REGISTEREO CHARITY NUMBER: 1146388
REPORT OF THE TRUSTEES ANO
FOR THE YEAR ENDED 31 MARCH 2024
THE ALLEN T.RVST
Sander Accountsnts
869 Hlgh Road
Lotthn
N128QA

THE ALLEN TRUST
CONTENTS OF
E FINANCIAL ST
. .￿￿31. MARC.H￿Qll
LKDIE YEAR. END
Page
R•port of the Truste0•
1 10 2
Ind•pend•nt Examlntrfs Roport
stst¢m•nt of Ftnanclal Actlvltl•J
B4linc• 8h••t
Not08 to th• Flnanclal Statémènts
6 10 10

THE
.￿HE ￿￿E￿LEp 31.MABQII IQ24
The trustees present 1hèir report wlh the financial slalamènts of the charity lor th& year endad 31 March 2024. The InJslee3
hav8 adopt8d tha pmvi*i0rn8 of A￿111n￿.ng and Repor￿"n9 by Charities.. Stslemenl ol Recommended Pracb"ce appl￿blO 10
chanb'es preparing th8ir accoun18 in accor(lanco Mlh the Financi81 Roporlifig SlarKfarrJ applicoble K the UK and Republlc ol
Ill￿arKI (FRS 1021 loffocAive 1 Janu8ry 2019}.
The alxounts havc bocn wcpared In occwdpnce wffth the Accounllng polId￿ oel out In Noie 1 to the B￿nts and CDmpty
wilh lh¥ Cliarlll¥ govemlng documenl und 1110 Charilies Act 2011.
OBJECTIVES AND ACTNMES
Oblectives and almo
The objects ol tha C.harffy arg for thè rèlel ol person5 anywhere in Ihe world who are In condilKJns of need, hardship or
distr855. 8rHJ has mAlnlAin8d this objective within lh8 peri￿. The tn181888 wll corilinu8 10 8aek out worlhy cau8è5 and, on
agmmenl, wll donata to them. In $0 dolng. the INsloe$ conunue tho Ch8rfty act1vl￿e5 f¢* th¢ publk bonèfi(8nd hence
olve due rogard to tho Charity Cammlsslon wSd8nce.
The pc41cles odoptod In furtheran￿# of th¢86 objects are #s dewlbed abovo and th•r• has been no changvt In th￿ durlr¥a
Ihe year.
Th@ tsu81è89 havi pold due regard to guldarte Issued by thè Charity Commission in dedding what adivib'&s Ihe Chanty
sh￿Id undertake.
ACHIEVEMENT AND PERFORMANCE
Charftobl• actlvltleB
The trust h8s ttjnllnuod lo $upForl thadthblo caus9$ as d8s¢rbod In thg not85 lo lho￿ aetounts.
FINANCIAL REVIEW
Tho trust ¢onllnuos to hold SI￿1￿c8n1 rnsoureos arKI ho$ eamed t)onk Inler081 kn the yoar or £31,038.
Inve8trnenl8 hovo b8èn made by1gn(ling lo bu8lnos8' ar￿ Ind￿thA1,5 Ih81 has 811wd for 8ub8tanlially greatèr inl8re61 ¢0 b&
oamed ihan malntalnlng rKJm)al bank d6F4)sirs.
Inter981 In thg year Irom Investrnonls 8$ bens was £18,197.
Tolal don8lions rncew In Iha p8rfcpJ wor8 £85,247
STRUCTURE. GOVERNANCE AND MANAGEMENT
Governlng document
The ¢harty ib CLJntroll8d by itx govèming d¢xvmgnl. a d8od oftrust und eonslilules an unincorrKJraled charity.
Ro¢rultrn•nl and appolnimont of n•w tru8too5
The powor of ap￿IntIng and removlng trusleeg Is vostod in the extsilng tru$la89 01 Iha ¢harrty. Any tnjstoo momber
appdnlod shan hokl of11￿ onty unlll ngxt AnnuHI Goner81 MfJBting when they VAII be el￿1b18 for rwlectK)n.
Oro•nl•allonal •tructuro
Al dgclskns are leken by tW51è•s and agreomenl M￿je by molodty vots.
Inducllon and tralnlng of n•w tru*tsè•
1119 not con8iderod Ihat any speufi¢ roqulrnmènl8 are rgqulrod for tralnlffJ or Indueuon ol1rn81ges lo Ihls Charity olhor Ihan
the gu*JarKe froffl Ihe oxlsting tru51ees.
REFEReNCE AND ADMINISTRATIVE DETAILS
R9gl$tored Charlty number
1146388
Prlnclpal •ddrOSB
Cedar Bam
Wcodh811
Hungry Hdl Lang
Sgnd
Surrey
GU23 7LG
Page 1

