Charity Reglstratlon Number. 1148155
Company NUm￿r. 08050428 (England and Wales)
HELP4HOMELESSVETERANS
REPORT AND ACCOUNTS
YEAR ENDED 30 APRIL 2026
ELP
Cobseo
The ConfedeYdl¢n
of $er¥ke Chryllles
Af¢MÉtr *¢II¢IS
Th•Qu4en'sAw
torVolunt•rySeNk•
COVENANT

HELP4HOMELESSVETeRANS
TRUSTEES, REPORT AND ACCOUNTS
YEAR ENDED 30 APRIL 2026
CONTENTS
Page
Legal and administrative infomiation
Trustees, report
IrKlependent examinerfs report
statement of financial activities
Balance sheet
10
Notes to the financial statements
11-16
|Page

HELP4HOMELESSVETERANS
LEGAL AND ADMINISTRATIVE INFORMATION
YEAR ENDED 30 APRIL 2026
Full name:
HELP4HOMELESSVETERANS
Reglstered Gharity number:
1148155
Registered company number:
08050428
Registered ofllce & princlpal
address:
Wood House
station Road
Masborough
Rotherham
S60 1HF
Trustees & Dlrectors:
Elizabeth Butcher
John Healy
Eve Rose Keenan (Resigned May 2026)
Andrew Marlin
Darren Sidebottom
Sarah Sidebottom (Appointed October 2025)
Sally Ward (Resigned April 2026)
Chair:
John Healy
Bankers:
National Westminster Bank PIC
26 Market Hill
Barnsley
S70 2QE
Independent examiner:
Stephanie Tolson
Community Accountant
Barnsley CVS
23 Queens Road
Barnsley
S71 IAN
|Page

HELP4HOMELESSVETERANS
TRUSTEES, REPORT
YEAR ENDED 30 APRIL 2026
The trustees present their report and financlal statements for the period 01 May 2025 to
30 April 2026.
Structure. govemance and management
HELP4HOMELESSVETERANS is a registered tharity with the Charty Commission and a
company limited by guarantee, governed by its Articles of Association, dated 30th April 2012.
The company has no share Ca￿ts1 and the liabilrty of e¥h member in the event of winding-up is
limited to a sum not exceeding £10. The affair5 of the charity are managèd by the trustees, who
may èxerclse all the powers of the charty, through its Chief Executive Officer (CEO).
Appolntment of trustws
The trustees are also directors of the company for the purpose of company law. The trustees
are appointed at the Annual General Meeting. At the Annual General Meets'ng one-lhird of the
trustees shall retire from office by rotation, ie those who have teen longest in office since their
last appointment or reappointment. The number of trustees shall not be less than three.
The trustees who served during the period, to the date of signing the accounts. are lisled on
page 3 of this report.
Related parties
The trustees ¢onsider that Ihere are no retated parties to the charity.
Rlsk management
The trustees have ultimate responsibility for identrfying and managing risk. The trustees
examine the major risks that the charty faces and to put into operation 5yslems so that
necessary steps can be taken to lessen these rÈsks. The charty has a risk management policy
which is reviewed regularty by the trustees.
Charltsble alms and objective9
The objèctives of the charity are..
The rellef of charftable need ol homeless ex•SOfVi¢O Porsonnel, In partlcular but not
exclusively by."
a) the provlslon of safe andpermanent houslng and thmugh a pmgramme of
rewedu¢ation and the teaching of lrfe skills to help th?m back into the
community.
b) advlce and ¢ounselling lo enable them to address the issues that made
them homeless and helping them rfradiust to civilian life through re
tralning.
Publlc Beneflt
In shaping the activities for the year, the trustees have paid due regard lo the public benefit
guidance publlshed by the Charity Commission.

