REGISTERED CHARrrY NUMBER: 1153881
L￿1$e Rcw knmrt
Columba House
Ad8str81 Park
IP5 3RE

he Blossom Cha '
Contents of the fjnanctal ststements
for the Year Ended 31 December 2023
RgP)rt ofthe Tr￿18@S
1 to 3
Independent Examinerfs RetM)rt
StAt8mènt of Fin8nc481 Actsvrfye8
Balance Sho81
Not88 to Finand81 Stat•n•n18
7 to 14
Detaiw Statemènt of FIn$￿I$l ktsviU86
15 to 18

The Bl
om Chari
cio
ort of the trustees
for the Year Ended 31 December 2023
The trustees present thw'r rewt *llh the ffin8￿￿1 slatements of the tharity the 8nd8d
31 December 2023. Tho tnkn have aJopt&J the Fthi&ons of AceountlrKJ arKI Rewurtg by Charfl8S.'
Slatomenl of Recommended Pradice apFlicable to dbaribes preparing their ac£ounts in accordance with th9
Financial Rewts'ng Stsndard in the UK and Repubk of Irdand {FRS 102) (effective 1 January
2019).
Objectlves and actlvltl
Oblectlvos and alm•
The Blossom Chanty Is a Charitable Incorp￿￿ Organisalion (CIO) sim￿ al developing. educating on
assisting with the eMI￿OYabl￿ty of indfvhYua18 of the soually and economicalty disadvantaggd. Tha ¢hartys
objectives includes, but is not limi￿￿ to. the and trainirvJ of ThJiv￿Uals, devebping in￿r￿rSonal
skills and de81ing with individul$ Vtht￿ may be guffeFiThJ from 8 7*id8 spoctrum ￿ d￿￿1)¢$ $u¢h as learn
difficulties. a lack of means andlor hardshlp.
The ¢h8rFty has developed a numtsr of new WDgrammos th•t 8r• and revlthved ty the Trustees.
Publlc bgneftt
The Trus18es cc#ffimi that they h8vo comrthd duty to due regartl to publk b&nefft wtdan¢e
Issued by th8 Charfty Ccffim199h)n In detenninlw tho a￿l¥11th under&kn by the d￿rIty.
Volunt•or•
We have over 135 K4untsor8 who supwl ￿ aThJ mud) of ￿r w￿rk. Would tt be kwlbl8 4¥1th0￿ them? We
have appoint￿1 a leader who Ilr*J and 8UPPOrt our Ndunteern. We h)pe tr* c¢)portunlty lo volunteer for
us pay3 back in many way3 in term8 of giv￿. thg rv•mrd of lh8 approualon of other8. and gnjowng
being part of Impacdul actfvitles.
Page I

