Company registratlon number.. 07930954
Charity registration number.. 1148194
Allied Services Trust
IA company limited by guarantee)
Annual Report and Finanaal Statements
for the Year Ended 31 May 2025
Ward Goodman Audit Service5 Limited
4 Cedar Park. Cobharn Road
Ferndown Industrial Estate. Wimbome
Dorset
BH21 7SF

Allled SeNlces Trust
Contents Iwntinuedl
Reference and Administrative Detalls
Trustees, Report
2toS
Indèpendent Examinèr's Rèport
6t07
ststèment of Finantial Activltiés
Balance Sheet
Notes to the Financial Statements
IOto17

Allied Services Trust
Reference and Administrative Detslls
Trustees
Mr J A Batey
Ms H Burrell
Dr M J Broad
Charlty Reltstratlon Number
1148194
Company Registration Number
07930954
Principal Offi
The Granary
Newlands Manor Farm
Everton
Lymington
Hampshire
S041 OJH
Independènt fxaminer
Ward Goodrnan Audit Service5 Limited
4 Cedar Park, Cobham Road
Ferndowrt Industrial Estate, Wimborne
Dorset
BH2175F
Page I

Allled Servlces Trust
Trustees. Report
The trustees, who afe ￿1￿ctOrS for the purposes of company law, p￿sent the annual report tO8ether with the
financtal Statements of the charitable company for the year ended 31 May 2025.
Oblertlves and artivities
Objects andoims
Who we are
We are a 8r¢up ¢*f profe$5ionals from the leghl and voluntary se¢tor who have come together with the aim of
dellvering an alternative business model to help safeguard those at risk ol losing capacity through the
provision of edu￿tIOn and seThices re13ting to Powers of Attorney and connerted matters because..
l.There are a significant number of the population. particularly the aged. who are without IT facility to make
n LPA ortline.
2.There are hundreds of thousands more who do not have the sklll set or confidence to prepare for p0551ble
mental incapacity by makin8 these vitsl document5 themselves.
3.many people feel they cannot afford to pay the ¢ommerual rates ¢har8ed by professionals operatin8 from a
prafit-making entltyfor p￿Paring an LPA.
4.The cost incurred, due to lack ol preparation for times of vulnerability. to individuals, families. tharitiÈs,
support aEencles. Local Authoritles, Government Departments and the taxpayer is increasing and 15 not
sustainable.
r ab￿l¥t$ and A£￿vIt￿$
l.Provide unbiased Education- We raise awareness about the importance of preparing far p055ible incapacity.
2.Empower People- To make informed decisions about whts might help them in the luture with their financia
4nd welfare rnatteT5.
3.Offer drafting and adminlstratlon servltes- Whlch are affordable and accessible.
4.Operate on a not-for-profit basis - Offering additional charitable support for those who are experiencin8
financial hardship.
5.Take appointment as Attorney or Court Appointed Deputy- For those who are vulnerable and have no-onÈ
else to act on their behalf.
The trustees confirrn ihat they havè eomplied wlth the requirements of section 17 of the Charities Act 2011 to
have due regard to the public benefit guidance published by the Charity Commission for En8land and W?les.
Our Vision
Our vision is to be a highly respected national charity and pèrtner ef choice for the deliyery of education. legal
and support service5 In relation to per5Dn31 financial and welfare matters.
Our Misslon
We want to use influence to effect a social change and develop the application of law in the field of Court of
Protection work 50 that vulnerable indivlduals are not exploited by commereial intèrests.
Page 2

Allied SeNiees Trust
Tru5tees' Report (continued)
l)Jr Values
l.Inte8rity- we act with honesty, integrity. and ion51StEnCV in all that we do.
2.Independence- we are independent and transparent in all aspects of our work.
3.People Focy5ed- People are at the heart of everything we do. We Support one another and those we work
with. Customers come first. We trusL encourage, and develop our staff because we know that ivs our people
who rnake us whèt we are.
Achievement and performan¢e
Charltable acllvld25
Act￿n$ the period 01.06.ZD24 10 3IA15.2025
l.QJntinued to provide drafting and reglstratlon of Lasting Powers of Attorney.
Z.Continued to make deputuyship applications forthird parties.
3.Became more selective re8ardin8 referra15 from NHS Older Persons Mental Health Teams, Soclal SeNlces,
Medic31 Profe5siona15, and large well-resperted national charlties.
4.Maintsined the Buy with Confidence Accreditstion with Hampshire County Council, feeelvin8 posldve
feedbacl with a five-stsf approval ratin8.
5.Malntalned a posltlve working relationship with the Office of the Public Guardian Professional Deputy5hip
Team.
6.Maintsined COBSEO membership.
7.Ma¢vbtsined COPPA membership.
8.Cc•ntinued membershlp of the Court of Protection Deputyship Forum.
9.Reviewed the Bu5ine5s Plan.
10.Restructured Allied Services Trust and reduced stafl numbèrs and tsperational overheads.
11.Reduced office space to preserve linances.
12.Contacted the Court of Protection and OFfite of the Public Guardian regarding prartI￿ Direction 19B.
13.Maintained financial independence.
14.Maintained the contin8ency fund.
15.Continued the Court Case challengin8 Motability.
Page 3

