The Tantum Trust 

Annual Report 2020-21 

Chairman’s Report for the year ending March 2021 

The charity raises money through the sale of donated goods in four charity shops in Bordon, Liphook, Haslemere and Grayshott. The profits are used to support needy families, individuals and organisations in South West Surrey, North East Hampshire and West Sussex. 

The charity is governed by a board of trustees which elects a Chairperson from among its number. None of the trustees receive remuneration and in the financial year none claimed expenses. During the year the trustees met on 14 occasions and attendance was 95%. All but two of these meetings were held remotely by ‘Zoom’. 

At the start of the period the trustees were: 

Jennie Vernon Smith, Margaret Lawden, Jeremy Bonnett, Vince Prior, Malcolm Carter and Malcolm Traviss. 

After many years as a volunteer and then as a trustee, Jennie Vernon Smith stepped down and a small reception was held to express thanks for all her work for the charity. We were pleased to welcome Jean Barnard as a trustee in December 2020. 

The charity has ten paid employees consisting of a Charity Manager, a Bookkeeper, a Clerical Assistant, four Shop managers and three parttime Shop Assistants. 

The shops are heavily reliant on some fifty volunteers who assist the shop managers in the day to day running of the shops and without whom the charity could not function. 

To both our paid staff and our volunteers we say ‘Thank you’ for all their hard work and dedication to our goal of assisting so many people and organisations when they have nowhere else to go. 

The financial year started with the four shops closed in the first of several lockdowns caused by the Covid 19 pandemic. The shops reopened on June 15[th] 2020 but after four moths of rather quiet trading, a further lockdown was imposed on November 5[th] and lasted for four weeks. Although the shops then re-opened for the Christmas period, strict rules about social mixing were in force and a further lockdown came into force on January 4[th] 2021 and continued until April 12[th] . Effectively the shops were shut for half the year and with customers, staff and volunteers cautious and/or prevented from 



mixing and meeting people from outside their households, shop sales were understandably reduced by a half. 

Fortunately, the Government’s Job Retention Scheme and Coronavirus Support Grants helped to limit the damage and we were able to retain our staff and actually managed to increase our total funds to £162,256 by year end. 

Grants made totalled £32,656. Over half of this amount went to pay for basic furniture, carpets and white goods for people being rehoused. The rest of the grants went on items such as paying off rent arrears (so people could move into new accommodation), debt relief orders, school trips for students whose parents could not pay and importantly, Tesco and Sainsbury’s vouchers for families at Christmas time. 

We were informed by our landlord, The Ministry of Defence, that the building in Bordon in which we rented our head office was to be demolished. The MOD offered better alternative accommodation in another building in Bordon at the same rent and the move took place in September 2020. However, the lease on the new office is for four years only. 

In the previous year the trustees had decided to examine the possibility of changing the name and ‘branding’ of the charity to make it more memorable and less restrictive in terms of its geographical coverage. To that end, a creative agency was briefed to find a new name and new image for the charity. In July 2020 the trustees agreed to change the name to The Tantum Trust, which we believed would make the charity more visible and at the same time honour our founder Carl Tantum. They also agreed to amend the charity’s objects to reflect a wider geographic coverage and to increase the maximum number of trustees to nine. These changes were incorporated into the charity’s Governing Document. 

Following the adoption of the new charity name, each shop received a new fascia sign and was redecorated. New stationery and new posters and flyers were produced to publicise our work and the website was redesigned to reflect the new logos and colour schemes. These changes were favourably received by our staff, volunteers and most importantly by our customers. 

