REGISTEREO CHARITY NUMBER.. 1146388
NO
FQB.THE Y.FIR.END.E￿l￿1&Rc￿3￿2
Chartored Attcounlants
869 Hluh Road
London
N1280A

THE ALLEN TRUST
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Page
Report of the Trustee8
Independant Examlner's Report
Statement of Flnanclal ActlvStle8
Balance Sheat
Note8 to the Flnanclal Ststements

REPORT OF THE.TRU¥YEES
H 2025
The buslees present lh￿r rgptsrt wilh Ihg ffinancF81 ststsments of Iho chartty for the year endod 31 M8r(* 2025. The
tnjstees hav¢ adopted tha provisp)ns ol Accounts'ng and Ropott"ng by Chantsos.. Stalemenl of Rec4ynmended Practi¢e
apFAltzble lo charl￿eS wgparlng th81{ accounts in ￿(OrdanCe wilh the Finanaal Repo￿￿9 Slandanj applicab19 in th8
UK and RepuNic of Irtsland IFRS 1021 (effe¢Uvg l Jonu41ry 20191.
Tho acrx)un18 have bèan pr6par8d In accordance with th6 8co)unJng polclos $01 out In Nol& 1 to thè accounts and
rt￿Y Ihe Charitys govemjng (locument Ihe Ch?riUe8 Act 2011.
oaJECnVES AND ACTMTIES
Oble¢livoJ ond aims
Thfi objp¢ts ol the ChaTIty are for lh8 reliof ol pATrons anywhof8111 tho WDrtrJ who ar& In condiiions ol ne￿, hard8hlp or
1li31ross, and has maknlaingd Ihls obloc1￿e wllhln lh8 pertod. The tru51985 WUI conunua lo seek oul worthy cau58¥ dnd,
Agroèm8nl. Will donale to Jhem. In so doing. tho Irustees will conlinue Chènly a¢tsvili¢S lor the public ben&fit. and
honco 9￿8 du9 rqg8rd ¢0 thg Charty Commlsslon giJldanc8.
The polKaes 8<kgtsd in furtherance ol Ih&sa obiècls afo 4$ dascribed above and Ih&ro has boen no ¢h¥noe in thesè
dudno Iho yoar.
Tha trusl8e¥ have pakl dug reg8rcl to guldanco ISSU￿ by th& Charty Commlsskin in dgcldlng whèl èctlviuos th¢ Charfty
ShO￿d uThJortake.
ACHIEVEMENTS AND PERFORMANCE
Ch4rftabl• a¢tEvltlo•
Tho trust has ciJnlSniied lo support Chants￿9 ¢au8e8 0$ des￿￿0d In Iho not￿ lo th888 8ccounls.
FINANc￿L REVIEW
Th& trusl COnt￿U88 lo hold signifieant resour￿ and ha8 9gm8d bank inl8r891 in Ihg yggr of£34,662.
Tolal donallons re¢dved In tho porbJd wero £105.049
STRUCTURE. GOVERNANCE AND MANAGEPIIENT
Govornlng do¢ument
Th8 ¢h4rfty1s COntr￿18d by governlng document. • daed ollrusl ond con8th￿S 8n unlncorpwyle(I d)artty.
Rgcrultm•nt thnd oppolntm•nt of n•w truBt••g
Th& powor of appoinllrKJ and romovirvd trustOeS 19 v¢il¢d In thts fthlsting tN61oè$ of th¢ charfty.
Ory•nl#aUon•l 8lru¢tur•
AJI deci8KJn8 aro taken by tru$te89 and agrts•menl madè by malodty volè.
Inductlon and trnlnlng of n•w tru¥l••i
11 ly nol ccw)Sldo￿d that any Specif￿ rgq(1Sr8men18 aro rwulrnd tTalnln9 or Indudon of trusits￿ tn Ihls Chartty other
thgn Iho guldoncg from tho exlsllrrfJ trusio88.
REFERENCE AND ADMIN18TRATIVE DETAILS
Reglstered Charlty numbor
1146388
Prfnclpal addr•4¥
edar Bam
W4)odhdl
Hun9ry Lan8
Sènd
Surroy
GU23 7LG
MrADMAllen
M$ M Pollitl Irèslgned 12.9.251
Ms D fvdgers lappoinled 16.9.251
Pmyrj 1