HELP4HOMELessvETERANS
TRUSTEES, REPORT continued
YEAR ENDED 30 APRIL 2026
Chairman's Introductlon to the Annual Report
From my report to the Trustees of last year that there was change in the air. There most
certainly has been for our charity, Help4Homeless Veterans.
In the last year we have managed to increase our ir)come through the efforts of our CEO and
Trustees by attending events and applying for grants. It has been no mean fèat to achieve, and,
in th& end, we did in February 2026 purchase our own property.
Over the last five months our CEO and Founder, Tom Wood, along with Trustees Darren, Andy,
Sarah and Rich from Effic￿ncY North and an army of workers have transfomied the Wood
House. into a 4B house in which we can accommodate homeless veterans. The Official opening
will be on 12 June 2026 (the CEO'S birthday)- I was unable to assist in this process having
SLrffered a stroke on 20 January 2026. 1 am in full recovery but still in convalescence with some
small issues to overcome.
On a more positive note, I must offer mln8 and the Trustees congratulations to our CEO.. .
Help 4 Homeless Veterans Charity's CEO Steve Bentham-Bates was awarded a lrfetime
Achievement Award on 2 October 2025 at the English Veterans Awards in recognition of 53
years, service to the milttary and veterans, communities. Outstanding achievement from age 17
to 70 giving help to fell¢)W V8terans.
nd
I would also like to give my ihanks for the work done by iwo trustees, who for personal reasons
have stood down as trustees Sally Ward and Eve Rose. Eve is to remain connected with the
charity by becoming an ambassador for the chanty.
Although busy wth the new house. Our CEO has continued lo address the issues of homeless
Veterans who have ¢ontacted the charity for help. Numbers remain static over the last year of
operations. With the House we start a new chapter of operations. I wll say that should the
House ever be full, we as a Charity will continue lo support homeless vethns through ensuring
they h8ve accommodation as we continue to do so now as in the past.
John Healy B.A (Hons)
Chairperson, Hèlp 4 Homeless Veterans
CEO'S Annual Report
This was the operating year when Help 4 Homeless Veterans upped its game to become a property
owner for the first time in our history.
Alongside supporting 45 veterans during the period, we created our BUY A BRICK CAMPAIGN.
We received a great deal of public support from local companies, meM￿rS of the publi¢ and
Mayorsl
Last May we received £20.000 from the outgoing Mayor of Rotherham. Cllr Sheila Cowen, a WRAF
veteran herself. Then following on from that Ihe Mayor of Barnsley, Cllr David Leach, a former Light
Infantry Soldier chose us as one of his charities. Final amounts will go into May 2026 when he
stsnds down. bul another substantial amount is expected.
|Page

HELP4HOMELESSVETERANS
TRUSTEES, REPORT ¢ontinugd
YEAR ENDED 30 APRIL 2026
nd
We have been busy Since the 2 February refurbishing the house, and we have named it WOOD
HOUSE after our Founder Tom Wood MBE. 11 has to be said that wf(hout the help of Efficiency
North's Mr Richard Greenwood, who has many years of experience and the numerous company
contacts, we would not have been able to bring the house up to the required standard of HMO rules
for Rotherham Council to approve it for use as emergency short term accommodation for homeless
veterans.
The work is almost complete and we anticipate the house being approved for usg by early June 2026.
Naturally the purchase and refurbishment and furnishing, although mostly done as cheaply as
possible, has reduced our reserves. so we are now into overdrive fundraising and gTant applications.
So far, the Veterans Foundation has approved I￿0 years salary grant beginning in July 2026, which
Covers 900A of staff costs. We have 8lso received support from The CEO of Sleep Out and have
applications pending elsewhere.
This reporting period has been exceptional, because from being a homeless chanty we are now a
homeless charity Wlth a home for veteransl Thank you to everyone wtho has supported us in this
journoy.
Chlef Executive Offlcer, Help 4 Homeless Veterans
c.oh
Canledeittmo
The charity's pollcy on reserves
Reserves arè needed to meet the working capitsl requirements of the charlty and to ensure that
Help 4 Homeless Veterans is able to continue in the event of a gap in funding. Reserves are
also needed to meet all statutory obligations in the event of windin9 up. The trustee5 aim to
keep reserves at a level equtvalent to 12 month5. running costs at any one time.
At the end of the financial year the actual level of reserves held, represented by unrestricted
revenue funds were £39,715 {2025= £159.424). The level of reserves ¢urrently is approximately
7 months running costs. This is due to the recent spending of resetves on the house purchase
and refurbishment. During the next financial year the charity expects to increase reserves
through grant appltcations and fundraisin9 events.
Exemptlons
The trustees have tsken advantage of the exemptions available to small companles, including
the audit exemption.
|Page