Jeremy Bonnett 

November 10[th] 2021 



REGISTERED CHARrrY NUMBER: 1153712
REPORT OF THE TRUSTELS AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YLIR ENDED 31 MARCH 2021
FOR
THE TANTUM TRUST
Traviss & Co
Chartered Accountsnts
Newtown House
38 Newtovm Road
Liphook
Harnp5hi
GU30 7DX

THE TANTUM TRUST
CONTET4TS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 ￿larCh 2021
Page
Ch8irm*n'$ R¢pDrt
Report of the Trnstees
Indepettdent ExAminer's Report
Statement of Fin*nci*l Aetlylties
BAI#D¢e Sheet
Notes to the Fknan¢i41 St*temen¢s
7 to 12

THE TANTUM TRUST
CHAlliMAN'S REPORT
FOR THE YEAR EfqDED 31 March 2021
Th¢ ¢harity rdiSK money through t1￿ sale of donat¢d goods in four eh8rity shops in Bordon. Liphook, Haslemere and
GrayshotL The profits are iiscd to support T￿edY families, individuals gnd organi￿lI0￿S in South West Surrey, North
East Hampshire and West Suss¢x.
Th¢ charity is govemed by a t*iard of t￿￿teeS ￿1¢h elects a Chairperson from #Tnong its niimber. None of the trust¢es
receive remLineration aTrd in the flljaneial year none clai￿￿ expe￿￿¢s. During the year the trustees mel on 14 oc¢asions
and attendance was 95(/*•. All but two of th¢sc mcdings wcr¢ h¢ld T¢￿1¢[Y by'zoom,.
At the start of the p¢riod th¢ t￿￿tC¢S were-
Jennie Vernon Smith. Margaret [aWde￿ Jeremy BonnetL Vitice Prior. Malcolm Carter and Malcolm Travi&s.
Aft¢r many ycars as a volunteer and then as a ￿]Lstee. Jennie Vernott Smith stepped down and a small rcc¢p¢ion wa5 h¢ld
to express thanks for all hei wotk for th¢ eharity. W¢ w¢r¢ pl¢as¢d ￿ wel¢om¢ J¢an Barnard as a tswtee in December
2020.
The charity has ten paid employees consisting of a Charity Manager. a Bcrt)kkeeper. a Clerical AssistanL four Shop
Lnanag¢rs #nd three part-time Shop Assistants.
Th¢ shops are heavily reliant on some fifty volunteers wkn assist the shop matjagers in the day to day n￿nIng of the
$hop$ and withour ivhom the charity Could not funclion.
To both our paid staff alld our volullteers ￿ say Thank you. for all the&r hard wvrk and dedication to our goal of
assisting so many people and otg2nisation$ when they have llowhere else to go.
The finaneial year staned with ibe fotsr SI￿p5 ¢losed in the firsi of several lockdowns caused by the Covid 19 pandemic.
Thc shop$ reopened on June 15th 2020 but att¢r four moths of rather quid trading. a furthGr lockdown wa5 imposcd on
Nov¢mber 5th and lasi¢d for four weeks. Although the shops th¢n re-op¢n¢d for the Christmas period, strict rules about
so¢ial mixing were in for¢¢ and a fi￿her ]￿kdo1Vn ¢8me into force on Jauuary 4th 2021 and continued until April 12th.
Effeetiv¢ly the shops were shut for half the year and with customets. staff alld volunteers cautious andlor prcverAt¢d from
mixing and ineeting p￿pIC from outside their ho￿oIds, shop sa1¢5 ￿re utMleTStandably reduced by a half.
Fomnately. the Government* Job Retention Scheme and Coronavirus Support Grdnts helpcd to limit the damage and
we wer¢ able to retain our staff and a¢tuJlly managed to increase our tt>tai fvtwls to £162.256 by ycar end.
Grants nude totallcd £32,656. Oyer half of this amount wcnt to pay for basic fiwniture, trdtpets alld whit¢ goods for
peopl¢ b¢ing re-hO￿s¢d. The rest of th¢ grallts went on item5 s￿h as pa)ryng off rent arrears (so people could fflove into
new accommodation), debt rcli¢f orders. school trips for students whose parents could not pay alld tmportantly, T¢seo
and Sainsbutys vouchers for familics at ChristtDas time.
We were infornied by 0]￿ landlord, The Ministry of Defet)c4 that tbe buildin8 in Bordon in which w¢ rcnted our head
offiee was to be demolished. The MOD offered better alternati￿ a¢¢ommothtion in al￿ther building in Bordon at rhe
samr ￿nt and th¢ move took placc in Septemb¢r 2020. HoThi. tjie lease on (he n¢w oific¢ is for four years only.
In the previous y¢ar the trustcrs had decided to examine the po&8ibility of changing the i)ame and branding, of the
charity to make it nwre menNTrrable and less testtictive in fern￿ of its geographical coverag¢. To thtti Crcative
ageiicy was briefed to fEnd o new name and n¢w image for t1￿ ehatity. Ill July 2020 the twstees agreed to change the
Dame ¢0 The Tantum Trust, which we b¢lieved would make th¢ charity llK)re visible and at the same lime honour our
founder Carl Tantum. They also agieed to ￿n￿nd the chariws objeets io r¢fle¢t a wider geogTapliic coverage and
increas¢ thc maxirtiutn uumb¢r of tLUStees to nin¢. These clmnges were in¢Or￿rated into the choriiys Governing
Document.
Following the adoption of the new charity nam< each shop r￿Cly¢d a new fascia sign and was redecoraled. New
stationery and new posters and flyers produc¢d to publicise our WO￿ and ihe website was red¢signed to refl¢¢t th¢
new logos and eolour schemes. Th&se ch3ll8￿ were favourably received by our statT, volunteers and mo$t importantly
by our ¢￿$t0[￿¢r5.
Jcrcmy Bonnett
Page I