ENTR
REPO.RT OF TllLTRUSTEES
REFERENCE AND ADMINISTRATNE DEtAfLS
Indopendent Examlngr
Mf. E. Ev8gora
EA
Chart8rnd Accwntsnts
869 HkJh Road
London
N128QA
COMMENCEMENT OF ACTivrriE8
Tho Charfty c¥)mmnc8d Ks a¢Uv1￿eS on 14th March 2012.
I Irusleo8 on 26 Jgnuary 2026 aryJ Blgned on lis bahall by..
Ilon- Trustee
Pago 2

[N￿E.PENDENT EX4M_INER'S
._￿￿E TRUSTEES OF
THE ALLEN fR￿￿T
Indepond•nt èxamlnprf8 r•port to thè trust0￿ ol Thè Allen Trust
I raport to the ¢h&rity trtJ8tees on my examination of tho aceounls of The ATren Tn￿1 Ilhe Trust) for the yoar ended
31 March 2025.
Responslb11ft195 and basls of report
As the ¢h8rfly twstggs of the Trust you are responwbb for the prgpwallon of the accounts in a￿Ordanc9 ¥￿th Ihe
requirèments ol Ihe Charib'os Act 2011 I'the Att).
I report In respect ol my ex8minatiDn of lh8 Trusyg 8ccount8 cardgd out under Sgdion 145 of the Act and In carrySng out
my gxaminallon I havo loMowe(l all Bpplicable Direthn9 g￿en by the Charity Commissk)n under Se¢llon 1451511bl of
th8 ACL
Ind¢pend¢nt examinof• Jtatamont
I hav8 ts)mF4ele(I my oxamlnaUon. I conffrm that nts matsrl81 hav& lo my att9nUon Iii c(Jnn8cllon with the
oxamlnulKsn g+ving rno lo b&ll6vg that In any m?iorlal r8BPgcL
8ecounllng recoftl$ wero not kept Iii Tegp8¢1 of the Trusl 08 requlred by SgGthon 130 01 ihg Act., or
th8 Bccounts do nol accord wilh those reG¢rds', or
Ihe a¢¢ounls do not comply with appli¢8bfe roquiremonts conctsming Iho form and ¢ontenl ol accounts $01
out In the ChariiS8s IAccounl$ and F<eportsl RegutatM)ns 2008 ot￿r Ihan any requlromenl that tha accounts givo
tru& ond falr vlew whlch Is not a m8tt¢r conhklered as part ol an Inde￿Ndent examSnolltsn.
I hfjvo cA)nc￿nS and havo c4)rne au0$8 no olh&r rnattern in ￿nneCt￿}n with Iho exBmlnation lo which atton￿on shfAAd
be drawn Sn Ihls In order to 8nabl& a propar und&r8tsndln9 01 the 9￿￿JntS to b8 rgo¢hed.
Mr. E. Evagtsra
Chartornd AoJyJnt8nts
869 Hlgh Road
L¢)ndon
N1280A
26 JanuJry 2028
Page 3

us
THE ALL￿￿I
STATEMENT.Q_F FINANCIAL
R THEY
CTMTIES
2025
unr88t￿￿e￿
Jnd
2024
Totsl
funds
INCOME AND ENDOVIMENfs FROM
Donailons and1é9ades
Iiivestrnent incMIg
Notes
108.649
85,248
49,886
49,235
Total
158.535
134,483
EXPENOITURE ON
RaI￿n9 lund5
2.400
1,600
Charitablo #ctlvitl•$
Charitable don4lb)ns
255.971
97,041
29,846
7,959
Tothi
288.217
106,600
NEf INCOMEIIEXPENDrruREI
1129,6821
27,883
RECONCIUATION OF FUNOS
Total ftjnds br￿ght lorwwd
1.932.404
1,904,521
TOTAL FUNDS CARRIED FORWARD
1,802.722
1.932,404
Thè ncl68 foftn part oflhase fitmnckql ¥tatem8ntS