HELP4HOMELESSVETERANS
TRUSTEES. REPORT contlnu8d
YEAR ENDED 30 APRIL 2026
Slatement of trustee's responsibllftles
Company law requires Ihe truste&s to P￿pare financial statements for each finanoal year.
vthich give a true and fair view of the state of atfairs of th8 charity at th8 end of the year and of
the surplus or deficiency for the year then ended.
In preparing those finar￿la1 st8tem8nt4 trustees are r4uired to: select suitable accounting
policies and then apply them on a consistent basis, making judgement5 and estimates that are
prudent and reasonable. The trustees must also prepare the financial statements on the going
con￿rn basis unless rt is inapp￿priate to presume that the will contiNe ￿ b￿$InesS.
The trustees are responsible for Wng proper accounting records which di5dose, ￿th
reasonable accuracy at any time. the financial posmon of the chartty. arKI enable them to
ensure that the financial statements comply with the Companies Act 2006. The trustees ar&
also responsible for safeguarding the assets of It￿ charity and heno for tsking reasonable
steps for the Prevenft￿n and detedion Offra￿ or other irregularities.
Flnanclal Position
The financi81 statemerts are set out in pages 910 16. Tr* Statement of Financlal Activities
shows a surplus for the year of £27,768 {2025: surplus of £4,251). The totsl furKls at 30 April
2026 starKI at £194,661 {2025." £166,893>. Total funds include balances remaining on
restn'cted funds of £0, a general reserve of £39.715 and £154.946 of Designated Funds (Fixed
Assets).
Small company provlsions:
This report has been prepared in accordan￿ ￿th the speGial F￿1$10n$ for small companies
under Part 15 of the Companies Act 20C6.
The trustees declare that they have approved the trustees, report ab)ve.
Signed on b8ha￿ of tbe charitys tr &ees:
Signed
Date". 21 May 2026
rlDirectt)r
IPage

HELP4HOMELessvETERANS
INDEPENDENT EXAMINER'S REPORT
YEAR ENDED 30 APRIL 2028
I report on the accounts of the charity, which are set out on pages 9 to 16.
Respective responslbllltles of trustees and examlnor
The trustees (who are also the directors of the company for the purposes of company lawl are
responslble for the preparation of the accounts. The charity's trustees consider that an audit is
not required for this year under section 144 of the Charities Act 2011 (the Charities Act) and that
an independent examination is needed.
It is my responsitrflity to:
examine the accounts under section 145 of the Charities Act,
to follow the procedures laid down in the general Directions given by the Charty
Commission (under seckn'on 145{5)(b) of the Charities Act, and
to state whether particular matters have come to my attèntlon.
Ba$ls of independent examiner's report
My examination was carried out in accordance with general Directions given by the Charbty
Commission. An examination includes a review of the accounting records kept by the charity
and a comparison of the accounts presented wth those records. It also includes consideration
of any unusual items or disclosures in the accounts, and seeking explanations from the trustees
concerning any such matters. The procedures undertaken do not provide all the evidence that
would be required in an audit, and consequently no opinion is given as to whether the accounts
present a 'tTue and fair, view and the report is limited to those matt8rs set out in the statement
below.
Independent examinefs statement
In connection wth my examination. no matters hav8 come to my attention which gwes me
cause to believe that in, any material respect..
accounting records were not kept in accordance with section 386 of the Companies Act 2006,. or
• the accounts do not accord with such records., or
• the accounts do not comply vAth relevant accounting requirements under section 396 of the
Companies Act 2006 other than any requirement that the accounts give a Irue and fairf view
which is not a matter considered as part of an independenl examination., or
. the accounts have not been prepared in accordance with the Charities SORP IFRS102).
I have no concerns and I have Come across no other matters in connection with the examination
to which attenlion should be drawn in this report in order to enable a proper understanding of
the accounts to be reached.
Signed..
Date.. 21 May 2026
Stephanie Tolson
Community Accountant
Bamsley CVS
23 Queens Road
Barnsley
S711AN
|Page