THE TANTUM TRUST
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 31 Mxrch 2021
The tnwtees present their report with the finan¢ial staten)¢nts of ihe charity for the year ended 31 March 2021. Th¢
tTh￿tee$ have adopted the provisions of Accounting and Reporting by Charities.. Sttstem¢nt of R¢¢omm¢nded Practice
pplicable to charities prcparing ih¢ir accounts in a¢¢ordan¢e with th¢ Finan¢ial Reporting Standard applieable in the
UK and R¢publi¢ of Ireland (FRS 102) (effective l January 2019).
OBJECTIVES AND AcrtVlTIES
The Charity raises mon¢y througli its four charity slw sited in Bordon. Liphook. Haslemere and Grayshotl aiid from
oc￿s1On41 generous donatiODS received from benefactors and we tben distnbute the profits to people in need in North
East Hampshirc and South Wast SuErey.
Th¢ distribution is n]ade by wdy of grants lo local indtviduals or groups who have be¢n reftrred to lhe Charity and
endorsed by professional organisations. We aiso giv¢ grants to ILKal organi5ations and clmrities.
As well as making their profits available for the local comtnunity th¢ shops also provide affordable cloibes, toys and
hOl￿¢￿0]d itenL8. The Charity thus fiJlfQis noi but two e￿entIal Toles for the lo¢al ¢onunwiity. In spitc of ihe obvious
and increasing need for su¢l) a charity in every to￿ in the coiinty. The Tantum Ttust is. so far 8s we are aware, uniqiie
in being th¢ only one of its kiDd.
Grants paid out during 2020- 2021 were £32.656.
FINANCIAL REVIEW
Principal fundlng sources
The Charity relies almo$i entirely on th¢ g¢rKrous donatio￿* of clothes and other goods to be sold through four Tctsil
outlets. Retail in¢ome was down by s￿/0 to £92.483 conpared with £185.659 an the pr￿10￿5 year and Bags and Ra85
collections were down to £5081 from £14,531. Thi5 was caused by ongoing difficult tradillg conditions but wmpounded
by th¢ forced closure of the shop5 from April to mid-JuThe 2020 and then again fro￿ janI￿ry to March 2021 due io
Covid 19.
ForMtTrately the gell¢rous fijrloiigh sch¢ThK and grallts io retailers by the Govenjment compensaied for tliese incomc
105ses and the Charity recevved £25,801 from t￿ Jobs Retelltion Sc]wn¢ and £99,579 from Coronavirus Siipport Grants.
Tot&l inwme from all sourtts was £237.342.
Reserve5 poII¢y
The Tn￿l¢eS have Co￿$]dered what minimum financial teseryes The Tantum Tn￿t ("rrr") should seek to matntain in
order to meet the unexpected impaet of reduced or zero incon￿. Based on a detAiled review of its ongoing financial
obligations rhe Trustees hav¢ ¢oncluded that £90,000 would provide sufficient reserves to m¢¢1 the following..
l. The estimaied cost orrrrs lease ¢ommitments for its retail and office p￿rnIses for & period of twelve months
2. The settl¢ment of stattitory redundancy obligations io siaff if the retail operatio￿8 had to close fgr up to a year
3. Other overheads, su¢h as inSu￿e, whi¢h would need to be contillued even if the shops and office w¢r¢ ¢los¢d for
business.
The Trustees, policy has b¢¢n influenced &8 a result of the Covid-19 pandemic and the requir¢m¢nt to close the charityls
r¢tsil iinits for various periods with thc accompanyille loss of revenue. The Trust¢¢s acknowledge that Trr has limited
scope for increasing its income faced with another similar scenario.
STRUCTURE, COVERNANCE AND MANACEME14T
Coverning documeot
The cliarity is Coiilrolled by its governing do¢um¢nL a tn￿t deed aTrJ ¢onstitutes itself as a charity illcory)oration
organisation (CIO) underUK Charity cOnllni￿ioll law.
REFERENCE AND ADMINISTRATIVE DEfAILS
Registered Charlty number
1153712
Page 2