.BA_LANCE SHEEr
2025
Unrostrialed
fund
2024
"rotal
funds
Notes
FIXED ASSETS
TangiNe 8ssels
116,000
118.4(M)
CURRENT ASSETS
Debtors
Cash 81 bank
10
907.632
785.303
976,276
842.184
1,692,935
1,818,460
CREDITORS
nounts fallng duo onè yoar
16,2131
14.4561
NET CURRENT ASSErs
1.68(1.722
1,814.004
TOTAL ASSETS LESS CURRENT UA81LITI£S
1.802,722
1,9J2.404
NET ASSETS
1.802,722
1,932.404
FUNDS
Unrtssldcled funds
12
1.802,722
1.932,4C
TOTAL FUNDS
1.802,722
1,932.404
The tlnwKLg1 ¥luleIn￿l0 were approved by Iha of Trusl6&s at)d aulhorfsod fix Issug on 26 January 2026 and
werv sl
The notes fom) part of these fThnck4 sl8lements
Pa98 5

NTRU
OTE
S_T.0 THE FINAN_CIAL STA.TEMEKrs
ACCOUNTING POLICIES
Ba$18 of preparlng thè financlal statoments
Tlie finar¢i81 stalemonts ol tre chanty, which Is a wbffc bengfil enlty under FRS 102, have b66n preparod In
acwdancè with Ihe Ch8ribes SORP IFRS 102) AccounUrwJ and Repth"ng by Chariti6s.' Stslemènl ol
Recommendod PraLtice app1￿￿b￿ lo charilies preparin9 thelr accounts In occordance wlih the Financial
Rewrttng Star￿8rd 8pplicable tn Iho UK 8nd Republic of Ireland IFRS 1021 leffeth.ve 1 January 20191..
riftanryal R¢porbn9 StarKtard 102 Thè Finanaal Repfxbng Standafd aptAicabl8 In lh6 UK and Republic of
Ir818nd' and Ihe Chaiib"8s Aa 2011. The finanad stat•mènts have been w&parod urKler the histortcgl Cobl
IX)nV8nbon.
Income
Incom& IB rec¢gnhod In the Statemenl ol Flnandal ActNth'as on¢9 the charfty has enlllbmenl lo laè fvnds. il
Is probatle Ihal tha Incomg w511 ￿ rO(￿1Ved l< nd the aniounl can be rnoa¥iJred rallat4y.
Exp•ndituro
Llablilles reo4nlsad 86 •xpendilure as soon 88 there Is B legal or con8tructlv8 obllgalion commilllng tho
¢hailty to that oxpondituro. 1115 probablo th81 a tr8n$l8r of O￿noMIC benefits w￿1 be roqulred In selljomenl and
Ihe amouni ol tha obh'galv)n can be moasured reliably. Expendiluro Is ac¢ounted lof on an accruals bask4 and
has been dBsiiIf￿ under headings 111s)l a99laa4t8 811 c081 relgted lo lh8 Qqt8gory. Where ￿51S c4nrx)I be
dlreclly attrfbuled lo partlcular headings they have boen olbcalcd lo Oct￿1￿e$ on a ba615 conslsleni wilh tho use
ol r•sourco&
Tanglbl• ffixod 4¥8ot8
Dapreclouon Is provldèd al ihe fr>llowlng annual rato5 In ordér lo wrflè off 88eh assat ovar Its a&tlm8l•d usalul
Molor v8hldos
2% on Cost
Taxhtlon
The cha¢lly ly exwnpl trom on 518 charffablB B¢IMIS89.
Fund nccountlng
Unrestrkted funds c8n ba u88d In 8¢LXJrd8n¢g wllh Iho charl10b￿ obltscllves 81 th¢ dlsctstlon of Ihe Iru81&85.
R•Jtrlcl•d fund8 ¢an onty bo used for partlcular rBslrlct8d purpos88 wllhln th8 obl8cls ol Ihe charfly. R8strkUons
arlsè whon ¥peclfled by the dorKJT or when luiNJ8 ar8 rals•d for p&rUculB¥ reBthcted purpose$.
Furth•r OXF4ana¢ion ol the naluro and purpogo ol èach lund Is Included in th8 nol881o th8 finandèl 81alèments.
For•lgn CUfTencl•$
8nd lts01￿110¥ In fffdgn curr8ndes arè trunylal•d Into steTlthg ¥1 th6 rabs ol exchang# rullng al the
b8lanco shoot dglg. Tron88CtIons In lorvlgn currendga ara translato(I Into stadlng al th& rato ol oxchanae rullng
al Ihe dale of transaclion. Exch8ng8 difforon¢os èlo laken Into attounl In arriving Bt the oporating r6sull.
INVESThIENT INCOME
2025
2024
Interest rO￿Ve1
49,886
49,23S
Page 6

