R6gl$tered number. 08377646
Charlty numbar: 1151211
RIDGEWAY COMMUNITY TRUST
(A Company Llmlted by Guarantee)
UNAUDITED
TRUSTEES. REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025

RIDGEWAY COMMUNITY TRUST
IA Company Llmlted by Guarnntee}
CONTENTS
Page
Refvrnnce and Admlnlltratlvè Dotall* of th• Charfty. It8 Trustè8$ and Advl••rn
Trust••s' R•port
Statom•nt of Flnanclal Actlvltle•
BalJn¢fj Shwt
Not•s to the Flnanclol Stat•mgnt•
7-15
Ind•p•ndont Examlnor's Report
16

RIDGEWAY COMMUNITY TRUST
{A Company Llmlted by Guarantee)
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY, ITS TRUSTEES AND ADVISERS
FOR THE YEAR ENDED 31 AUGUST 202S
Tru¥ta&s
Mr J O Awonlyl {re81gned 17 March 20251
Mr F H Clark
Mrs S J Clark
Mr P G Downlng18ppolnled 24 June 2025)
Mr D Eyeinglon
Mrs L Giabs
Mr S G H81ford
Mr G R Moore. Chairman (appointed 1 September 20251
Mr 0 8 01amu￿wa
Mr M J Thorman, Chalrman Ireslgned 17 March 2025)
Mr M R Wightm8n
Mr T Wllliams, Ch8iman (from 17 March 2025. until 1 Sèpl8rnber 2025
Company r•gl•t•r•d
numb•r
08377846
Charlty reglst•r•d
numb•r
1151211
Rogl#tor•d offlc•
Fealherslon8 Road
Wolverton Mlll
Mllton Keyn8s
MK12 5TH
Company $oGrotsry
L Grabs
Accounlantl
streets Chartered Accountants
Potton House
Wybo$lon Lakos
Gr&al North Road
Wyboslon
Bedford
MK444BZ
Page 1

RIDGEWAY COMMUNITY TRUST
{A Company Llmlt•d by Guorant•o)
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 AUGUST 2025
Tho Trustees pre8ènl their annual rgport logethfjr with thg financial stalgments of the Charity for the
Seplembar 2024 to 31 AugLJsI 2025. The Annual Report s8tV85 the purposes of both a Trustees, r8POrt and a
directors. report under company law. The Trustees confirm that the Annual Roport and financial slatemènls of
the charitable company comply with the cu￿ent ststutory requirements, the requirements of the charitable
company's governing document and th8 provisions of the Stotement of Recommended Pra¢ti¢e ISORPI
appllcable to charllles preparlng Ih8lr accounts In accordance wllh the Flnancial Reportlng Stsndard appllcable
In the UK and Republlc of Ireland IFRS1021 (effecllva 1 January 20191.
Slnce the Charlly qualtlles 88 Small under secllon 382 of the Compani95 Act 2008, Ihg Slratggic Report requirod
of medium and large companies und8r the Companios Ad 2006 Islrategic Report and Directors, RoPOrt}
Regulations 2013 has been omitted.
Oblectlv•$ and actlvltlgs
a. Pollcle8 and obJ8ctSvo•
To promotè or provld8 thè b8n8fi1 of th8 Inhabitants of the greas of Mlllon Kgyngs, and Sn partlcular the Ioc81
nelghbourhoods of Gfeenlgys. Hodge Lea, Stacey Bushes, Wolverton Mill and Fullers Slade, Such 8eNlces,
actlvSlles and faclllVe5 as are charSlable and comprlse Ibul are not Ilmile(I to}..
tho r91ief of poople who arg In chgrllable nged b&cau￿ of..
111 sl¢kn9ss or poor hgallh.,
1111 age;
{lill financlal hardshlp, or
{ivl some other reason
by any proper means a5 the Trustees think fil and including Iwhere appropriote but not way of limita￿onI the
provision of adviGg, Ihg promotion of good pr8clice to combal such condition8 and the provislon of ￿8oUrCe
lo alleviate or prevent such need.
b. thg advancemanl of 8ducatlon both general an(J vocallonal for Ghlldren or adult8,
c. the provlslon of reCrea￿On and le18ure Ilme acllvltles In the Interest of swal walfara for people living in the
area of benefit who have need by reason of their youth. ag¢. Inflmlty. dlsabillty, poverty or social and
economlc clrcum8tsnc68 wlth a vlew to Improvlng th8 condklons of life for Such ￿r$on$.
In setting objectives and planning for activities, the Trustees have given due considerBtion to general guldance
published by the Charity Commission relating lo public benefil, Including the guidance 'Public benefll.. running a
charity (PB21'.
Achlevèmènts and p•rfomianc6
a. Maln a¢hlgvemont$ of the Charlty
This is the elghlh year of op8ration for the charity.
The eMbarK c¢)unselling $8rvSoe offers in-person appointments al The Rldgeway Centre as well as some onllne
sesslons, dellvered through Ihelr team of 3 C¢)unsellors.
Financlal revlew
Page 2