REPORTOF THE TRusfEF
FOR THE YEAR ENDED31 m1￿h 21)21
Prindpgl ￿]dI￿5
Room 60
Building 51
Bordon P8rL Budds L￿¢
8ordo
Hath￿bIrt
GU35 OFJ
Trn8ttt8
J A Vernon-smith (r¢$i￿*d 25.3.21)
J Bonn¢tt
M Lawthn
V Prior
M J Trnvi￿ FCA Aewunta
J B8rnard (apFoÉnta 17.1120)
IndepewiMt E%amlBer
S Moorey FCCA
Trnviss & Co Ltd
38 N¢wtown Road
LiphcA>k
Hampshire
GU30 7DX
Approv¢d by ￿0fth¢ i*MTd of ouwonll Noitmbu 20218nd siwwjon itsbethdfby:

INDEPENDENT EXAMINER'S REPORT TO THE TRusfEES OF
THE TANTUM TRUST
Independent examiner'$ report to the trv5tees of The T4ntum Trust
I report to the cbarity tn￿te¢S on my examination of the accoullts of The Tantum Tn￿¢ {￿￿ TTr￿t) for th¢ year end
31 March 2021.
Responslbllltles and basis ofreport
As the charity tniste¢s of th¢ Trust YOU ore r¢5ponsiTrsle for the prepardtion of the acrowits in accordance with the
requirements of th¢ Chartties Act 2011 (Yhe Acfl.
I report in r￿P￿t of my examination of thE Trusvs accounts carried out UTKler section 145 of the Act and in carwn8 out
my examination I have followrd all applicable Directions given by tIK Charity Commission llnd¢r section 14S(Sllb) of
theA¢t.
Independeftt ex*rniDer'¥ s¢atement
I have compl¢ted my examination. I that no material Jllatters have come to my attenlion in ¢oon¢¢tion with the
exatninatloll giving me cause to believ¢ that in any matetiai respeeL.
accoiintin8 r¢cords were not kept in r¢spe¢t of the TnLqt as r¢qUIr￿ by section 130 of ihe Act" or
the accounts do not ace¢Jrd with those reeords. or
the accounts do Dot comply with th¢ applicable requirements ¢oncen)illg the fomi and ¢ontent of accounts set out
in the CharitL¢$ (A¢counts and Reports) RegulatiO￿S 2008 other than any requirement that the accowits give a
ttue and fair view which iq not a tnatt¢r ¢onsid¢rcd as part of an indep¢ndent ￿8￿l￿atIon.
I hav¢ no Concems and have come across no other mailers in ¢onnKtion wtth the examination to which attention Should
be dra￿ in this report in order to e￿bI¢ a proper undeNanding of the accounts to be reached.
S Moorey FCCA
Travis$ & Co Ltd
Chanered Accountants
Newtown House
38 Newtt>ThiJ Road
Liphook
Hampshire
GU30 7DX
Dat¢: ..
Page 4