TH_E ALLEN TRIJST
EEEQB￿.F THE TR
TEES
FoR￿{.£.Y.EAR EJADED 31 MaRQ1t2￿4
Trustees
MrADMAIoTr
Ms M Pdlitt
Independ•nt Examlner
Mr G. Gaorgiou
Sandor Accountsnts
869 High Road
London
N128QA
COMMENCEMENT OF ACTIVITIES
Th8 ch8rlty ¢ommenced its aclNits8s on 14th March 2012.
ye&byorderof.Ih8 trkwd oftrusteoy on 29 January 2025 aThJ 61gned on Its bahaif by.
MrAOM
Page 2

NER.
PORT T
TH.E ALLEtIIB
THE TRusTE￿F
Indopsndont &xamlnofs rnport to thg trustees ol Thg Allgn Trust
I wort ¢0 the ¢harity truslco9 on my exemlnatlon of the accounts ot The Ajlen Tnjst (the Trust} lor the year ond9d
31 March 2024.
Responslbllltles and basls of roport
AS th8 charity Im818as of Ihft Tnist you aTe resF4)nsibl8 lor Ihe preparauon of ihe acxounls in accordance wrth the
requir8mènis of the Charities Act 2011 Ctha A¢f).
I rep)rt In r95pe¢t ol my examlnalon of Iho Trusvs aC￿￿ThIS c8rrfed out LiTrJer Sgctbn 145 of tho Act and in carrylng oul my
oxamlnalion I hava followed 811 apptlcablg D1￿ctiOnS given by Ihg Ch8rNy Commlsslon under Se¢lion 145lSllbl of Ihg Act.
Indwmdonl oxamlnefs •tst•m•nt
I hBve compleled my gxamin8iion. I confirm that no mplortol matters have com6 to my ¥tt8nlhn in connedion wilh the
examinatson giwng mo G4u8e lo bali8v8 that in any material mped..
artounung reeL¥ds wwo not kopl In ofthe Tn￿t as requtred ty Sectlon 130 of th8 Act.. or
the accounts do nol Bcc0￿ wllh Ihoso rocords., or
Ihg o¢ctyJnts do not comF4y wlth the 8pplicabt& requSromonls o)ncemlng thts form and contenl of accounts scl out in
Ihg Ch8rfUa8 (Atcounly 8nd Report81 Reyulatlons 2008 other IhBII ony reqtsli&mènl Ih81 Ihg occounts glvo 8 tru9 8nd
lair viow whkh is not A mallgr rAJn8ltJ8red a$ part ol an independent examinats"on.
I havo no (>Jnc8ms and have CAim• a¢ross no olher rnatte￿ In wnnèctitin wtth Ihe examknallon lo whth attonlion Should bè
drawn In Ihls ioport In order lo enabla a Proper under51andlrvJ of thè a￿￿nIs lo be reached.
MrG.
Sonder Acc¢JJn
889 High Road
London
N12 8QA
29 JBnu8ry 2025
Pape 3