RIDGEWAY COMMUNITY TRUST
IA Company Llmlted by Guarantee)
TRUSTEES, REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
. Golng conc•rn
After making 8PPTopriate ènquiries, the Trustees have a reasonable expectallon that th6 Charity has adequate
resources to continue in operational existence for the foreseeable future. For this reason, they conb'nue to adopt
tho going concern basis in preparing the financial stotemenls. Further detsils regarding the adoption of the
going concern bas18 can be found In the accounllng pollcles.
b. R•s•rve¥ pollcy
11 is the policy of the charity that unreslricled funds which hovg not been designalad for a specific use should be
maintained al a level equivalent lo between three and six month's expondilure. The Iruslees consider that
reserves at Ihls lèv81 wlll ensurè that, Sn th8 event of a significant drop In fundlng. Ih8y wlll be able lo conllnue
the charity's current activities while consideration Is given lo ways in whlch addltional funds may be ralsed. Thls
level of 1oserye$ has bogn maintained Ihroughoul the year.
Structur•• g¢)vornanco and managoment
a. Conltltutlon
Ridggway Communlty Trust Is règlslered a8 a eh8rtlable company Ilmlled by guar#nl86 and was $8t up by
MemorBndum of Asso¢iallon.
b. Methods of appolntmont or olectlon of Trusto
The management of the Charity Is the responsibilily of the Trustees who are elected and Co￿pIe￿ under the
larms of the Memorandum of Association. Trustees appointed are deemed suitably qu8llfied for the posltlon.
c. Flnanclal rf•k m•nJg•m•nt
The trustee8 have a duly to Idenufy and revSew the rf8k8 of whlch the charfty 15 exposed and lo ensure
appropriat6 contro18 are In place to provlde r8a80n8ble assuranc8 ag8lnsl fraud and error.
Page 3

RIDGEWAY COMMUNrrY TRUST
{A Company Llmlted by Guarantee)
TRUSTEES. REPORT ICONTINUEDI
FOR THE YEAR ENDED 31 AUGUST 2025
stst8m8nt ol Tru¥te¢¥' responslbllltl•8
The Trustees (who are also the directors of the Charity for the purposes of company lawl ar8 r8sponsible for
preparing the Trustees, Report and th8 financial statements in accordance with applicable law and United
Kingdom Accountlng Standards IUnlt&d Kingdom Generally Accepted Accounting Praclicel.
Company law rgqulres tho Tru$laes to prepare flnanclal s¢al8ments for each flnanclal . Under Gompany law, the
Trustees must not approve the financlal slalements unless th8y are sallsfled that they give a true and falr vlew
of the stale of affairs of thg Charity and of ils irbcoming resources and applicallon of re8ource8, Includin9 Ils
income and exp8ndllur8, for that p8rSod. In prepafing Ihesg financial statements, the Trustees are required to:
select sultable accounting policies and then apply them consislonlly:
observe the methods and principles of the Charities SORP IFRS 1021..
make judgments and accounting &sllmales that ara reasonablo and prudent:
state whether applicable UK Accounbng Standards {FRS 1021 have been foll(Iwed, subjèct to 8ny
malerlal departuros dlsclosed and explalned In Ihe flnanclal stalemonts,.
prepare the financlal ststemenls on the oolng concgrn basi5 unl85s It Is In8ppropriats lo prg$ume that the
Chartty will continue In bu8lnes8.
The Trust805 are r8sponslble for keeplng ad8quate accountlng records that are sufficSenl lo show and explaln
tha Charltls Iransacllons and dlsclose wllh rgasonable accuracy al any Ilm6 the financi81 position of th8 Charfty
and enable them lo ensure that the financial slalemenls comply wllh the Companies Act 2006. They are also
responsible for safeguarding the assets of the Ch8rity 8nd hence for taking reasonablo Slops for the prgventlon
and detection of fraud and other irregul8rille8.
Approved by ordor of tha mamb8rs of thè board of Trusloes and signed on Ihelr behalf by..
Mr G R Moore
ChaSrm8n
Dale.. 2 March 2026
Paga 4