THE TANfuM TRUST
STATEMEKf OF FINANCIAL AcrivrriES
FOR THE YEAR Ef4DED 31 Mar¢b 21121
2021
Total
funds
2020
Total
fiinds
Unre5trict¢d
R¢stri¢t
fund
INCOME A14D ENDOWMENfs FROM
Donations and legacie5
12,454
1915
14,369
27,844
Otlier trading activities
Investment ineome
Oihcr income
97,$64
29
125J80
97.564
29
125J811
200,190
62
35
Totsl
235,427
1.915
237,342
228,131
EXPENDrruRE ON
Raising fimds
705
7115
1,759
Charltable #Ctivitles
Commnity gran
B¢reavetnent Couns¢lling
32.656
32,656
33,553
5,075
1915
A8&678
186,678
192,110
Totsl
220,039
1.915
221,9Y
232,497
NET INCOMEI(EXPENDfTURE)
15?88
ISJ88
(4J66)
RECONCIUATION OF FUNDS
Total (ll￿d$ brought forward
146,868
14A868
151,234
TOTAL FUNDS CARRIED FORWARD
162256
162,256
146.868
The notes form part of tlhese finwial stst¢m¢nts
PaRe 5

BALANCB SHEET
31 M¥rk2021
Totsl
ads
fi]nd
nd5
FIXED ASSETS
Tan￿￿￿ &ssets
127
CURREpif A&SETS
Debtojs
Cashat Ed)k and inh
22,744
144*94
22.744
14S604
28.563
125,
167th38
710
154.523
CREDrroi
Amountsfalling th￿wIth1￿C￿eyejf
10
($877)
Jo)
(4187)
(7.782)
NETCURRENf ASSETS
161161
162,161
146,741
T(YfAL ASSETS CIIRRENT
LIABILITI£S
16U56
1622S6
146,868
NET A&SETS
146.868
unre￿rf¢ted fjJnd5
J623S6
146.868
TOTAL FUNDS
162.256
146,868
The finattci81 ststements wu¢ apwoved by the B￿d of TTr￿eS and thi15￿ ftr i&su¢ 2S NoNEmber 2W2I and
w¢resigne4 on Its Ethalf ty..