HELP4HOMELEssveTERANS
STATEMENT OF FINANCIAL ACTIVITIES
(Incorporating an Income & Expendlture Account)
YEAR ENDED 30 APRIL 2026
2026
Total
Funds
UnreJirf¢ted
Funds
De$lgnat•d
Funds
Restrlcted
Fun(ts
2025
Incomlng resources
Donations & fundraisir
Grants re￿￿ed
Bank interest
Total Incomlng resources
54.017
14,359
68,376
33,820
1,527
103,723
57.$59
30,C￿0
1,527
55,544
4&179
90,893
Resources expended
Salaries ojst
Rent, rates & utilities
Office & admin expense
Telephone & Websf(e
Room hire
Veteran accommodab'on
Veteran support
Repairs & Maintenance Vel House
FumtLure & equip Veterans House
Fixtures & Frtbngs Veteran House
Equipment
Insurance
Storage
Legal & professional fees
Publicity & events
Fundraising ￿StS
Travel & meetings
Accountancy, bookkeeping & payroll
Bank charges
Depreaation
SundTie51mis
Total resources expended
Net Incomellexpendlturel
Transfers befvften funds
Total funds brought forward
Totsl funds carrfed forward
12
32,719
2,074
1,18J)
32.719
2,074
1.160
38,923
1,112
1,973
472
13,CQ2
4,738
7,558
5Q)
91
6,058
932
697
4,203
1,193
497
1,784
2,435
153
8.527
215
2,239
2,678
293
5,112
697
4,203
1,193
2,131
427
1,954
154
11,452
1,784
2,435
153
7.327
215
2,239
2,678
293
1.200
2,732
253
5,112
25
63,656
6,112
7,187
76,955
86,642
18,112)
1111,597}
159,424
39,715
{5,1121
1￿.058
40,992
148,461
7,469
27,768
4,251
14
166.893
194,661
182.642
1e6.893
13
154,946
Prior year In￿Me Included restricted grants of £15,000. All other income was unrestricted.
A ¢￿PariSOn of expenditure to the prior year, by fund, is included in note 4 to the a¢￿unts.
|Page

HELP4HOMELESSVETERANS
BALANCE SHEEr
AS AT 30 APRIL 2026
2026
2025
Fixed assets
Tangible asset8
154,946
Total fixed assets
154,946
Current assets
Debtors & prepayments
Cash at bank and in hand
Total current assets
168.946
168.946
41,176
Llabilitie¥
Creditors & accruals
amourts falllng due within one year
1.461
053
Net ¢urr8nt assets
39.715
166.803
Net assets
194.661
166.893
Funds of thè tharlty
UnrestriGted funds
Designated thnd5
Restrtcted funds
13
39,715
154.946
159,424
7.469
Total funds
194,661
166,893
Exemplion from audlt
For th& year ending 30 Ap￿ 2026 the o)mpany was entrfl8d to exenwliDn from urKlersethon 477
of th8 Companies Act 2006 Trlating to small Compan￿&.
DIr￿)rS, ￿Spon￿"bIlltieS.'
Th8 m8mbers have not r8qulr8d the company to obtain an audit ofits accounts for lh& yearin
question in Sc(x￿danCe ￿1￿ $8clion 476,"
The directo￿ acknowledge their￿SpOn￿billfreS forCom￿y1n9 wllh thg requiremeiits of the Act
with ￿Spect to a(xounting Trcords 8nd the p￿paratiOn of accounts.
These 8C(x)unts have t)een pr8pared in accorda￿& with the prnws￿nS appI￿able to companies subi8cI
to the small companys regime.
The trust88s declare that they have approved the accounts above.
Signed on behalf of t
charitys trustees..
Slgned
Dat8d.' 21 May 2028
J Healy, ChalrlDlrector
|Page 10

HELP4HOMELESSVETERANS
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 30 APRIL 2026
1. Accounting poll¢les
Basis of the preparatlon of thè accounts
The financial statements have been prepared in accordance with Accounting and Réporting by
Charities- Ststement of Recommended Practice applicable to charities preparing their accounts in
accordance with the Financial Reportsng Standard applicable in the UK and Republic of Ireland
(FRS102}, Charities SORP (FRS10211 and the Companies Act 2006.
The charity meets the definition of a public benefrt entity under FRS 102. Assets and liabilities are
initially recognised at historical Gost or transaction value, unless otherwise stated in the relevant
accounting policy note(s).
Income and expenditure has been analysed in the accounts using natural classification, in
accordance with the provisions of Section 4.6 of the Charities SORP (Smaller Charities). The
charity also meets the requirements for exemption from preparing a statement of cash flows.
Golng Concern Note
The charity has a heathy r8serve and has been successful in accessing grant funding to
contribute to running cosls. There arè no material uncertaintie$ at the balance date and the
trustees have reasonable expectation that the charity has adequate resources to ¢ontinue in
operation for the foreseeable future. The charfty Iherefore continues to adopt the going
conc8rn basis in preparing its financial statements.
Incomlng re90urce8
All material incomiro resources have been Included in the Statement of Financial Activities
when the charity is entitled to the income, when any perf0mlan￿ conditions attached are
met, when it is probable that the income will be received and when the amount can te
measured reliably.
Resources Expended
Resources expended have been analysed using natural classification.
All expenditure is included on an accruals basis and is recognised as a liability Is Incurred. Th8
charity is not reglstered for VAT and accordingly rèsources expended are shown gross of
irrecoverable VAT.
Donated goods and services
Donated facilities and services are recognised in the aocounts at the amount the charity
would pay in the open market for a service equivalent to that being donated. when the
charity would othetwise have purchased them and the value Can be measured reliably.
Donated goods for the charity's own use are recognised as income. at their fair value. The
contribution of general volunteers is not r8cognised as income in the charity accounts
Flxed Assets & Depreclatlon
Depreciation is calculated to write down the cost or valuation less estimated residual value of all
tangible fixed assets. with a cost exceeding £1,000, over their expected useful lives. The rates
applicable are=
Buildings & improvements - 20k on a straight line basis.
Equipment. Fixtures & Fittings- 200/0 on a straight line basis.
Vehicles - 20 % on a straight line basis
In the year of a￿ulsitIon. assets are depreciated for the full ￿ar.