THE ALLEN TRU..ST
2024
Unresinclgd
fund
2023
Tot81
fiinds
Notes
INCOME ENDOWMENTS FROM
Donathjns and legad69
85.248
42,858
Invesbnenl Inccm8
49.235
28,891
Totsl
134.483
69,749
EXPENDITURE ON
Rai8iryd fund
1,600
Charltabl• actlvlt1•8
ChJrltable donaU¢Jns
97.041
327,070
Oth
7.959
5,607
Toi41
106.600
332,877
NET INCOMEIIEXPENDMJRE)
27.883
1262.928)
RECONCILIATION OF FUNDS
Tolal fur>Js bioughl Iop•VArd
1,904,521
2.167.449
TOTAL FUNDS CARRIED FORWARD
1,932,404
1,904,S21
The notes form part ofthoso finand4 statements
Pagtr 4

2024
Unroslricted
lund
2023
Total
nds
Note8
FIXED ASSETS
TangiN8 assets
118,400
CURRENT ASSETS
rjeblors
Cash al bank
976.276
842,184
968,973
941,906
1,818,460
1,910.879
CREDrroRS
Arnounls falllrg duo wlthln onfr year
14.4561
16,358)
NET CURRENT ASSErs
1.814,004
1,904,521
TOTAL ASSETS LESS CURRENT LIABILMES
1.932.404
1,904.521
NET ASSETS
1,922,404
1,904,521
FUNDS
Unrosirfcted
10
1.932.404
1,904,521
TOTAL FUND8
1,932.41M
1,904,521
Tho fintsnaal
opprovod by ts Board ol Trustee8 ènd authtrbfjd for Issue on 29 JBnu8ry 2025 and were
Mr
The notes fom part ofthese finandai 5talements
P89& 5

THE ALLEN_TRU.ST
￿THE.￿R E￿l￿FP..¥l bla&Q12QZ4
ACCOUNTING POUCIES
B•sls ¢1 proparfng the flngnclal 8latoments
Tho financi81 8tslemenls ol th8 chertty, whlch 1$ e public benofil en1ty under FRS 102, h8V8 been prepared in
accor(lanc8 wlh Chariiies SORP {FRS 1021 'Accounfrn9 and Rèporb'n9 by Charib¢s.' Slal6mènl of Rgcommèndod
PrdCtiGg applicabl8 io charitiab preparing Ihgir fjccounts in arLorddn¢4 v4ith the Financsal Repo￿.n9 Slandard
applicable In th6 UK ar¥J RepubllG ol Ireland IFRS 1021 (effective 1 January 20191,. Flnandal Rep)rUng Standard 102
Yli8 Finandol Roportkng StarKlard applicatlo In the UK and ReputAlc ol Ireland. and Iho chan￿e5 Act 2011. Thg
fin8nd81 statements have been propargd under the hlslortcal ¢osl o)mionUon.
InGo
AJI incomvj b rocognFsed In th8 s￿1#￿9n1 of Flnpndal Actmlles ¢)r￿ the thpflty h98 onlillonwnl lo the funds, 11 58
proboblg Ih81 thg incLvne wlll be rocd¥8d and Ihè ernount Gan bg m988ured rnlk9bly.
Expondlture
UablbU88 are recognlsed a8 oxwndituro a3 soon 88 Ihtire la 8 ￿al or constnjclve obllgalkjn commltUrvJ th8 ch8rfty
lo that expendI￿re. It Ls probabkn Ihal a transfer of er￿nOMIC benaflts VAII bo rc*]ulred In settlement and lh8 amtjunl of
tho obllgallon can be moa5ured rellabty. Exp8ndllure Is accountod for on an a¢xruals basis aThJ has classlflad
under h8afllngs Ihal aggregate 811 cosl related lo Iho cal8gory. Where costs cannot be dlreclly 8itrlbuleii to p8￿Cular
ho8dlrrfJ8 Ihoy havg bogn allocaled lo aclSvllie8 cm a ba818 eL)nslstonl ￿th the u99 01 rgwurcos.
Tanglblè fix•d asut•
Dw8¢tadon 18 r*oV￿a￿ at U)0 folw'n9 annual rates n order lo wdle off each as881 over Its 8stlmat8d u86ft￿ Ilf•.
TBxatlon
Tho churity18 oxèrry>l from tax on Its Ghalfla￿0 aLXlvttkg1.
Fund aKounUng
Vnreslr5cled lunds be used kn occor(18nce wlih the chBrtlablo Oblo01￿88 01 the dlscrellon of lh8 Irusle83.
R•8lrkt•d lund8 ean onty b& for pafilvJlaT re8lrtctad purpxe8 wlhln tha otyecl8 ol thè charfty. R•slri¢Uons
an8e when spe¢tfied by Ihe donor or when fun(18 are raised for p8rt￿lar r861ricl8d purp08e8.
Further explanallon of the natyro Ind purpos6 of gach fundls Indudgd In the notes lo the finBncLql Statements.
Forolgn curroncle•
A8sels and 114blltle3 kn fOre￿n currenc￿5 are Iranslaled Into slerflTVa 81 Ihg ralgs 018x¢haNJg rullng ¥1 Ili& ba18n
8he81 dale. TranSac￿On8 In foreign currend88 afo Ir8n818l¢d into slèrlkno al Ihe ralg of oxchango ndlng 81 Ih& dpte ol
ir8nsacbon, ExeJ)ange dIff0￿nC9S IAkfin inlo 8tYthinl In arriving al Ihe opernlinu resL>II.
INVESTMENT INCOME
2024
2023
Inlrnt recolvod
49.23b
28,891
Pagg 6
conlnu¢d...

