Charity registration number 1151930 (England and Wales)
Company registratlon number 08224725
WRIGHTS MEADOW CENTRE
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2024

WRIGHTS MEADOW CENTRE
LEGALAND ADMINISTRATIVE INFORMATION
Trustees
Mr. P J Cartwright
Mf. R Farmer
Mr. G Harmsworth
Mr. T Snailh
Mrs R Brown
CommSttee Off Icers
Mr F Edwards
Mr J Snook
Mr D Lakef
Mis A Bowles
Mf G Harmsworth
President
Chairman
Vice Chaifman
Secretary
Treasurer
General Commlttee
Mis T Heawood
Mis S Lawless
Mi M Lawless
Mf D Billing
Mfs J Card
Charlty number
1151930
Company number
08224725
Reglstered offlce
Wrights Meadow Road
combe Marsh
High Wcombe
Buckinghamshire
United Kingdom
HP11 1SQ
Independent examlner
A2els Audit Setvices
Burnham Yard
London End
Beaconsfield
Buckinghamshire
United Kingdom
HP9 2JH

WRIGHTS MEADOW CENTRE
CONTENTS
Page
Trustees, report
Independent examiner's report
Slalemenl of financial activities
Balance sheet
Notes lo the financial slalemenls
7-15

WRIGHTS MEADOW CENTRE
TRUSTEES. REPORT (INCLUDING DIRECTORS, REPORT)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
The trustees present their report and financial slalemenls for the year ended 30 September 2024.
The financial slalemenls have been prepared in accordance with the accounting policies sel out in note 110 the
financial statements and comply with the charitable company's governing document, the Companies Act 2006
and "Accounting and Reporting by Charities.. Slalemenl of Recommended Practice applicable lo charities
preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic
of Ireland IFRS 102) (effective 1 January 20191"
ObJectlve8 and actlvllle$
The charitable company's objects are to further or benefit the residents of High Wcombe and the
neighbourhood, wilhoul distinction of sex. sexual orienlalion, race, political, religious or other opinions and
associate them logelhei with local aulhoiilies, voluntary and other organisalions in a common effort lo advance
education and lo provide facilities with the interest of social welfare for recrealion leisure lime. The objective is lo
improve the conditions of life for the residents, The policies adopted in furtherance of these objects are..
To establish or secure the eslablishmenl of a community centre and to maintain or manage or co-operate with
any slalulory authority in the maintenance and management of such a tenlre for activities promoted by the
harily in furtherance of the above objects.
The charity's mission slalemenl is to provide all members of our community access lo a safe welcoming Pla￿ lo
meet in friendship and enjoy recreation, exercise and learning,
There has been no change in these during the year.
The aim of the charity is lo help build and sustain a healthy community., provide affordable educalional and
recreational activities and lo be financially sustainable and offer value for money quality lacililies.
The trustees have paid due regard lo gvidance issued by the Charity Commission in deciding what activities the
charitable company should undertake.