RIDGEWAY COMMUNITY TRUST
IA Company Llmltod by Guarant•01
STATEMENT OF FINANCIAL ACTIVITIES (INCORPORATING INCOME AND EXPENDITURE ACCOUNTI
FOR THE YEAR ENDED 31 AUGUST 2025
Unrestrlct•d
funds
2025
Total
funds
2025
Totol
funds
2024
Not•
Income from:
Charllable acllvttles
Investments
25,509
14
2S,509
14
l T,466
Total Incorne
25,523
25.$23
I T,477
Expendlturn on:
Charllable 8cllvlll88
24,148
24.148
78.685
Net movomant In funds
1,375
1.375
(7,208)
Roconclllatlon of fund•'.
Total funds brought foN48rd
Nel movemgnt in funds
4,806
1,375
4,608
1,375
5,814
fl,208J
Total funds carrled fopward
5.981
5.981
4,606
The Statement of Financial Actlvile8 Include8 all galns and1088e8 recognl8ed In the year.
The noteo on page$ 710 15 form part of these financial stalem8nts.
Page 5

RIDGEWAY COMMUNITY TRUST
{A Company Llmlted by Guarante•}
REGISTEREO NUMBER: 08377646
BALANCE SHEET
AS AT 31 AUGUST 2025
2025
2024
Note
Curr•nt assats
Debtors
Cash at bank and In hand
3,717
4.832
4,460
t,561
8,549
6,021
Curront Ilabllltlo8
Cr8dllor8: amounts folllng due wllhln one
year
10
{2.$681
{1,415J
Net current a•i•t8
5,981
4.606
Total n•t a•••ts
5,981
4,606
Charlty fund•
Reslrlcted funds
Unreslrlcted funds
11
11
5,981
4.606
Total funds
5.981
4,606
Tho Charity was entiued to exempllon from audll under section 477 of the Companies Act 2006.
The members have not requlred the company lo obtaln on audit for the year In quesuon In accordance with
sectlon 476 of Companlgs Act 2006.
The Truslegs acknowledge thelr responsibiliti85 for complwng wilh the requlrements of the Act wlth respect to
accounllng racoft18 and preparatlon of financial ststemgnts.
The fln8nclal statements have been prepared In accordan￿ vAth the provl$ions appllcablg to enllfjes subject to
the small companles reglme.
Thg finanGial statemonts were approved and authorfsed for188ue by the Trust68S 8nd signed on thelr behalf by.
MrG R Moore
Chaimian
Dale.. 2 March 2026
The notes on pages 7 to 15 fom part of these financial statements.
Page 6