Allied Services Trusl
Trustees. Report {wntinued}
F5nanclal revlew
Reserves pollcy
The Trustees have agrÈed that the ¢haTity should hold in reserves the eqU￿alent of sax months general runnlng
Costs. It is agreed that a mlnlmum ot £i,OCM).(Xl a year is to be placed into thls account untll that level is
achieved. Thls policy w511 be reviewed every twelve months.
should be noted that following on from last yearfs report there continues to be Significant delays with the
Senior Courts Costs Office ISCCOI issuing final costs ￿rtifICates. The delays from the SCCO have had a dirett
negative impact on the cash position of the charity. In addition, during 202412025 clients ol Allied Services
Trust have continued to die. There are not enough deputyship clients bein6 referred to Allied Services Trust
with esiates that allow for assessed costs. The change5 to Practice Direction 198 and the above rnentioned
issues make takin8 appointment as Deputy no longer financially viable.
The number of clients who have died during 202412025 Still have estate5 waiting probate which ha5 cr¢aied a
delay in receivin8 Outstanding fees and has a negative impact on the cash flow of the charity.
The charitable company has free reserves of £142,797 a5 at 31 May 202512024 . £149,6331. The Trustees
consider thls lÈvel of reserves to be sufficient to deliver charitable objectives for the next twelve month5. Free
re5erve5 are calculated by deductin8 fixed assets from the unrestricted land undesignatedl reserves held èt
the year-end.
Pknsforfirture perlods
Our Plansdurmbgthè perlod 01.1￿.2025 to 31.05.Z026
l.To Rehorne 811 deputy$hlp tases.
.RequE5ting dischargè from the Court of Protection lor low value clients whg will be rehomed to
organisations prepared to act as an appointee.
b.Requesting di5char£e from the Court of Protection for the remainin8 deputyship cases who will b8 rehomed
to a Panel Deputy.
2.To locus on the remalning Lastlng Power of Attomey dients.
3.Tg flevEl¥p a marketing strategy to attsact new clients to Allied ￿rviceS Trust who rÉqulre drafting services
for Lastin8 Power of Attorney and DeputV5hip Applications. or admlnlstratlon setvices in relation lo ￿sting
Powers ofAttorney.
Strurture. iOTfftnance abxl management
Natuts ofgovernlng document
The charity is controlled by its 8overning document. a deed of trusL and constitutes a limited ¢ompany, limited
by guarantee. as defined bythe Companies Act 2006
Page 4

Allied Services Trust
Trustees. Report l¢ontlnued)
Recrultment and appolntment of new trustèts
The existing 8oard of Allied Service5 Trust approach those who have shown interest in Allied SeNices trust
historlcally and have Skill 52ts that would enhance the Board5 knowled8e to support the development and
8rowth of the charity and also provide technical workin8 knowled8e of le8islation and Court of ProteEtion
practice and procedure.
The Board take care to ensure that only those who have the time. experlence, and commltment are appolnted
to act as a Trustee. As the charfty Is active and has a growing cltent base, It Is essential that th¢se who hold
appolntment as Trustees can take an auive role to develop strate8V to guide the organisati¢n.
Relèrèntèand Administrative Dètails
Charity Resistratlon Number
1148194
Company Registration Number:
07930954
Registered Office..
The Granary
Newlands Manor Farm
Everton
Hampshire
S041 OBG
Trustees..
Mr J A Batey
Ms H Burrell
Dr M J 8road
Independent Examlner..
Ward Goodrn4n Audlt Servlre5 Umlted
4 Cedar Parl Cobham Road
Femdown Industrial Estate, WimbomÈ
Dorset
8H2175F
The annual report was approved by the trustee5 of the charity on...
and signed on its behalf by..
Dr M J Broad
Trustee
Pa8e 5