WRIGHTS MEADOW CENTRE
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUEDI
FOR THE YEAR ENDED 30 SEPTEMBER 2024
Achievements and performance
Firstly a big thank you lo Paula and all the volunteers who have kept the centre open 7 days a week. its not
always an easy task.
Il's been a difficult year as things have started lo go wrong with the centre after 10 years trading and we have
faced some significant bills connected lo plumbing and sewage. Il's testament lo the staff and PJC for keeping
the worst of the works overnight. so that we could continue to trade.
Anna Rose Oance handed the balon lo Miss Alex this year and we now have the newly named Medley School of
Dance who will now be hiring Wednesday-saturday and including some Sundays. This will go hand in hand with
our regular hirers which include.. Slimming World, Monkey Music, NHS, SBU3A, 4FunGroup, Gateway, Anna's
Dance Fitness, Quillin9 Group, Calm Little Minds, Stoma Group etc.
The kitchen staff are now doing up lo 10 bfeakfasls on a Tuesday, thanks lo works on the electrical sile next door
and up to 30 dinners - Ihanks lo Jan & Alison for all their hard work.
Plus we are still busy with dance breakfasts and dinner on Saturday and Thursdays. Thanks lo Paula for the
numerous buffets and cheeseboards across many events.
Other events are similar to previous years with.. Valentines Event, Afternoon Tea, Summer 1 Oth Birthday Event,
Halloween Party, Kids Xmas Party, Over 60's Xmas Dinner, Carol & Raffle Night and NYE Party.
Karaoke and Open Mic remain very popular, as do quiz nights.
Our coach trip lo Soulhend in the stjmmer was very successful. bul unfortunately the Xmas Market trip had lo be
cance51ed due lo a storm in Gloucester.
We currently have 2 bar billiards teams. 2 dominoes teams,, bul sadly had lo let the football teams go during the
year as they didn't turn up regularly.
We have 4 commercial vans in the car park which generates an income.This wa5 put lo good use resurfacing the
area using a different stone. which makes cleaning in the centre easier, Prior lo Ihis while gunge Ihal sel like
concrete was being transferred into the centre meaning we were constantly cleaning.
An income Gonlinue51o come from the clothes bin, the party lent and the dome.
Thanks also lo Dave L for the projector and outdoor Iv which have been extremely popular amongst our hirers.
All in all a very successful 10 years, here's lo the nexi 101
On behalf on the Trustees
Gerald Harmsworth
Flnanclal revlew
The unreslricled funds are available lo be spent on any of the purposes of Ihe charity including repairs and
improvements lo the premises. Unreslricled funds al the year end are £147,91812023.' £149,655).
The charity has two reslricled fund. These funds are the property Ilhe community cenlrel in Wcombe Marsh and
the as5els held by the centre and the Macmilan Coffee Morning. Reslricled funds al the year end are £447,173
12023. £459,778}.

WRIGHTS MEADOW CENTRE
TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
Structure, governance and management
Wrights Meadow Centre (WMC) is controlled by ils governing document and constitutes a limited company,
limited by guarantee, as defined by the Companies Act 2006.
The charitable company is governed under Memorandum and Articles of Association incorporated on 21
September 2012, as amended by special resolution on 30 April 2013.
The trustees, who are also the difeclors for the purpose of company law, and who served during the year and up
lo the dale of signature of the financial slalemenls were..
Mi. P J Cartwright
Mr. R Farmer
Mi, G Hafmsworth
Mi. T Snailh
Mrs R Brown
The minimum number of trustee5 is two. there is not a maximum number. The fir51 trustees are the people
notified to Companies House and the Charity Commission on incorporation. The charity may appoint a person
who is willing lo act as a Iruslee by ordinary resolution and determine the iolalion in which any additional Iruslees
are lo retire.
The trustees, report was approved by the Board of Trustees.
Harmsworth
Trustee
Oaled..
11i)2S

WRIGHTS MEADOW CENTRE
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF WRIGHTS MEADOW CENTRE
I feport lo the Iruslees on my examination of the financial statements of Wri9hls Meadow Centre Ilhe charitable
company) for the year ended 30 September 2024.
Responsibilities and basis of report
As the trustees of the charitable company {and also ils directors for the purposes of company law}. you are
responsible for the preparation of the financial statements in accordance wilh the reqLJiremenls of the
Companies Act 2006.
Having satisfied myself that the financial slalemenls of the charitable company are not required lo be audiled
under Part 16 of the Companies Act 2006 and are eligible for independent examination, I report in respect of
my examination of the charitable company's financial slalemenls car(ied oul under section 145 of the Charities
Act 2011 . In carrying out my examination I have followed the Directions given by the Charity Commission under
seclion 145{5}Ibl of the Charities Act 2011.
Independènt examlner's statement
I have completed my examination. I cor)firm that no matters have come lo my attention in connection with the
examination giving me cause lo believe that in any material respect..
accounting records were not kept in respect of the charitable company as required by section 386 of the
Companies Act 2006.
the financial slalemenls do not accord wilh those records.. or
the financial slalemenls do not comply with the accounting requirements ol section 396 of the Companies
Act 2006 other than any requirement that the financial slalemenls give a true and fair view. which is not a
maller considered as part of an independent examination., or
the financial slalemenls have not been prepared in acco¥dance wilh the methods and principles of the
Slalemenl of Recommended Praclice for accounting and reporting by charities applicable lo charities
pieparing their financial slalemenls in accordance with the Financial Reporting Standard applicable in the
UK and Republic of Ireland IFRS 1021.
I have no concerns and have come across no other mallers in connection with Ihe examination lo which
attention should be drawn in this report in order lo enable a propel understanding of the financial slalemenls lo
be reached.
Mr C J Nisbel FCA
Inslilule of Chartered Accounlanls in England & Wales
Azets Audit Se￿iCes
Burnham Yard
London End
Beaconsfield
Buckinghamshire
HP9 2JH
United Kin9dom
0411212025
Oaled..

