991)
17,6K))
{10,651)
{23,068)
121,851)
(6,991)
(7,680)
{10,651)
NatKJnal Lottvy cC￿￿tlY Fu￿1
Nationwde
IART. Tangib￿ ass#$
Lfve WorkThrfve
Thls Glrl Can
FI￿ Fest- Vlrgln MedJa
ildren in Need- Money Herces
Sussex Ccmmunity ￿ndat
Pc4t£ Crime CCmft￿S￿0r
(2,928)
(29,287)
(3,4K))
{90)
(1,(￿)
(8.993)
(3.369)
(2,928)
(7,760)
13,480)
{90)
11,(KJo)
21,527
13,369)
190J50
(176,028)
14,322
TOTAL FUNDS
1,045,320
(929,410)
115,910
Page 21
[tintin￿...

EDVCATICkY FLTTURES TRusr
NOTES TO ThE FIN*JICIAL sfATEMErit5. a)ntlrxRd
FOR THE YEAR ENDED 31 MARQI 2024
19. MOVEMENTIN FUNDS. (￿ntinUed
A Cu￿ent year 12 morrths aThJ year 12 nK4)ths kK&Lkn) iq as fc41Ms:
At 1.4J2
In funts
funds
313.24
Unrestricted lunds
neral fund- Currwt as*ts
General fiJnd- T3￿JIb￿ ass*s
820.175
460,835
(19,￿)
1444,2701
431y4
836,740
411,776
820,175
441227
(12,￿)
1,248,516
Restrlcted fvnds
Corntc Rdief
BBC Chthfjr￿ In
15,105
123,C68)
155,(W21
(6,991)
(7,680)
(90)
(43,599)
87,769
150,5111
(7,7601
(3,483}
(616)
(1,000)
(4,923)
7,963
6,￿1
Nattonal Loitery comm￿lty Fund
Nattonal Lottery. cO￿D Supyxt
Nkn'onwrde
CHART- Current assets
CHART- TaThJlble asq4s
Live WorkThrNe
ThLs fjrl Can
Flrs Fest- Vlryln Medrd
Chlldren in Need- Money Her
p￿￿e and Crime Comrnissone
43,5
(37.258)
(50,511)
50,511
7,7f￿)
616
4,923
I¢M,148
{117,034)
12,886
TOTAL FUNDS
924,323
324,193
1,248,516
cortlnued...

EDUCATION R￿UREs TAusr
NOTES TO THE FINANCIAL sfATENEr￿5.
FOR THE YEAR ENDED 31 MARQI 2024
19. MOVEMENT 114 RINDS- continued
A awrwt year 12 star 12 nu)nth5 (xThlx￿￿ net nThj%En￿ In fvnds, in lthe above
are a5 follows:
R£￿r￿S Movement
Sn fvnds
Unrestrlcted funds
nerdl ful￿ - Ojrrent a￿5
¢kneral fu￿ - TarwJlbk as*ts
IW7,324
(1,426,489)
{19,608)
119,608)
I￿7￿24
(1,446XJ97)
HI,227
Restrfrted fiuvls
Ccfflic Rel
BBC a)iklren in
19,lJ49
396
{41117)
{55,478)
(6,991)
(7,680)
(￿)
{43.599)
{52,616)
150,511)
(29,287)
(3,483)
(616)
[1,￿0)
{8,993)
(4,9231
(23,068)
155,082)
(6,991)
17,680)
190)
{43,599)
87,769
150,511)
(7,760)
(3,W)
(6L6)
(I,orKJ)
Natlonal Lotw Communty Fund
Natlonal L•. O)VID 9JFPJt
NatIo￿de
140285
a4ART. TangIb￿ assets
WtykThrfve
TMS C)n
r5 Fe5t- Viryin M&Jhi
Chlldren In Neol- Now Herces
Sussex Comrnunty Foundat
poll￿ Crime CoThwnissi(ws
21,￿27
8,933
(4,9￿)
190,350
{307,384)
{117,034)
TGfAL FLI4DS
2,077,674
{1,753,4811
324,193
20. RELATED PAirri DISCLOWRES
Steve Manwarfng (frusteel is the (S) of Vthntary an ffta4nthre ￿ganIs*￿n wh￿h ha5
prtd the Charty its ir￿￿.
cl￿ Galbrth is a Tr￿ atTr Mè*akn & Owtity. to n￿ke bkts ft¥ grants.
l tru&ee5 are required to d￿re any Inte￿ at ￿InnI￿ of any tru* meetiNJ& akng ￿1th abstsining
fr(Mm any dectsth to the organlsatkns to whkth ty a￿ Ink￿1.
21.
In a)mrrK)n with many ther busir*sses L* wr ￿ arKI nature Ltse ¢JJr aLKlitcfs to p￿pare aThJ gjbmfc
returns to the tsx a￿1 assL< th the rwt3tkn rfthe fo)ancts] tht￿nts.
ilnued...

EDLICATION FUTURESTRUST
FOR THE YEAR ENDED 31 MARCH 2024
21 RESERVES
It 15 the polry d Ed￿ath)n Futures Trust to mairrtaln In ade]uate reswi to cw the cc*As that have been
k*ntifjed to ￿re the SLL4Ainabilty o¥yanl&7tiM. Rese￿ be L￿j as fDIILFtY& RerTr)ved ftrffl
reserv￿ for use in 202+2025.
' R¥￿n￿nCY aosurn Resorwe (£175.Ix(i) . n*eih¥J the co* of rvjundamy of staff dThild
ca34pn arf*, for othw y OFety l(aNW5.
' Operational Free Reserves (£393,597) - ￿￿31n1￿ free ￿ser￿ we In with current guidan
and against the pc6siEiW of an emergerLy or dher r￿d as Unforese￿ orErational co#5.
The reserve5 pc4icy is revl&%* annualty. The gatement of finanoal attivitses reflects the level c( reserves as
at 3tst Marth 2024 and r pvrFw.
23. PENSIONS
(knr the year, Edwat￿n Fubr¥ Tr￿¢ cTrfrllKj￿ to a c￿bUll(￿ Sd￿rne wth the Pawe's
Pen4on FuThl for a totsl cf 30 Staff.