RIDGEWAY COMMUNITY TRUST
(A Company Llmlted by Guarnntwl
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 202S
Goneral Informatlon
Rldgeway Community Trust is a company Ilmiled by guaranteo incorporated In England and Wales. The
principal plac8 of buslness and registered officg is The Ridgeway Cenlre, Feath8rstone Road. Wolverton
Mill South, Mihon Keynes, MK12 5TH.
Accountlng pollGI
2.1 8asls of pr•parallon of Ilnanclal 8tatement•
The flnancial Ststements have b88n prepared In accordance ￿th the Charities SORP IFRS 1021
Aceounling and Reporting by Charflies.. Stalomenl of Recornmendgd Practice applicable lo charllles
preparing their accounts in accordance wlh the Financial Reportlng Standard applicable In the UK
and Republic of Ireland IFRS 1021 leffecliva 1 January 2019), th8 Financial Reporting Stsndard
applicabl8 In tha UK and Republlc of Ireland IFRS 1021 and the CompanleB Act 2006.
Rldgeway Communlty Trust meets the deflnllk)n of a publlc benafit enfjty under FRS 102. Assèts
and liabilities are InI￿alty recognlsed al hl$loriGal cost or transacuon value unl888 olh8rn18e slatèd In
the ro18vanl accounting policy.
2.2 Inc¢)m•
All Income Is recognised once the Chaflty has enli118m8nl lo the IncorTie, 11 Is probablè that the
income wlll be roc6ived and tha amount of income receivable can be measured reliably.
Income tax ro¢overable in rel8llon to Snveslmenl income 1$ reGognised al the lime th8 Investment
Income is rec8lvable.
2.3 Exp•ndltur•
Expgndllure Is recognlsed onco there Is a legal or constructbve obllgallon lo transfer eeonoml
benefit lo a Ihlrd party. It Is probable that a liansfer of economlc ben8fils will be required In
Settlement and the amount of the obllgalion can be measured reliÈbly.
Exp8ndlluro on charitsbl8 acllvilles is incurred on dlre¢lly undertaklng the actlvlties whlch furlher the
Charitys oblectlves, as well 85 any associated support costs.
All expendllure Is indu8iv8 of Irrecoverable VAT.
2.4 D•btorg
Trade and other debtors are recognised al thg settlement amount after any trade dl8count offer¢d.
Prepayments are valued al the amount prepaid ng1 of any trade dlscounts due.
2.5 C￿h at bank and In hand
Cash al bank and in hand Includ8$ G8sh and short-lerm highly Ilquld investments with a short
maturlty of three months or less from the date of acqulsition or opening of th8 doposil or slmllar
account.
Page 7

RIDGEWAY COMMUNITY TRUST
IA Company Llmlted by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Accountlng pollclos {contlnu•dl
2.6 Llabllltlès and provl$lon$
LSBbilittes ore rocognised when there is an obligation al the Balance Sheet dat8 as a re8uII of a past
ev8nl, it Is probable that a transfer of economic bènefit will be requirèd in gettlement, and the
amount of the settlement can be estim81ed reliably.
2.7 Fund a¢Gountlng
General funds are unreslrlcled fur￿$ which ar8 8vailabl8 for use al the discretion of the Trustees in
furtherance of the general objgclives of the Charity and which havo not been designal8d for other
purposes.
Deslgnated fund8 compr180 unre81￿¢t8d fiJnd8 th#t have been 3et aslde by the Tru¥lg0s for
partlcular purpos98. Thg alm and use of each de¥ignated fund Is set out In the nolos lo the financlal
Slalernenls.
Incom• from chArltabl• actlvltl•8
Unr•*trlct•d
funds
2025
Total
funds
2025
Totsl
funds
2024
CounsellSng s8NIc88
Hope into Actlon
15.509
10.000
15,509
10,000
17.466
25,509
25.509
17,466
Inv•8tm•nt Incom•
Unr•strlct8d
funds
2025
Total
funds
2025
Total
funds
2024
Interest received
14
14
Pag8 8

RIDGEWAY CoMMUN￿y TRUST
(A Company Llmfted by Guaranto0}
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Analy518 of expendlture on charftablo actlvltl•s
Summary by fund typo
Unrestrlct•(I
funds
2025
Total
2025
Total
2024
Counselllng servSce8
Hop8 Snto Action
16,080
8,068
16,080
8.068
18,685
24,148
24,148
18,885
Analy81s of expendltUf• by actlvltl••
Actlvltl•s
undortak•n
dlrgctly
2025
Support
costs
2025
Tot•1
funds
2025
Total
funds
2024
Counselllng 8ervlc88
Hopo Into Acllon
14,183
8,068
1,897
16,080
8,068
18,685
22,251
1,897
24,148
18,685
Total 2024
16.470
2,215
18,685
Page 9