WRIGHTS MEADOW CENTRE
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 30 SEPTEMBER 2024
Unreslricted Restricted
funds
funds
2024
2024
Total Unrestricted Restrlcted
funds
funds
2023
2023
Total
2024
2023
Notes
Income from..
Donations and legacies
Charitable activities
Inveslmenls
2.223
119,743
724
7,129
9,352
119,743
724
6,365
93.119
404
6,365
93,119
404
Total Income
122.690
7,129
129,819
99.888
99.888
Expendlture on:
Charilable activities
123,809
20.352
144.161
101.328
15,761
117,089
Total expendlture
123,809
20,352
144.161
101.328
15,761
117,089
Net expendlture
11,1191
113.2231
{14,3421
{1,4401
{15.761)
117,2011
Tf8nslers be￿een
funds
1618}
618
Net movement In
funds
11,737)
{12,605)
114,342)
11,4401
115,7611
{17,2011
ReconcS1iatlon of funds..
Fund balances al 1 October
2023
149.655
459.778
609.433
151.095
475,539
626,634
Fund balances at 30
September 2024
147,918
447.173
595,091
149,655
459.778
609.433
The slalemenl of financial activities includes all gains and losses recognised in the year. All income and expenditure
derive from continuing aclivilies.

WRIGHTS MEADOW CENTRE
BALANCE SHEET
AS AT 30 SEPTEMBER 2024
2024
2023
Noles
Fixed assets
Tangible assets
Investments
11
12
451.967
466,832
451.968
466,833
Current assets
Debtors
Cash al bank and in hand
13
54,282
100,446
33.148
121,351
154,728
154.499
Creditors: amounts fallSng due wlthln
one year
14
111,605)
111,899)
Net current assets
143,123
142,600
Total assets less current Ilabllltles
595,091
609,433
The funds of the charltable company
Reslricled income funds
Unreslricled funds
16
17
447,173
147,918
459,778
149,655
595.091
609,433
The company is enlilled lo the exemption from the audit requirement contained in section 477 of the Companies Act
2006, for the year ended 30 September 2024.
The directors acknowledge their responsibilities for complying with the requirements of the Companies Act 2006
with respect lo accounting records and the preparation of financial stalemenls.
The members have not required the company lo obtain an audit of its financial statements for the year in question in
accordance with secliorn 476.
These financial slalements have been prepared in accordance with the provisions applicable to companies subject
to the small companies regime.
The financial slalemenls were approved by the Iruslees on
IILIZS
. G Harmsworth
Trustee
Company registration number 08224725 (England and Wales}