Allied Servlces Trust
Independent Examiner's Report to the t￿￿ee5 of All*d Servlces Trust ('the Company,)
I report to the charlty trustees on my examination of the account5 of the Cempany for the year ended 31 May
2025.
ResponsiL4lltl•s and b•sl$ of report
As the charl￿S trlksteès of the Company land also its dirertors for the purp05e5 01 company lawl you are
responslble for the preparation of the accounts in accordance with the requirements of the Q)mpanie5 A¢t
20061'ih¢ 2CQ6 Aci'l.
Havln8 satisfied myself that the accounts of the Company are not required to be audited under Part 16 of the
2006 Act and a￿ eligible for indepeadtnt Èxamination, I report in respect gf my examination of your charitV5
accounts as carried out under 5ettion 145 of the Charltie5 Act 2011 I'the 2011 ACVI. In cairying out my
examinatlon I have followed the Dirertions 8iven by the Charty Commisslon under s¢ctlon 14515llbl of the
2011 Act.
An independert examination does not involve 8athÈrlng all the evidetKe that would be requirpd in an audit
and consequently does not cover all the matters that an auditor considers in giving their opinion on the
accounts. The planning and conduct of an audit goes beyond the limited assurance that an indepÈndÈnt
èxaminatlon can provtde. Consequently l express no oplnion as to whether the accounts present a 'true and
fairf view and my report Is limited to those specific matters set out In the independent examiner'5 StatemenL
Indèptndtntexamlnerfs statement
I have Complet￿ my examination. I confirm that no matters have ctsme to my aitention in connectlon with the
examlnation 8ivin8 rne tause to believe..
l. accountlng records were not kept in respect of Allied SeNices Trust as required by section 386 of the
2W6 Act,. or
2. the account5 flo not actord wlth those recor(1s.' or
3. the a¢¢ounts t10 not comply with the accounting requirements of section 396 of the 2006 Att Other than
any requirement that the account5 WVÈ a 'true and fair view, which is not a matter considered as part of
an independent examination,. or
4. the accounts have not been prepared in accordance with the methods and principles of the Statement of
R￿mmended Practice for accounting and rèporting by charities lappliEable to charities preparing their
accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of
Ireland IFRS IQ2I1.
Page 6

Allled Setvlces Trusl
Independent Examiner's Report to the trustees of Allied Services Trust Ilhe Company,)
{contlnuedl
I have no concerns and have come across no other rnatters in connettion with ihe examination to which
attent￿n slxjuld be drawn in this report in order to enable a proper under5t?ndin8 uf the accounts to be
reached.
TG FroudACA
ICAEW
Ward Goodman Audit Semces Ltd
4 Cedar Park, Cobham Road
Ferndown Industrial Estate, Wimborne
Ekjrsèt
8H217SF
Date..
Page 7

Allled SeThlces Trust
Statement of Flnanci81 Actlvltles for the Year Ended 31 May 2025
(Includlng Income and Expendliure Account and Statement of Total Re¢o8nised Gain5 and
Losses)
Unrestricted
lunds
Total
2025
Total
2024
Note
Incom and Endowmentsfrom:
Donations and legacies
Other trading activities
Investment income
1,749
160,448
1,051
76
L749
160,448
1,051
76
307
160,085
I,ioi
524
Other income
Total income
163.324
163.324
162,017
Empenditure on..
Raising funds
Charitable artivities
11751
1170,3021
11751
1170.3021
11641
1172,5461
Total expenditure
1170,4771
1170.4771
1172,7101
Net expendi￿re
17.1531
17,1531
110,6931
Net movement in fundg
17,1531
17.1531
110,6931
Rewnriliation Of fvnds
Totsl funds brought fomard
149.gso
149,950
160,643
T¢)tsl funds carrieil forward
14
142,797
142,797
149.950
All of the charitys activitie5 derive frorn continuing operations during the above two periods.
The notes on pages IQ to 17 form an integral part of these financial statements.
Page 8