RIDGEWAY COMMUNITY TRUST
(A Company Llmlt•d by Guarante•}
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Analys1¥ of •xp•ndltllfo by actlvltl•s Icontlnuod)
Analysls of dlr•ct costs
A¢tiYitie• .
embark
2025
Hope Into
action
2025
Total
fundy
2025
Total
lunds
2024
Staff costs
gMbarK Costs
Insurancg
Hop8 Into AclSon c08ts
11,484
2,006
693
4.215
15,699
2,006
693
3,853
13,460
2.403
607
3,853
14.183
8.068
22,251
16,470
Tot812024
16.470
16,470
An•ly$l• of Support costs
Coun¥elllng
8er¥l¢g¥
2025
Total
lund•
2025
Total
funds
2024
Financial admlnistratSon
Bank charges
Govemanc8 costs
577
60
1,260
577
60
1.260
852
60
1,303
1,897
1,897
2,215
Staff Go$ts
2025
2024
Wages and salaries
Conlrlbulion to defined conlrSbutlon pension schemes
15A49
250
13.376
144
Page 10

RIDGEWAY COMMUNtri TRUST
IA Company Llmlt8d by Guaranto01
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Staff coJt8 (contlnu•dl
The averogg number of persons employgd by the Charlty durlng the ygar was as follows:
2025
2024
Support workar
No employee recelved remuneratlon 8mountlng to moro than £60,000 In elther year.
Kgy management portsonnol are considgrgd to bg the INsloes, all ol whom glvo th¢lr tlmo volunlorfly.
Tru#t•••' r•mun•r•tl¢n and •xp•n•••
During the year, no Trustee3 received any remuneration or other benefits (2024 - £NIL).
Durfng the year ended 31 August 2025, no Tru818a exp8nso8 have been Incurred (2024- £NIL).
Dobtors
2025
2024
Dug wlthln one year
Prepayments and accrued Income
,717
4,460
10. Crgdltor•: Arnounts f•lllng du• wlthln on• ye•r
2025
2024
Trade creditor$
Other taxation and soclal Sacurlty
Other cr8di1015
Ac¢ruals and dgforrgd income
1,025
176
37
27
1,212
1,415
Page11

RIDGEWAY COMMUNITYTRUST
IA Company Limit•d by Guarantm)
NOTES TO THE FINANCIAL STATEfvIENTS
FOR THE YEAR ENDED 31 AUGUST 2025
11. Statement of funds
8tstemont of funds - current yoar
Balanc• at 1
SèptèmbeT
2024
Balance at
31 August
2025
Incom• Exp•ndlturo
Unre8trlctsd fund4
D•ilgnat•d fund•
aMbarK
Hope Into Actlon
3,531
11.895
10.000
114.0321
17,2891
1.394
2,711
3,531
21.895
121,3211
4,105
G•neral funds
General Fund
1,075
3.628
12.8271
1,876
Total Unro•trlct•d fund•
4,606
25.523
124,1481
5,981
eMb8rK represents funds designated by the trustees for the dellvery of 8MbarK- a counselllng service.
Page 12

RIDGEWAY COMMUNiff TRUST
(A Company Llmlted by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
11. Statement of funds Icontlnued)
statement of funds - prlor y•ir
Balance al
I September
2023
Balance 81
31 August
2024
Income Exp&ndltu
UnTeBtrlcted fund#
D8slgnat¢d fund$
eMbarK
4,144
15,250
(15,863)
3,531
G•n•ral fund•
General Fund
1,670
2,227
(2,822)
1.075
Total Unr•strlct•d fundj
5,814
If,477
(18,685)
4,606
12. 8umm*ry offunds
Summary of funds - currgnt y•ar
8al•nc• at 1
S8ptsmb•r
2024
8alanca at
31 August
2025
Incom• Exp•ndltur•
Deslgnalad funds
General funds
3,$31
1,075
21,895
3,628
121,321)
12,827)
4.105
1,876
4.606
25,523
{24,148)
5.981
Page 13

RIDGEWAY COMMUNITY TRUST
(A Company Limited by Guarant••}
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
12. Summary olfunds Icontinuedl
Summary of funds- prforyear
Balance at
q Sgpl8mber
2023
88l&nce 81
31 August
2024
Income Exp8nditurg
Deslgnaled fund8
General funds
4, 144
1,670
15,250
2,227
(15,863)
(2,822)
3,531
1,075
5,814
17,477
(18,685)
4,606
13. Analy•l• of net •••et¥ b•tw••n funds
Analy•l• of net a¥¥et• b•lw••n fund• - Cufrnnt y•af
Unrn•trlctod
fund•
2025
Total
funds
2025
Current 888et8
Créditors due withln ong yo8r
8,549
{2,5681
8.549
12,5681
Total
5,981
5,981
Analy•l• ol nol a¥¥•ts b•tw••n fund• - prfor y•ar
Unreslri¢led
fvnds
2024
Total
funds
2024
Current assets
Creditors due within one year
6,021
(t,475J
6,02t
(1,415)
Total
4,606
4,606
Pagg 14