WRIGHTS MEADOW CENTRE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2024
Accountlng pollcles
Charlty informatlon
Wrights Meadow Centre is a private company limited by guarantee incorporated in England and Wales. The
registered office is Wright Meadow Road, Wcombe Marsh, HP11 1 SQ, England.
1.1 Accounting conv6ntlon
The financial slalemenls have been prepared in accordance with the Companies Act 2006 and "Accounting
and Reporting by Cha¥ilies'. Slalemenl of Recommended Practice applicable to charities preparing their
accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland
{FRS 1021 leffeclive 1 January 20191" The charitable company is a Public Benefit Entity as defined by FRS
102.
The charitable company has taken advantage of the provisions in the SORP for charities app5ying FRS 102
Update Bulletin 1 not to prepafe a Slalemenl of Cash Flows.
The financial slalemenls are prepared in sterling, which is the functional currency of the charitable company.
Monetary amounts in these financial slalemen15 are rounded lo the nearest £.
The financial slalemenls have been prepared under the hisloriGal cost convention. The principal accounting
policies adopted are sel out below.
1.2 Golng concern
Al the lime of approving the financial slalemenls, the Iruslees have a reasonable expectation that the
harilable company has adequate resources lo continue in operational existence for the foreseeable future.
In making this assessment, the Iruslees have considered the impacts and expected future impacts of the
Covid-19 pandemic on bolh the charity and the environment in which il operates. Thus the Iruslees continue
10 8dopl the going concern basis of accounting in pieparing the financial slalemenls.
1.3 Charltable funds
Unreslricled funds are available for use al the discretion of the trustees in furtherance of their charitable
objectives.
Reslricled funds are subject lo specific conditions by donors or grantors as lo how they may be used. The
purposes and uses of the reslricled funds are sel out in the notes lo the financial slalemenls.
1.4 Income
Income is fecognised when Ihe charitable company is legally enlilled lo il after any performance conditions
have been mel. the amounts can be measured reliably, and il is probable that income will be received.
1.5 Expendlture
Liabilities are recognised as expenditure as soon as there is a legal or conslruclive obligation commilling the
charity lo Ihal expenditure, il is probable that a transfer of economic benefits will be required in settlement and
the amount of the obligation can be measured reliably. Expenditure is accounted for on an accruals basis and
has been classified under headings that aggregate all cost related lo the category. Where costs cannot be
directly allribuled to particular headings they have been allocaled to activities on a basis consislenl with the
use of resources.

WRIGHTS MEADOW CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
Accounting policies
(Continued)
1.6 Tangible fixed assets
Tangible fixed assets are initially measured at cost and subsequently measured at cost or valuation, nel of
depreciation and any impairment losses.
Depreciation is recognised so as to write off the cost or valuation of assets less their residual values over their
useful lives on the following bases-.
Freehold land and buildings
FixlLJres and fittings
Computers
Slraighl line over 50 years
Slraighl line over 3 - 5 years
Slraighl line over 5 years
1.7 Taxatlon
The charity is exempt from corporation tax on ils charitable activities.
1.8 Retlrement benefits
Payments lo defined contribution retirement benefit schemes are char9ed as an expense as they fall due.
1.9 Taxatlon
The charity is exempl from corporation lax on its charitable aclivilies.
1.10 Government grants
Government grants are recognised at the fair value of the assel received or receivable when there is
reasonable assurance that the grant conditions will be met and the grants will be received.
A grant Ihal specifies performance conditions is recognised in income when the performance conditions are
mel. Where a grant does not specify performance conditions il is recognised in income when the proceeds
are received or receivable. A grant received before the recognition criteria are satisfied is reco9nised as a

WRIGHTS MEADOW CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
Donatlons and legacies
Unrestricted Restricted
funds
funds
Total Unrestricted
funds
2024
2024
2024
2023
Donations and gifts
Grants receivable
Membership fees
2.223
1,882
5,247
4,105
5,247
6,283
82
2.223
7.129
9.352
6,365
Unrestricted Restricted
funds
funds
Total Unreslricled
funds
2024
2024
2024
2023
Grants recelvable
ChiSlern Rangers
5,247
5,247
5,247
5,247
Charllable actlvltlès
Hlre of the
Centre
2024
Hire of the Centre
2023
Amounts received
119,743
93,119
Investments
Unrestrlcted Unreslricled
funds
funds
2024
2023
Interest receivable
724
404