Allled SeThice5 Trust
(Reglstratlon number: 07930954)
Balance Sheet as at 31 May 2025
20Z5
20Z4
Note Unre5tr1rted
Restricted
F￿d assets
TangTrble assets
io
317
Currentassets
Debtors
li
59,094
95,097
59.094
95,097
109.672
60,550
Cash at bank and in hand
12
154.191
154,191
170,222
cr￿}rOrs. Amounts falllng due
within one year
13
111,394
111,3941
120,5891
Net current assets
142,797
142.797
149.633
Net assèts
142.797
142,797
149,950
Fyndsolthe charfty:
Unrertrkted Incorne fund5
Unrestricted funds
142.797
149,950
Totsl lunds
14
142,797
149,950
For the financial year endin8 31 May 2025 the tharity was entitled to exemption from audit under 5ectign 477
of the Cofflpanies Act 2QN)6 relating to 5rnall companies.
Director5, resw)nsibilities'.
The member5 have not required the charity to obtain an audlt of Its accounts for the year in question in
Kcordance with section 476,. and
The directors acknowledge their responsibilities for complying with the requirements of the Act with
respect to accounting rocordg and the preparation of accounts.
These financial ststements have been prepared in accordance with the special provisions relating to
iomp3nies subjÈtt to the small companies regime within Part 15 of the Companies Act 2006.
The finan
I statements on pa82s 8 to 17 were approved by the trustees, and duth0ri5ed for i55ue on
and signed on their behalf by-
Dr M J Broad
Trustee
The note5 on pages 10 to 17 forrn an integral part of these financial statement5.
Page 9

Allied Servkes Trust
Notes to the Flnancial Statements for the Year Ended 31 May 2025
l Accoyntln8 polldes
Symmaryof swifftant accountln¥ ￿Ncle5 and key a¢¢oyntlng e#lmatss
The principal accountin8 policies applied in the preparation of these financial statements are set out below.
These policies have bèen consistently applied to all the year5 presented, unle55 OthenM15e stated.
Statement of compllanc•
The finanual statement5 have been prepared in accordance with A¢countin8 and Reportin8 by Charitie5.'
Statement of Recommended Practice (applicable to charities preparing their account5 in accordance with the
Financial Reporting Standard applicable in the UK and Republic of Ire13nd IFRS 10211 lissued in O¢tober 20191-
(Charities SORP IFRS 10211. the Financlal Reportin8 Standard appli¢able in the UK and Repvblic of Ireland IFRS
1021 and the Companies Act 2006.
Ba51s of prePa￿tIOn
Allied Services Trust meets the definltion of a public benefit entity under FRS 102. Asset5 and liabilities are
initially reco8nised at historical c95t or transaction value Ljnless otherwise stated in the rèlevant aceounting
policy notes.
Goln¥ contem
The trustees consider thzt there are no material uncertainties about the charlty's ability to conlinue as a 8oin¥
concern nor any si8nifi£ant areas of uncertainty that attect the carryingvalue of assets held by the charlty.
ncomeand endowments
All income is reco8nised once the charity has entitlement to the income, it is probable that the income will be
¢eived and the amount of thÈ intome recèivable can be measured ￿lIablY.
Donutlons andkqacies
Donations are recognised when the charlty has been notih'ed in writing of both the amount and 5ettlernent
date. In the wertt that a donation is subject to conditions that requsre a level of performance by the charity
before the charity is entitled to the funds, the incorne is deferred and not recognised until either those
conditions are fully met, or the fulfilment ol those condition5 is wholly within ihe control of tho charity and it is
probable that these tonditions will be fulfilled in the reporttn8 period.
Exp•nditure
All expenditure 15 recognised once there 15 a legal or consliuctive obligation to that expenditure, it is probable
settlement is required and the amount can be measured reliably. All cost5 are allocated to the 3pplicable
expendIlu￿ headin8 that aBgregate similar co5t5 to that category. Where costs cannot be directly attributed to
particular headings they have been allocated on a basis con515tent with the use ol resources. with central staff
costs allocated on the basis of time spent. and depreciation charges zllocated on the portion of the assevs use.
Other support costs are allocated based on the spread of staff costs.
Pag? 10