lossorn Cha '
rt of the trustees
for the Year Ended
1 December 2023
Achlevemènt and ￿rforn￿n
Charltable actlvltles
The focus as a tharity has to b8 In Ilne with our d￿rI1￿)le We wlth women and men
of all ages facing rural lsc4a0L￿. a km Inwme CK unernplo￿. We continue to help stsrt ￿ grow micro
businesses, and to teach the ski115 of the trttsiness *uld. In 2023 V&P contlnu8d to develop our work
supportiTrJ leaders of charities. We have created an Afumni wh￿th I￿[p5 to iTKrease our reach and impact.
Our r8des￿ned tYcrfJr￿8 are m68￿r￿j th8 of the ¢*)mM￿￿*t supwt Wé 6valuats lh8 Impact & ara
pleased to see an improv8ment In Impacl from the r&J8sign.
We launched a new prcgram fcy charity & putlic seGtw emtth)Jp83 ￿)38 the region. It 15 deswJn8d for
aspiring 18aders & again increases the impact we can have across the county. Resulls are strong & rt will
become part of our offering8.
We bulld on our use of tho thrtdcm lo wogf8ms. Wo wllh Greenllght Trust and Suffolk
Wlldlrfe Trust In order to do thts. We flnd outde)x ¥pa¢e tsntssttc for deveh)pment 8nd tr8lnlng. We also work
wllh Natural Survlv(K Wh￿re thè leader sharas tss & 8ncour8985 openness & confldence
building in the oulthors
We are in the Second af our charity 8hop. Flnk Trolkny in Harl83ton. Not only do ob￿0u8￿ generate
Income from thg Shop. but dso It ￿p$ us In undorstandlng and Meg￿ng th8 n80ds of th8 markot town of
Horloston. We ar8 grateful tho h￿h qu81ty donatKffls & Voluntoers Supp￿ this. We also wn pop up
8ales In Eye whlch are prowrwj very successfvl in fundralskng.
Our evoluation of our program¥ is seeing an aver•Jo of 75% improvement in 8eues In tem18 of confldènca.
$tr8ss management, trv)w to use swr Ski￿$, prc4)Iom4cA￿n9 abllity and galniro a $8nse of direction.
Sometime8 w(xds cen ba more p￿rf￿ than data as in the quotss bekj
'My confidence has grown.. I now have a role. I have a rAan & l am vKthng to aCh￿rn Ir
hank you contlnue With ￿ur amazlr¥J work"
'18m more confldent & resllf6nt. I look at thlro8 from dlffwent p81¥p￿j￿8. My anxlèty Iw818 h8v6 droppèd
8ignlllcand
'1 am now ruming my own bu8intis¥'
'Llfe Is gotxl, eXc￿ng & I have a real serYJe of rpKxxbJnhf
Our m8kgovor daya for d886Nng ￿￿Men aro very impacthjl. Thoy aro dosut*d by of th8 roforrol
partner8 a8'a 8iwlficanl part of robuihjinglrfo & roo)vwy pr￿t Ca￿ar tr08tmenr
Sustalnablllty
The Iru81ees place a high imp￿￿nCe in s￿In1￿j tho imp¥t of the th￿rk we th. We stsy in contact with
many vh50 Comè to us. Wa aK¥ays Say that the d(y)r open and moro fe¢•)ty. We hav8 found that Open
Door Is imwrtant to pe￿8. on, Iwe Created netr•th8 for th8 alumni of wr progr8m3 and support thls in
whatever way we can.
Fundrnwng actlvltl••
We arg gratefvl those WI￿ maka (kinath to our
We currenlly do not any grant fi￿ding. 80 ourfurKkni8iry 8¢b¥iMq arn ￿ knp￿tsftt.
We have a Trthnnlng SUp￿rt group who are an arnairKJ team *tK) meet monthty. In 2023 we ran another trail.
Sll with us ...fanlasti¢ benchos painted by tslent8d arbsts. We also C￿an￿1 a Race across Suffdk that was
based on the TV shc6v Race 8cr088 tha Wcrfld. A 2 day raco across 10 d￿Stinat￿ in Sutfolk. It W88 very
SUGcesBful & wil run in 2024. In total rawd £28k. than in wevicws as ￿ dela￿d our Fire
Challèn08 & ran it In Febru8ry 2024.
Flnanclal r•vl•w
Reserves poll
We continu6 ￿ ensur8 we have Suffic￿nI funds to alkiw prcgTams ts Ihe ¢4)nd￿je. This means we can
meet 811 the commiiments of the di8nts we SUFporL In addibon. we hohj fijnds for $818ry & closure costs. This
In total amounts to £50k.
Page 2

Lpilii ol the Iruslee5
loi Ilie Year Ended 31 Oecember
23
Futur• pl•ns
'e hai'e a ftjll program schedule for 2024 and following our pilot leadership pfogramme. we afe now running
ose on .In Oyqoing basis
Ve plan to Incre3se the number ol makeover days again Given the importsnce ol the days In a woman s
rtwwery from cancer we have Increased our partnersttiPS & work with 8 can¢er cenlres across the reg10n
e continue 10 be trealive wilh our lundfaising Plans witn new idea5 being piloted in 2024 We hope that we
Can devek)p the Pink Trolley chanty shop model lo help lund oui work
Stru¢tUl•, go¥•rnanc• and manao•m•nt
Gov•rnlng docurn•nt
The cnarity Is controlled by its governing document. a constitu1￿n, and was registered wlh the Chanty
CommissK)n as a Foundation CIO on 20 Septemtef 2013
R•erultm•nt and appolntm•nl of n•w tru$t••s
When a nthy Irusiee is needed, the Iruslees will discuss the skills that they would like someone 10 possess.
such as a strong community link or f5nancial skills Ihal will enhance the skill sel of the truslees A meeting will
be arranged between the prospects've twslees and the Iruslees who wjll then make a d￿lSIOn a5 lo who lo
appoint as a Irustee
R•f•r•n¢• and Admlnlstratlv• d•talh
R•glst•f•d ChaTlty numb•r
1153881
Prlnclpal 4ddrK$
13 Castle Street
Eye
IP23 7AN
Trust••s
Mr5 A S Doolin
Mrs S M Humphrey
Mrs A Ralph
Mrs B Mclntyre MBE
Mr A O Sutherland I￿Signed 17 10 231
Mf D L Suthedand (appointed 7 11.231
Ind•p•nd•nt Examln•r
Louise Rogefs
Lou5se Rooers Limited
Columba House
Adastr31 Park
Martle5ham Heath
IP5 3RE
Approved by order of the Ixtard of Injstees on
23 * 2ouk
and sKJned on Ils behalf by
nryre M8E - Trustee
Page 3