RIDGEWAY COMMUNrrY TRUST
IA Company Llmlled by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
14. Related party transactlon•
The Charity has not entered into any related party transaction durlng thg year. nor are there any
outstanding balances owng befvleen related parbes and the Chanty al 31 Augusl 2025.
Some of the trustses are also Irust8es of New Life Church Mihon Keyn88. Durlng the year. New Life
Church Milton Keynos donated £7.500 to the Rldgeway Communlty Trust eMbarK project. £10,000 lo the
dgeway Community Trust Hope Into Acllon prolecl, £250 towards counsolling sessions and contributed
£1.114 toward Rldgeway CommLbnily Trust general costs. In addition. Rldgeway Communlty Trust pald
£910 to New Ltle Church duiing the yoar reimbursing Ngw Life Church foi costs they had incuired on
behalf of Ridg8way Comrnunlty Trust.
Pag8 15

RIDGEWAY COMMUNITY TRUST
IA Company Limited by Guarant••)
INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 AUGUST 2025
Independent Exomlnerfs Roport to the Trust•e$ of Rldg•way Community Trust I'th• Charlty'l
I report lo the charfly Trustees on my examinallon of th8 accounts of the Charlty for the year ended 31 August
2025.
Rèsponsibilities and B•¥l¥ of R•port
As Ihg Trustees of the Ch8rtty land Ils director¥ for the purposes of company lawl you are responslble for the
preparauon of the accounts In accordance wllh th9 requirements of the Companles Act 20061'the 2006 Arfl.
Havlng sallsfi8d mysaff that tho accounts of the Charlly are not requlr8d lo be auditod under Part 16 of tha 2006
Act and are ellglble for indapendenl examlnalion. I report in respact of my gxamlnallon of the Charfvs acttjunls
arrlod out under section 145 of thè CharS1igs Ad 2011 I'lhe 2011 Acl'l. In Ca￿n￿ oul my examlnallon I have
followed the D5r8ctlons glven by the Chorlly Commlsslon under s8Ctlon 14515llbl of lh9 2011 Ad.
Indop•nd¢nt Examln•r'# Statsm•nt
I have completed my examinotion. I confimi that no matter8 have come to my 8ttention Sn connection wllh th8
eXBminBllon giving me cause lo bellev6.'
accounting records wèr6 not kept in raspoct of the Charlty as raquSred by $8clion 386 of the 2006 Act., or
the accounts do not accord with those records; or
thè accounts d¢ not comply with the accounllng r6quir8m8nls of Sgdlon 396 of the 2C4)6 Act other Ih8n
any requirement that the accounts giv8 a 'lrua and fAiV view which Is not a matter consldered as part of
an independent examlnalion., or
the accounts h8vè not been prepared in accordance wllh lh8 methods and principles of the Statement of
Recommended Pracllce for accounting and reporting by charitios lapplicBble lo charilles preparing their
accounts in accordance with Ihg Flnanclal Reportlng Standard applicable In the UK and Republic of
Ireland IFRS 10211.
I have no concerns and have come acr08s no other matters In connection wlth Ihg oxamlnallon lo whlch
attention should be drawn in this report In order to gnable a propor und8rstanding of the accounts to be
reached.
Th18 report Is made solely lo the ChaTltys Twsle&s, as a body, In accordance %￿lh Port 4 of the Charlties
IAccounls and R8port51 Regulations 2008. My work has bèèn undgrtaken so that I mlghl state lo the Ch8rlVs
Trustees those matters l am required lo stale lo them In an Independent Examlnerfs Report and for no other
purposv. To the fullest exlenl permitted by law. I do not accept or assume responsibility lo anyone other than
the Charity and the Charitys Truste8s as a body, for my work of for this ￿pOrt.
Signed..
Dated.. 1210812tsts
FCA
Alan Endersby
Str•ets Chartered A¢¢ountants
Potton House. Wybo$ton Lakes. Gr•at North Road, Wybost¢n. B¢dford MK44 3BZ
Page 16