Allled Servlces Trust
Notes to the Flnanclal Statements for the Year Ended 31 May 2025 {¢ontinued)
l Ac(ountlng polkles (continued)
Aaisinqfvnds
These are costs iocurred in attrarting voluntary income, the mana8ement of inveslment5 and those incurred in
tiadlng activities that raise funds.
Chorftubleoctlvlties
Charitable expendtture compllse5 those costs incurred by the charity in the delivery of its activitles and
services for it5 beneficiarie& It includes both costs that can be allocated directly to such activities and those
costs r>f an indirect nature necessary to support them.
Support costs
Support costs indude central functions and have been allocated lo activity c05t categories on a basis
con515tent with the use of resources, lor example. allocailng property costs by floor areas. or per capita, staff
costs by the time spent and other costs by their usage.
GDveman¢e costs
These intlude the costs attributable to the charitvs eompliance with constitution31 and statutory
requirements, including audit. Strategic management and trustees meetings and reimbursed expenses.
Taxatlon
The charity Is considered to pass the tests set out In Paragraph I Sthedule 6 of the Finance Art 2010 and
therefore it meets the definition of a charitable company for UK Corporation tax purpose5. Accor(*lnglyi the
Charity is potelltially exempt from tsxation in respect af intome or capital galns received within categories
covered by Chapter 3 Part 11 of the Corporation Tax Act 2010 or 5ettion 2S6 of the Taxation of Chargeable
Gains Art 1992, to the extent that such income or 8ains are applied exclusively to charitable purposes.
Tanglble fixed assets
Depreciation is provided at Ihe following annual rares in order to write off each asset over its estimated useful
Ilfe.
Flxtures and Fittings- 25% on cost
A capitalisation policy ha5 been set by the trustees ihat any Iterns ¢)ver £500 and with a useful economic pile of
Over 3 years will be con5idEred for capitalisation.
lJeprec13ti*)n and amortlsatlon
Depreciation is provided on t3n8ible lixed assets so as to write off the c05t or valuation, less any estlmaied
residual value, over their expected useful èconomic life as follows..
Pa8e 11

Allled Services Trust
Notes to the Flnancial Ststements for the Year Ended 31 May 2025 (continued)
l Ac¢ountln8 pollde5 Icontinuedl
TTrde debtors
Trade debtors are amounts due from customer5 for merchandise sold or services performed in the ordinary
course ol business.
Trade debtors are recognised initially at the transaction price. They are 5ub5e4uently measured at amortisÈd
cost using the effective interest method, less provision for impairment. A provision for the irnpairment of trade
debtor5 is established when there is objective evidence that the charity will not be able to colle¢t all amounts
due accordin8 to the original ttrms of the receivables.
Cash and cash equlvalents
sh and cash equivalents comprise cash on hand and c311 deposits. and other short-term highly liquid
Investsnents that ao readily convertible to a known amount of cash and are subject to an insi8nificant risk ol
change In value.
Trade Creditors
Trade creditors arè obligations to pay for goods or services that have been acqulred in the orflinary course of
business from suppliers. Accounts payable are classified a5 current Ilabilitie5 if the charity does not hav2 an
un¢ondltional right, at the end of the feporiing period, to defer settlement of Ihe creditor for at le(15l Iwelv
months after the reporting date. 11 there is an unconditional ri8ht to defer settlement for at least twelve
months after the reporting date, they are presentsd as non-current liabilities.
Trade Credito￿ a￿ recognised initially at the transaction price subsequently measured at amortised cost
using the effective interest method.
Fund structure
Unrestricted in¢ome funds are general funds that are available for use at the trustees discretion in furthErance
of the objettives of the charity.
Pension5and other post retlremènt obllgations
The charity operates a defined contribution pension scheme which 15 a pension plan under which fixeil
contiibutions ale paid into a pension fund and the charity h35 no le8al or constructive obligation to pay further
contribut¢ons even if the fund does not hold sufficient assets to pay all employees the benefit5 relatin8 to
employee service in the current and prior periods.
ontributsons to defined contribution plans are reco8n15ed in the Statement of Ftnancial Activitie5 when they
are dye. If contrlbution payments exceed the contribution due f¢*r service, the ex£e5S 15 retogni5ed a5 3
prepayment.
Page 12

Allled SeNices Trust
Notes to the Finantlal Statements for the Year Ended 31 May 2025 (contlnuedl
2 Incomefrom donations and legacies
Total
2025
Total
2024
Donations and legaeiÈs-
Don3tign5 from individuals
1,749
307
1,749
307
3 Incomefrorn othwtradiftgactlvltles
Totsl
funds
Total
2024
Trading income-
Other trading income
160,448
160,085
160,448
160,08S
4 Investment income
Total
2025
Total
2024
Other Investment income
1,051
I,ioi
5 Expendlture on chafitable acti¥ities
Total
202S
Total
2024
Note
Direct COSts
Staff costs
Allocated support costs
Govemance costs
22,670
129,639
10,884
7,109
23,252
137,712
8,890
2.692
170.302
172,546
Page 13