WRIGHTS MEADOW CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
Charltable actlvStles
Centre
Events
Total
2024
Total
2023
2024
2024
Staff costs
Depreciation
Rates and water
Insurance
Light and heal
Telephone
Postage and slalionery
Sundries
Licences
Repairs and maintenance
Event costs
23,803
19.997
23,803
19,997
37.017
20,626
323
3.502
4.264
1,244
912
6,503
42
30.814
9,054
3,490
6,521
2,040
1,050
13,600
3,490
6,521
2,040
1,050
13,600
33,599
33,599
33,806
33.806
104,100
33,806
137,906
114.301
Share ol governance costs {see note 61
6,255
6,255
2,788
110,355
33.806
144,161
117,089
Analysls by fund
Unreslricled funds
Reslricled funds
95,250
15,105
28.559
5,247
123,809
20,352
101,328
15.761
110,355
33.806
144,161
117.089
For the year ended 30 September 2023
Unrestricted funds
Reslricled funds
92,274
15,761
9,054
101,328
15,761
108,035
9,054
117,089
Support costs
Support Governance
costs
costs
2024
2023
Independent examiners fee
6,255
6,255
2.788
6,255
6,255
2.788
Analysed be￿een
Chaiitable activities
6,255
6,255
2,788
10

WRIGHTS MEADOW CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
Net movement In funds
2024
2023
The nel movement in funds is staled after chargingl{credilingl'.
Fees payable for the independent examination of Ihe charity's financial
slalemenls
Depreciation of owned tangible fixed assels
19,996
20.626
Trustees
None ol the Iruslees lor any persons connected with them) received any remuneration or benefits from the
charitable company during the year.
Employees
The average monthly number of employees during the year was..
2024
Number
2023
Number
Total staff
Employment costs
2024
2023
Wages and Salaries
other pension costs
22,666
1.137
35,925
1,092
23,803
37.017
Wrights Meadow Centre employ a centre steward who also performs adminislralion and bar duties for
Wrights Meadow Social Limited. Dufing the year ended 30 September 2024 £36,938 {2023. £8,250) of
wages were recharged to Wrighls Meadow Social Limited for the centre steward and the wage expenses of
Staff working on the bar,
There were no employees whose annual remuneration was £60,000 or more.
10 Taxatlon
The charity is exempl from lax on income and gains falling within section 505 of the Taxes Act 1988 or section
252 of the Taxation of Chargeable Gains Act 1992 to the exlenl that these are applied to ils charitable objects.
11

WRIGHTS MEADOW CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED>
FOR THE YEAR ENDED 30 SEPTEMBER 2024
11 Tangible fixed assets
Freèhold land Flxtures and
and bulldlngs
fittlng$
Computers
Total
Cost
Al 1 Oclober 2023
Additions
553.660
68.830
5.132
3,657
626,147
5,132
AI 30 September 2024
553,660
73,962
3,657
831,279
Depreclatlon and Impalrment
Al 1 October 2023
Depreciation charged in the year
99,659
11,073
57,375
8,439
2,282
484
159,318
19,996
AI 30 September 2024
110,732
65,814
2.766
179,312
Carrylng amount
At 30 September 2024
442,928
8,148
891
451,967
At 30 September 2023
454,001
11,455
1.376
466.832
12 Flxed asset Investments
Investment In
Subsldlarles
Cost or valuatlon
Al 1 October 2023 & 30 September 2024
Carrylng amount
At 30 September 2024
At 30 September 2023
Wrighls Meadow Social Limited (company registration number.. 100656401 is a 1004/0 owned subsidiary of
Wrights Meadow Cenlre. Ils profits are lo be distributed to the charity.
At the year ended 30 September 2024, ils turnover and other income was £64,646 {2023,' £61,036}.
expenditure £80,746 {2023.' £60,325) and loss for the year was £16,100 {2023'. £711 profiti.
12-