THE TANTUM TRUST
NOTES TO THE FINANCIAL sfATEMENTS
FOR THE YEAR ETr4DED 31 March 2021
AccouffflNG POLICIES
BAsi$ of prep8ring the finaneial statements
The financi¥l stalements of the chtiTity. which is a public benefit entity iindcr FRS 102, have been prepared in
accoTdanr% wtth the ClkaTiti¢S SORP (FRS 102) 'Accounting and Reporhn8 by Charities= staten￿nt of
R¢¢oillmended Practi¢¢ applicable to charities prep3ring their accounts in accordance wtth the Financial
Reporting Standard appIl￿ble in UK alld R¢public of Ircland (FRS 102) (effective E January 20191,,
Financial Reporting Stsndard 102 Th¢ Financial Reporting Siandard applieabl¢ tn the UK 2nd Republi¢ of
Ireland, and th¢ Charities Ad 2011. The financial Stsiements hav¢ prepared w)der the historical cost
eonvention.
Infome
All incotThe is recognised in the Strtem￿t of FinatKial Activities once the charity has ¢ntitl¢m¢nt lo the ￿nds. il
is probable that the income will b¢ received and th¢ amount Can be trRasured ￿lIablY.
Expenditure
Liabilities are ie¢ognised as expenditu￿ as 300n as th¢re is A legal or constNctive obligation committing th¢
charity to thot expendill￿t, it is prolydble that a transfer of economic bencfits will be required in settlement and
the amount of the obligation can be I￿$￿¢d reliably. Expcnditure is a¢¢ounted for on an accn]als ba51$ and has
been classified under headings aggregate all cost r¢lated to the category. Where costs c4nnot bc directly
attributed to p8rticular headings they have been allocated to activitie5 on a basis consistent with th¢ us¢ of
resollrces.
Grants Olfer￿ subject to ¢ondilions whi¢h have been at thc year end date are not¢d &$ # ¢ommitsnent but
not ae¢rned as exp¢nditure.
Tangli Jle fixed a￿ts
Depreciation is provided at the following annual rdtcs ITh order to write off each as5¢t over its estimated t￿¢￿[
life.
Plallt and rnachin
Fixtur￿ and fittings
250A on reducillg balance
250A on reducingblanee
Taxation
The charity is exempt from tax on its chatitable acliviti¢s.
Fund a¢couttting
Unrcstricted fiEnds can ￿ uscd in accordanL% with tbe charitsble Ob]￿tiveS at th¢ dis¢￿tiOn of the trustees.
Restri¢ted fijnds ¢2n on]ybe used for particularrestri¢tcd purposes withill the obj¢¢is of the charity. Restri¢tions
arise when spe¢ified by the donor or when fvllds arc raised for particular restricted purposes.
Furfhcr explanation of the naturc and purpose of each fund is included Fn the notes to the financial stat¢m¢nts.
Hire purchase and lea￿nE eotnmitments
Rentals paid under operaiing leases are cbarged to the Statemeot of Financial Activities on a straighi line basis
over the pcriod of the lease.
Penslon ¢o$ts alld otheT PDSt-retlretntnt benefits
The charity operttte5 a defin¢d ¢ontrÉbution pension Contributions paydble to the charIt￿S pension
scheme are charged io ihe Statement of Financial Activities in th¢ period to which they relat¢.
Page 7
conttnued...

THE TANTUM TRUST
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 M*reh 2021
OTHER TRADING ACTIVIT
2021
2020
Shop income
Bags and rags eollection
92,483
5,081
185,659
14,531
97,564
200,190
INVESTMENT INCOME
2021
2020
Deposit ae¢ount ijLterest
29
62
OTHER INCOME
2021
2020
Miscellanrous inwm¢
Job retention scheme Brant
Coronovirus support ￿nts
35
25,801
99,579
125J80
35
TRUSTEES, REMU￿RATION AND BENEFITS
There were no truste&s' r¢mlln¢rdtlOD or other benefits for th¢ year C￿led 31 Maych 2021 nor for the year ¢nded
31 March 2020.
Trustres, wenses
There were no tn￿le¢s, expe￿￿ paid for the yeareTthd 31 March 2021 nor for th¢ y¢ar ¢nd¢d 31 March 2020.
STAFF COSTS
The averag¢ nwnthly number of employ￿ d￿r￿ng the year was as follows..
2021
2020
Part time administrdtion
Shop managers
Part time shop
No employecs ￿￿1Ved e¢Th)liiments in ex¢¢ss of £60.(KIO.
Page 8
continued...

ThE TANTUM TRUST
NOTES TO THE FINANCIAL STATEMEKfs- £onthiued
FOR THE YEAR ENDED 31 Mareh 2021
COMPARATIVES FOR THE sfATEMEKf OF FINANCIAL ACTIVITTES
Unrestricied
fund
Restri￿ed
Totttl
fi]nd$
INCOME ATr4D ENDOWMEP4TS FROM
Donations and l¢gacies
22.769
S.075
27,844
Other trnding activities
Inveslment ineome
Oth¢r in¢ome
200.190
62
35
200,190
62
35
TotAI
223.056
5.075
228,131
EXPENDITURE ON
Raising fimds
1.759
1.759
CbArltAble #ettvltfies
Community grants
Bereavem¢nt Counselling
33,553
33,553
5.075
5,075
OtheT
192.110
192,110
227,422
5,075
232.497
NET INCOMEIIEXPENDTfuRE)
{4.366)
(4.366)
RECONCILIATION OF FUM)S
TotAI funds brought fonvArd
151234
ISl.234
TOTAL FUNDS CARRtED FORWARD
146,868
146.868
TANGIBLE FIXED ASSETS
Fixtures
and
fittings
Plant aNI
machinery
Totals
COST
At l April 2020 and 31 Mar¢h 2021
22
512
534
DEPRECIATION
At l Aprkl 2020
Cliarge for year
17
390
31
4117
32
At 31 Mar¢h 2021
18
421
439
NET BOOK VALUE
At 31 March 2021
91
95
At 31 March 2020
122
127
Page 9
¢ontiniied...