]Ll.E_b.LLEN TRUST
S_-_oonll.ryuod
CHARrrABLE ACTMTIES COST8
Dlrect
Costs
Charltsbta donalkJn$
97,041
The loll￿n9 caLtses were yupported In Ihe perlod..
Alrican Revtv81
ospic8s of Ho
SAVKT Fundraising
Royal Hospitsl
St Churth Horslgy
Ronlstart
On Cours& Fwndal
Grang8 Park Opera
Ukrain8 Amb￿anCe
Wtsloy Airfield
Learn. h£h￿verne￿I, B¢¢omp
Cosllo of May Tru31
Episcopgl Chuth SuprKJrt
C&ym8n Islands Sustslnoblilty D6vebJpM￿l Pl8n
Pl8n for Peaco
Baplisl Joseph Flind
King8 C(Al8g9 &hcd Rugby Toam
43,376
100
200
750
600
6.000
1.700
30.000
750
2,0
Totsl
£97,fy11
OThER
2024
2023
Fty¢lgn oxch8np differonce8
Travel
Support ￿sts
110
4,989
2,880
11,8131
4.598
2,822
7,959
5.607
TRUSTEes' REMUNERATION AND 8eNEFrrs
Thero wgrg no trustee3' romungn4don or olhgr beneffts for Ihe ypar vnded 31 March 2024 for thg year 8rKfe(I
31 March 2023.
Trust•O8' expen•
Mf A D M M•n. a trust08 01 Charlty. wa¥ reknbur6ed ewns•s 01 £4,fl68 regarding moniloring ol dcfiauons
relallng lo a Ukrani8n 8mbLdance 01 £1.341 and Afifjc4 projec18 of£3,627.
Page 7
n￿nuQd...

THE_4L.L_ENJIV.ST
FQB.-TrtiXE4R EPJDED
COMPARATIVES FOR THE STATEMEKf OF FINANCiAL ACTNMES
Unf6sIriGted
lund
INCOME AND ENDOWMENTS FROM
Donatlony andlogades
42,858
Investment Inthyne
26.891
Total
69.749
EXPENDITURE ON
Ch8rSt&ble a¢tlvltl•s
CharilÈble donation$
327,070
Olhar
5,807
Total
332.877
NEf INCOMEIIEXPENDITURE)
1262.928}
RECONCILIATION OF FUNDS
Tolal lunds brought fofward
2,167,449
TOTAL FUNDS CARRIED FORWARD
1,904.521
TANGIBLE FIXED ASSETS
Motor
vehldgs
COST
AddiO¢)n8
120,000
DEPRECi4TION
Chargo f(x yoar
1,600
NET BOOK VALUE
At 31 Mgrth 2024
118,4
Al 31 Marth 2023
DE8TORS
2024
2023
Al¥￿inIS t8llro duo vthln ono y98r.
Olhgr d8blors
58.240
55,737
Page 8
onltnued...