WRIGHTS MEADOW CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
13 Debtors
2024
2023
Amounts falling due withln one year..
Trade debtors
Other debtors
Prepayments and accrued income
7,012
43.680
3.590
1,452
28,418
3,278
54,282
33,148
14 Credltors., amounts falllng due within one year
2024
2023
Other laxalion and social security
Trade creditors
Other creditors
Accruals and deferred income
1 ,473
5,362
200
4,570
1.275
1.707
224
8,693
11,605
11,899
15 Retlrement beneflt schemes
2024
2023
Deflned contrlbutlon schemes
Chafge lo profit or loss in respecl of defined contribution schemes
1,137
1.092
The charitable company operates a defined contribution pension scheme for all qualitying employees. The
assets of the scheme are held separately from those of the charitable company in an independently
administered fund.
16 Restrlcted funds
The reslricled funds of the charity comprise the unexpended balances of donations and grants held on trust
subject lo specific conditions by donors as to how they may be used.
At 1 Oclober
2023
Incomlng
resources
Resources
expended
Transfers
A130
September
2024
Construction & Admin of Centre
Kaiden Donations
Macmillan Coffee Morning
Chillern Rangers
459,778
114,105}
{1,0001
445,673
464
1,418
5,247
536
82
1,500
(5.2471
459,778
7,129
120,3521
618
447,173
13

WRIGHTS MEADOW CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
16 Restricted funds
(Continued)
Prevlous year:
At 1 October
2022
Incomlng
resourcès
Resources
expended
Transfers
At30
September
2023
Construction & Admin of Centre
475.539
115,7611
459,778
The main restricted fund is the building held by the cenlre. It also includes the original assels purchased to
gel the centre operational.
In 2023, £8,500 was received to be used towards a new entertainment and sound system al the Cenlre.
In 2024. there are reslricled funds for donations recieved for specific causes including a donation from
Chillern Rangers towards the fun day.
17 Unrestrlcted funds
The unrestricted funds of the charity comprise the unexpended balances ol donations and grants which are
not subject lo specific conditions by donors and grantors as lo how they may be used. These include
designated funds which have been sel aside out of unrestricted funds by the trustees for specific purposes.
At 1 October
2023
Incomlng
resources
Resources
expended
Transfers
At30
September
2024
General funds
149,655
122,690
1123,8091
{6181
147,918
Prevlous year:
At 1 October
2022
Incomlng
resources
Resources
expended
Transfers
At30
September
2023
General funds
151,095
99.888
1101,3281
149,655
18 Analysls of net assets between funds
Unrestrlcted
funds
2024
Restricted
funds
2024
Total
2024
At 30 September 2024:
Tangible assets
Investments
Current asselsllliabilities)
6.294
445,673
451.967
141,623
1,500
143,123
147,918
447.173
595,091
14-

WRIGHTS MEADOW CENTRE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
18 Analysls of net assets between funds
Icontlnued)
Unrestricted
funds
2023
Restricted
funds
2023
Total
2023
At 30 September 2023..
Tangible assets
Investments
Current asselsllliabililiesl
7,054
459,778
466.832
142,600
142,600
149,655
459,778
609.433
19 Operating lease commltments
Al the reporting end dale the charitable company had outstanding commitrnenls for future minimum lease
payments under non-cancellable operating leases, which fall due as follows..
2024
2023
Equipment
Within one year
Between and five years
5,127
16,385
1,794
520
21,512
2,314
20 Related party tran$a¢tlons
During the year ended 30 September 2024, the chafity received £2.40012023'. £2,400) from ils subsidiary
company Wrights Meadow Social Limited in respect of a sink fund and £731 12023.. £5.780} as a dislribulion.
The following amounts were oulslanding 81 Ihe reporting end dale..
Amounts owed by related Amounts owed by related
parties
parties
2024
2023
Balance
Balance
Net
Net
Wrights Meadow Social Ltd
43,680
43,680
28,418
28,418
43.680
43,680
28,418
28,418
15