THE TANTUM TRUST
NOTES TO THE FINANCIAL STATEMEKfs- eontittued
FOR THE YEAR ENDED 31 March 2021
DEBTORS: AMOUNTS FALLING DUE wmiiN ONE YEAR
2021
2020
Other debtors
VAT
Prepaynwits
35S3
3366
15,825
10,561
3,019
14,983
22.744
28.563
10. CREDrroRS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2021
2020
Trade cteditors
Taxation and social security
Other creditors
2,444
116
3,627
1.087
432
6,263
6,187
7.782
MOVEMENT IN FUNDS
movement
in funds
Ai
31.3.21
A¢ 1.4.20
Unrestricted funds
General fund
146.868
15J88
162,256
TOTAL FUNDS
I46￿68
15,388
162,256
Ner movement in funds. included ill th¢ above are as follo
Incoming
Resources
expended
Movement
tn ￿llds
Unre5trlct¢d hnds
Generdl fiu
235,427
(220,039)
15J88
Restricted funds
B￿caVeMent fund
1915
(iJis)
TOTAL FUNDS
237.342
(221,954)
J5J88
Pagc 10
continued...

NOTES TO THE FINANCIAL STATEMENfs- continued
FOR THE YEAR EP4DED 31 March 2021
ii.
MOVEMENT IN FUNDS- eontlnued
Comparatlves for movement in funds
N¢t
movement
in fullds
At
31.3.20
At 1.4.19
Unrestricted fuDds
General fiu
151234
(4.366)
146,868
TOTAL FUNDS
151234
(4.366)
146,868
Compardtive net movement in included in the above as follows:
Incoming
resow¢¢s
ResoU￿¢S
expended
Movement
in ￿ndS
Unrestricted funds
Generdl fund
223,056
(227,422)
(4,366)
Restricted funds
B¢reaven￿llt fund
5,075
(5,075)
TOTAL FUNDS
228,131
(232.497)
(4,366)
A Current year 12 months and PTior year 12 months combKTKd position is as follows:
Net
mov¢Jn¢nt
in fvnds
At
31.3.21
At 1.4.19
Unrestricted funds
General fiind
151234
11.022
162.256
TOTAL FUNDS
151.234
11.022
162,256
PAg¢ll
continued...

THE TANTUM TRUST
NOTL8 TO THE FINANCIAL STATEMEpfTS- contlnued
FOR THE YEAR ENDED 31 Tr1areh 2021
ii.
MOVEMENT IN FUNDS- ￿ntInUed
A ￿[rent year 12 nM)nths alld prior yrar 12 montlLS combined net movement in included in th¢ abov¢ 2r¢
as follows:
IrKoming
Resources
p¢ThJ
Movement
tn funds
Unrestrieted funds
General fund
458,48J
(447,461)
11.022
Restrieted fullds
Bereavernent fvnd
6,990
(6.990)
TOTAL FUTrIDS
465.473
(454.451)
11,022
12.
RELATED PARTY DISCLOSURLS
Professionat s¢rvices were provid￿ to The Ta￿￿￿ T￿￿t in the year by Traviss & Co Ltd. a ￿MpanY in which
Malcolm TrdViSS is a Director.
Payroll services amoullting to £1.197 (2020: £789) and seNic&8 relating to Ind¢p¢nd¢nt Examination of the
aceounts anJountin8 to £1.050 (2020: £1.025) were provided by Traviss and Co L￿.
Pa8e 12