HELP4HOMELESSVETERANS
NOTES TO THE FINANCIAL STATEMENTS contlnued
YEAR ENDED 30 APRIL 2026
Funds Structure
The charity maintains a general unrestricted ￿nd which represents fvnds vthich are expendable at
the discretion of the trustees in furtherance of the objects of the charity.
Restricted funds have been provided to the chartty for particular purposes and may only be spent
for the purposes for which they w8re given. Any balan￿ remaining outstanding on a restricted fund
at Ihe end of the year is carried forward as a balance on the fund, unless pemiission has been
given by the fvnder to remove the restriction on the balance outstsnding.
Funds relating to capital expenditur8 are transferred to a designated fund against which
depreciation 15 charged.
2. Income from Donatlons & Fundralslng
2026
Total
Funds
21725
Total
F￿d$
Unrestrlct
Funds
Restrlcted
Fun
General Donations
Fundraising & Evènts
Buy a Bnck Campaign
39.409
14,608
39,409
14,608
14,359
45.
12,194
14,359
Totsl
$4,017
14,359
68,376
57,559
All prior year Donations and Fundraising income is unrestricted.
3. Grants Received
2026
Totsl
Funds
2025
Total
Funds
Unrgstricted
Fund¥
Rgstri¢ted
Funds
The Veterans, Foundation Farm Therapy
The Veterans. Foundation Fuel grant
The Veterans, Foundation general purpose
The VeteTans' Foundation Veterans Support
ABF General Purpose
Morrisons Foundab'on
RMBC Mayots Grant
5,000
5,&)0
5.C4JO
5,000
10,000
10.CrfJO
23,820
10,000
23,820
Total
33,820
33,820
30,CNJO
The prior year grants from ABF and the Veterans Foundation for Veterans Support were
unrestricted. All other prior year grants are restricted funds.
|Page 12

HELP4HOMELESSVETERANS
NOTES TO THE FINANCIAL STATEMENTS continued
YEAR ENDED 30 APRIL 2026
4. Analy81s ol Expendlture by Fund
2026
2025
Unrestricted Funds:
Salaries cost
Rent, rates & Until￿e8
Office & admin exp6nse
Telephone &Websfte
Roryn hire
Vetsran accomrntrdation
Veteran support
Repaits & maSnlgnarKe Vetsrars House
Fumiture & equlxnenlvetsfans House
Equiprnent
Insuranc8
Slotage
Legal & professional fees
publ￿ & e¥*nts
Fundraiying costs
Travel & meetings
Account￿￿, bDJkkeepirYJ & payrc41
Bank charges
Depreciats'on Itksignated Fund81
Sundr*slmi8C
Totsl
32,719
2,074
1.1
38,923
1,112
1,973
472
9,236
1,287
7,558
697
1,941
2,131
427
1.954
1,784
2,435
153
7.327
215
2,239
2,678
293
5,112
11.452
906
2.678
253
25
68,708
77,528
Restricted Funds:
Veteran Accomodal
Veteran support
Fumiture & equiprnenl Veterans House
Fixtuies & frttings Veteran$ House
PublirAty & events
Fundrai8ing Costs
Travel & meetings
Total
3,￿8
3,451
403
91
4,203
1,193
7,187
9.114
IFa9e 13