Allied Serv1￿ Trust
Notes to the financial Statements for ihe Year Ended 31 May 2025 Icontinuedl
6 Analysis of 8ovÈrnance and supwt co$ts
Go￿rmanCe tosts
Total
20Z5
Total
2024
siaff cosis
Other staff costs
Other govemance costs
Independent examinerfs fee
Legal and professlonal fees
421
270
251
1,940
4,497
1.893
529
7,109
2,692
7 Trustees remuneratFon and expenses
There were no tru5te¢5' remuneration N other benefits for the year ended 31 May 2025 nor for the year
énded 31 May 2024.
Tiustees. expenses
Durin8 the year ended 31 May 2025, one trustees was reimbursed expenses totsllin8 £24512024.. £1771
8 stsff costs
The aggregate payroll costs were as lollow5'.
2025
2024
Staff costs during the year werè:
wages and salaries
Social security Costs
Pension cost5
Other staff costs
121,957
865
121.253
1,768
14.691
270
6,817
421
13LI.060
137,982
The monthly average number of persons lincludin8 senior management I leadership team) employed by the
charity during the year expressed as full time equivalents was as follow5..
2025
2024
No
Staff numbers
Pège 14

Allled Ser¥ices Trust
Notes to the Flnanclal Statements for the Year Ended 31 May 2025 Icontlnued)
8 Staff costs Icontlnuedl
No employee recefved emoluments of morè than £60,(JJLI durin8 the year.
Thé total employee benefits of the key management personnel of the charitywere £58,81712024- £65.5541.
g Comparailves for the statement of finandal a¢thikles
Vnr¢strit¢ed
funds
Total
2024
Note
Incomèand EMlowment51rom:
Donation5 and legaties
Other tradin8 activities
Investment income
307
307
160,085
i.ioi
524
160,085
I,ioi
524
(Xher income
Total income
162,017
162,017
ExpeTrdltyre on:
Raising funds
Charitable actlvltles
11fj41
172,5461
11641
1172,5461
Totsl expenditure
1172,7101
1172,7101
Net expenditure
110,6931
110.6931
Net movement in funds
110,6931
110,6931
Retonciliatk)n of fund5
Tgial fund5 brought lorward
160.643
160,643
Total funds carried forward
14
149.950
149,950
Page 15

Allled Services Trust
Notes to ihe Flrbancial Statements for the Year Ended 31 May 2025 Irontinued)
10 Tanglble fwed assets
Fyrnlture and
equiprneflt
Totsl
Co#
At l June 2024
7.694
7,694
At 31 May 202S
7,694
7,694
Depreciation
At l June 2024
7,377
317
7.377
317
Ch3ryÈ for the year
At 31 May 2025
7,694
7.694
Net I￿0k Value
At 31 May 2025
At 31 May 2024
317
317
11 Debtors
2025
2024
Trade debtor5
43,882
15,212
59,138
45,534
5.000
Prepayments ènd accrued income
Other debtors
59,094
109,672
12 Cash and cash equfvalent5
2025
2024
Cash at bank
95,097
60.550
Pa8e 16

Allled Servl¢es Trust
Note5 to the Financial statements for the Year Ended 31 May 20251continued}
13 CredlloN' amounts lallin8 d￿e within one year
2025
2024
Trade creditors
561
1,442
1,593
10,910
4,301
2,343
Other tsxation and social Security
VAT
894
7,400
599
Other creditors
Attrual$
1.940
11,394
2ts,589
14 Funds
Balance at I
June 2024
Incomln8
resources
Resources
expended
Balance at 31
May2025
Unrestrlcted lunds
Genernl
General Funds
149,950
163.324
1170.4771
142,797
Balance at i
Junè 2023
Incomin8
r•souTces
Resources
expended
Balancp at 31
m￿2024
VnrestrictÈd funds
Geneml
General Funds
160,643
162.017
1172.7101
149.950
15 Related party Iransartlons
The￿ were no related party transactions for the year ended 31 May 2Q25 nor for the year ended 31 May 2024.
Page 17