THE ALL.EN_TRU
QIEu￿EJF I￿￿￿AL ST
TEM
DE8TORS-continu•d
2024
2023
AmoLmts f81it)J due after morè than on8 yfiar.
Cxher debtors
913,236
Aggrooalè arrKJunls
978,278
968,973
Loans have been mado lo local twsingss, and indivRlua14 al inleml rates gr8aler lo thos8 0rfgieKI for dgposils wlh
lh8 hioh slrèot bankg. Thet Charity is thgrfrforo able lo realiso a orealor lev81 of inlorest on its cash deposits.
CREDITORS: AMOUNT8 FALUNG DUE WITHIN ONE YEAR
2024
2023
Olher credllorg
4.456
6,358
f O.
MOVEMENT IN FUNDS
Nel
movoment
In ftjnds
Al
31.3.24
Al 1.4.23
Unr•$trkted fund•
Ger￿101 furnl
1,9)4,521
27,883
1.932,404
TOTAL FUNDS
1,904,521
27,883
1,9.32,404
Nel movement In fvnd6. Included In Ihg at4)V8 are 88 fdlow5:
Incomlng
r¢S￿re83
R880urcas
expondgd
Movomenl
In funds
Unr6strktgd lund8
Gfvnarèl fund
134,483
1106.6001
27.883
TQTAL FUNDS
134,483
(106,600)
27.883
Compgratlv•8 for movemont In funds
N8t
movomenl
In funds
Al
31.323
At 1.4.22
Unrgstrlcl•d lund•
Ggnoral fvnd
2.167.449
2819281
1,904.S21
TOTAL FUNDS
2,167.449
1262.9281
1,904.521
P8g8 9
o)nbnued...

THE ALLEN TRUST
NOTES TO THE FINANCIAL STATEMENTS . contlnued
FOR THE YEAR ENDED 31 MARCH 2024
10.
MOVEMENT IN FUNDS . contlnued
Comparalive net movement in funds, included in the above are as follows:
Incoming
resourGes
Resources
expended
Movement
in funds
Unre8tr1¢ted fund8
General fund
89,749
(332.677)
(262,928)
TOTAL FUNDS
89,749
(332,677)
(262,9281
A current year 12 months and prior year 12 month8 combined position is as follows.,
Nel
movement
In funds
At
31.3.24
At 1.4.22
Unre8trlcted fund8
General fund
2.187,449
(235,045)
1,932,404
TOTAL FUNDS
2,187,449
(235,045)
1,932,404
A current yèar 12 month8 and prlor year 12 months comblned not movement In funds, Included In the above are a6
follows:
Incomlng
resource8
Resourcés
expended
Movement
In funds
Unrestrlctèd funds
General fund
204,232
(439,277)
(235,045)
TOTAL FUNDS
204,232
(439,277)
(235,045)
11.
RELATED PARfi DISCLOSURES
At the year end a bal8nce18 owed to the charfty of £910,455 (2023 - £913,236) by Mr. L Allen, the son of the trustee
Mr. A D M Allen.
Mr. L Allen was charged £13.659 (2023- £13,700) In the year as Intere51 on the loan.
Mr A D M Allen was relmbursed travel expenses In Ihe year of £4,968 {2023 - £4,598) for prolecl monltorfng trips to
Africa and Ukralne.
Mr A D M Allen sold a Rolls Royce Phantom1111938 to the Trust for £120,000 for the purpos8 of the charfty renting
the vehicle lo obtain an income.
The trustee Mr AOM Allen is a dlr8Ctor of the comp8ny Adam Handllng Ltd.
A donation was made in the year of £30,000 to Adam Handling Ltd to run a suslainability project in the Cayman
Islands,
£85,247 of donations were received in the period by the trust from Adam Handling Ltd.
Page 10