HELP4HOMELESSVETERAN8
NOTES TO THE FINANCIAL STATEMEMTS contlnued
YEAR ENDED 30 APRIL 2026
S. Debtors
2026
2025
Prepayments
Totsl
6. Creditors
2026
2025
Creditors & accrua15
PAYE liablllty
950
511
1,153
Total
1.461
2,053
7. Flxed Assets
Equlpmgn(
Fixturgs &
Flttlngs
Bulldlng8 &
Improv•m•nt8
Vehlc1•5
T¢)tsl
01-May-2025
Additions
Dispo8a18
as @ 30-Apr-2026
149,443
10,615
160,058
149,443
10,615
160,058
Deprgciation
as @ 01-May-2025
Disposals
Charge this period
as @ 31PApr-2026
2,989
2,989
2,123
2.123
5,112
5,112
Net book value
as @ 30-Apr-2026
146,454
8.492
154,946
as @ 30.Apr-2025
8. Property owned by the Charlty
In February 2026 the Charty purchased a freehold property in Rotherham which will be
used to provide temporarylemergency accommodation for homeless veterans. The
purchase price was £147,500, wth associated kgal fees of £1,943.
IPage 14

HELP4HOMELESSVETERANS
NOTES TO THE FINANCIAL STATEMENTS continuèd
YEAR ENDED 30 APRIL 2026
9. Trustees, remuneration, beneftts and expenses
Other than reimbursement of items purchased on behalf ofthe charity, there were no
payments, remuneration or benefrts made to trustses in this or in the previous accounting
period.
10. Related party transactlons
There were no related paty trsnsactions, in this or In the previous 8ccountlng perfod.
11. Independent examlnatlon and accountancy service5
During the period, the total cost of the independent examination, accountancy, b(￿kkeepIng and
payroll servI￿s, provided by BCVS, was £2,678 {2025.' £2,604).
12.Staff costs and numbers
2026
2025
Total Salaries Cost
The average numb8r of employees during the year was 1 {2025'. 2).
13.Movement in Funds
Oponlng
balance
Incomlng (Resourcos
Fund
rn8our¢e8
èxptndèdl Tran8forn
Closlng
balance
Unrg8trictrd Funds:
General Fund
159,424
55,544
{63,6581 {111,5971
39.715
159,424
55.544
163,6561 1111.5971
39.715
Deslgnated Fund8:
Fixed Assets
15,112)
160,058
154.946
{5.112
160.058
154,946
Rostrictgd Funds-
Veterans, Foundation - Fami Th8rapy
Veterans, Foundation - Vetemn Support
Veterans, Foundation - Fuel
Morrisons Foundation
Buy a Brick Campaign
RMBC Mayors Grant
4,778
591
2,100
{5001
{S91)
14,278)
I2,1C￿}
Is,3￿)
{4,604}
1380) {13,9791
1320) {23,5001
10,000
14.359
23,820
7.469
48.179
17.18n 148,461}
TOTAL
166.893
103.723
{75.955)
194.681
IPage 15

HELP4HOMELESSVEfERANS
NOTES TO THE FINANCIAL STATEMENTS contlnued
YEAR ENDED JO APRIL 2026
14. Fund transfors
£4,278 was transferred from the Farm Therapy project restricted fund to general funds as the
project was complete.
£2,100 was transferred from the Fuel Bill support grant restricted fund to general funds as
the project was complete.
£160.058 was transferred from Restricted Funds (£42,083) and General Funds (£117,975) to
designated fijnds for the purchase of Fixed Assets as follows..
Purchase of Veterans House £147,500
Associated legal Fees wilh House purchase £1.943
Fire Alami system in Veterans House £7,676
French doors in Veterans House £1,500
Gazebo £1,439
15.Re8trlcted Funds
Veterans, Foundatlon - Farm Thera
which is now complete.
Pro
grant to support the Farm Therapy Project,
Veterans, Foundation - Veteran Su
rt- a grant to contribut8 to Vetsran a¢commodatbon
costs and household equipment. Grant fulty spent.
ans, F nd
Fuel Grant - to provide individual fuel support grants of £100 to
veterans struggling to cover the high ¢osl of gas and electricity over the wint8r period. The
granl has n¢)w closed and the balan￿ transferred to general funds.
Morrisons Foundation- a grant towards ￿rnf[￿re, ti>Xures and frttings for the new Veterans
house. This grant was fully sp8nt.
Rotherh
mMBCMa
grant was fully spent.
ors Fun
a grant towards the purchase of the Veterans House. This
RuwllGLkn- An appeal for donations towards the purchase of thè Veterans
House. These donations have been fully spent.
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