THE
ENT
NQLS TO￿￿E FINANCIAL STATEM
.￿NTs-¢ ntl
CHAWTABLE ACTr4rriES COSTS
Direel
Costs
a)aritablg donations
255,971
The folowlng c8use$ were supp)rted in the peFiOd'.
hjrican Revlv81
HospI￿S of Hope
Leam. Athievemenl. BgrA)m
slèy Alrfield
Klngs Cougge School Rugby T&am
Sustain Chanty
Royol Vtiriely Chartly
G￿n￿& Poth Qpera
On Cours& Foundation
Ambulances lor Ukrdna
Ukrain(g Action
BSUH Chariiabla Fund
Queen ElIZa￿th Casu& ol May
s￿rf1.8￿ Mala
Zemb Tralnlng Contre
Wd88 Romanian
C￿3￿S Pox
WgSt Horseley P8rlBh Chur¢h
Seen Charity
R8llna UK
ChrIs￿￿n Insliut& Maridl Chalma Collogo
Haddow Seho)I Souih Sudan
183,661
3.250
750
2,500
2.0
152
4,320
750
10,250
173
250
1,0
37,334
500
2,500
1.0
SW
2.346
2.020
£255,971
SUPPORT CQSTS
Govemane8
costs
FSnanc&
Totals
Other resour￿6 oxpended
23,956
2,364
26,320
&JpFort Go$ts of £23,956 pr¢domlnanlly ro1810 lo Unpa￿ inl&resl frtyn a loan to an unrèlated wmpany c8ll8d
Legw Hll Resourc8s 01 È23.936 arKI £20 bank chaffJèS.Tha balan￿ ol the Wtsthnding loan repr850nlq (Jnpaid
Iniernsi Ih?I was due lo tho Ghailty.
OTHER
2026
2024
For¥PJn oxtharoe dlllerencos
Trov81
Support co$ls
780
2,746
28.320
110
4.969
2,880
29.848
7,959
Page 7
ntinued...

NO
ES TO THE FLNANCIAL sTATE￿￿Ts- contlnue4
TRUSTEES. REMUNERATION AND BENEFITS
There ￿re no tru8t008' remuneratlon (x other benefits for the ygar endèd 31 March 2025 nor for thè yoar gnded
31 March 2024.
Trustg98' gxponse$
Mr A D M Alon, a trustGg ol Ihg Charity, wa.4 Trimbursed oxpensè$ of £2,746 r89arding mjnhoring of donalions
rdaung Afrthn projects.
EXCEPTIONAL ITEMS
Exc*pts'cfftal iloms relata lo support of £23.936 ieprasenting unpald intero81 from a loan lo an unrelated
company callwj Legacy Hill RgbOUW*S.
The Company was k)8noU £125.000 in th• finoneJ81 yoar 2018 and a further t100,OIJO In the financ￿#1 year ?022,
Th18 ¢Bpre8gnls tolal bans 01£225.IXtO. Ov&ral Ihe loanoe rapaid £235.486 olwhlc* £10.486 wms Ini8rasl.
COMPARATIVES FOR THE 8TATEMEMf OF NNANCIAL ACTIVrnES
Unr68trl¢ted
lund
INCOME AND ENDOWMENTS FROM
Don8lion$ and
Inve8lmgnl Incumè
85,248
Total
49,235
134,483
EXPENDrruRE QN
Ralsirvd fur
ChArflabl• a¢Uvltl••
Ch8rftAble donallons
Other
1,600
97,041
Totsl
7.959
106.600
Nrr INCOME
27,883
RECONCILIATION OF FUNDS
To￿1 funds brought forward
1,904,521
TOTAL FUNDS CARRIED FORWARD
1.932.404
Pagg 8
iY)nbnu8d...

OTES TO THE FINANCIA
R_THE Y
STATE.PIENTS- continuèd
TANGIBLE FIXED AS8Ers
Motor
vehides
COST
At 1 Apdl 2024 and 31 Marth 2025
120.000
DEPRECIATION
Al 1 Apnl 2021
Charge lor wr
1,600
2,400
At 31 ma￿ 2025
4,000
NET BOOK VALUE
At 31 March 2025
116,000
A¢ 31 March 2024
118,400
10.
DEBTORS
2025
20?.4
Amounls fdllng duo 4￿thIn ono yoar.
Othor dtsbli)r¥
16,440
58.2.40
Amoui)ts 141ing duo afl81 nN)re than ono yg0r'.
Olhor dobtors
891.192
918,038
Aggreg•t• amcMJnt8
907.￿2
976,278
LoBn$ havo provKsu$ty bgpn m¥d9 lo local bu8lnoss' and Indmduyls, Tho out8lan¢Jlno loon In the financlHI yèdr
èndod 31 March 2025 boloTrJs lo Mr. L. Allen. Ihg 8on ol thè ¢wsteo Mr. ADM Alon.
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
11.
2025
2024
Olh8r credftors
8,213
4.458
11
MOVEMENT IN FUNDS
Ntsl
vomenl
In funds
At
31.J.25
Al 1.4.24
Unro•trtQt￿ funds
General fund
1.932,404
1129,682)
1,802,722
TOTAL FUNDS
1.932.404
1129.8821
1,802.722
Not rrthement In funds, SndLtsY¢d In the aL*)ve 8re as folkm..
Incomin
Regourcog
&xpondgd
Movomenl
In lunds
Unro$trlcted fund#
Gener￿ lund
158,535
1288,2171
1129.6821
TOTAL FUNDS
158,535
1288.217)
(129.6821
Page 9
(￿ntinue<l...

JHE.-ALLE￿IBll
N_OTES.T0￿£ FI
TEMENTS- conlin
12.
MOVEMENT IN FUNDS- contlnued
ComparalJv98 for movoment In fvnds
Not
movtrmenl
In funds
At
31.3.24
Al 1.4.73
Unr•$lrfct•d fund8
Goner4 fund
1.904,521
27.883
1.932,404
TOTAL FUND8
1,904,521
27,883
1,932.404
Comp8rn1fv0 net moV0n￿l Sn luThJs, Incjuded In th& abov6 arg 8$ lollows..
Inwmlng
r&80vrc¢s
Resour￿$
expended
Movomonl
In lunds
Unre8trlct•d fundi
General fund
134.483
1106,6001
27,883
TOTAL FUNDS
134.483
1106.6CQI
27.883
A current ye#r 12 monlhs and prtoryear 12 n￿)lh¥ comilned wJ8111on Is os fdbws..
Nèl
movemeiil
In funds
Al 1.4.23
31.3.25
UnrnJtrfctsd fund•
Gonctral fund
1,904.521
1101.7991
1,802,722
TOTAL FUNDS
1,9)4,521
1101.7991
1,802,722
A ￿rrent year 12 monlh5 and prfor yoar 12 month8 combined n&1 movement In l(tniJ$, inL*uded In the obtsvo ale
J lotl¢)WS.'
Incomlng
resour¢88
Rosour￿$
exF43rided
Movemgnl
n fund5
Unrèstricted fund$
Generd fijnd
293.018
1194,8171
1101.7991
TOTAL FUNDS
293.018
1394,8171
1101,7991
Pagg 70
conNnued...

LE
NQLES TO THE FINANCIAL STATEMENTS- co
FOR TH
ued
13.
RELATED PARTY DISCLOSURES
At Ihe year end a balance (5 (ywed to th9 Ltharity of £907,632 12024 - £910,445) by Mr. L ￿en. Iho son ol Ihe
trusleg Mr. A D M ANen.
Mr. L Allen wa8 chafged £13,61612tr24- £13.6591 kn tho year as inlerasl on the108n.
Mr A D was ro¢mburs&d trav61 0X￿n$￿9 In th& year of E2.74612024 - £4.9681 for prolert monitortng trlps
lo Afri¢a..
The charlty recelved £3,600 from Ulll(n8to CI8s8lc Car Hlr¢ Lld, 8 company In whlch Mr A D M Wlen Is g director.
The amount was recoived for th6 tw.ra ol the charity asset Rolls Royce Phanlom1111938.
The trusteè Mr AOM Allen a dirothr ofth& company Adam H8ndh'ng Ltd.
£50.644 {2024 - £85,247) ol donal1￿& wor8 rgc4fved in the perfod by tho tru81 Irom Adam Hondllng Ltd,
Th8 ch8rity donale¢J £183.661 12024 . È43,3761 lo AfrThn Rgvfv81 Ltd. a chanly In vthich Mr. A O M 15 also
4 Irusloe.
Page11