Inde
endent examinerfs
The blossom cha
cro
rttothe
Independent examinerfs r•port to the tru•to0• of The Blossom Ch•fty CIO
I report to the chanty trustees on my examinat￿ of ts acca)unts of The Bloss(xn Charity CIO (th8 Trust) for
the year ended 31 December 2023.
Ro•ponslbllltl•s and ba•ls of report
As the tharity trustee8 of the TN$l you ar8 respo￿lb￿ fty the proFwab'￿ ￿ lh8 a¢￿￿nts in accordance with
the requirem8nts of ￿ Charilies Act 2011 Ilh8 Acr).
I report in resFeCt of my examinatkn of the TrusV$ accounts carried out under SecU¢J) 145 of the Act and In
carrwng OLrt my examination I have foikn*ed am aPpl￿tIo Dyectm￿s by the CF¢rity Commission under
Section 145(5)Ibl of the ACL
Indopendonl •xamln•¢• •tat•m•nl
I have cmipleled my examinauon. l ¢¢th that m8twlal matter8 have com8 to my attentlon In connethon
tha gxominatth gtvong me cau88 to belo￿& that in matartgl r98P8Ct
aGr￿n11￿j records wwe Th)t kept In resFEct of the T￿￿1 as ty s￿￿on 130 of tho Ac(. or
the 8cMunts do not ac(xrd wllh thc*8 record8: or
th6 accounts do not compty V*ith th& aPp1Kab￿ wuirem8nts eonceming the fomi and corrtent of
account8 Sot out in the Chariti&s {AccI￿nts and ReF(xts} Regulati￿￿ 21))8 other tlkin any requlr8m8nt
that the aCC￿nts give a true aThJ fair vi8w 7*thith Is not a matter oYsid8rBd as part of an indep8ndent
examination.
I have no ￿ncernS and ha￿ coma acro88 r￿ other mattors In cOn￿tiOn wllh the 8x8mlnatkJn lo thch
attgntion shoukl be drawn In th16 reixjl kn ordar to enablè a prorw undgfStandlryJ of th8 to bo
reachet1.
Lou588 Rogers
Loulse Rogers Llm]18d
Columba HcyJse
Adastral P8rk
Ma￿eSham H&ath
IP5 3RE
Date.. ..
Page 4

The Blo
som Chari
cio
tatem nt of financial activities
for the Year Ended 31 De￿mber 2023
31.12.23
Total
funds
31.12,22
Total
funds
Unrestricted Restricted
funds
funds
Note8
INCOME AND ENDOWMENTS FROM
Donations and legaci09
85,582
85.582
75,25g
Other trading activthes
Investment Incoma
Other Incom8
68,294
4,083
4,071
88,294
4.083
4,071
80,063
7,029
3,712
Tolal
162,030
162.030
166,063
EXPENDITURE ON
Raising funds
24.654
24.654
27,030
Ch•rltabl• actlvltl•J
Makeover Day
BFAS
Gen6ral
Men8 Proor8mm8
Womens Programme
Pink Trolley
7,367
7.367
94.763
9.085
850
1,955
103,848
850
3,501
32,693
124,380
1,963
1,670
23,811
1,546
32,693
Other
(1)
(1)
Total
161,022
11.890
172.912
181,692
NET INCOMEIIEXPENDITUREI
1,￿6
111,890}
{10,882}
{15.6291
RECONCILIATION OF FUN08
Totsl funds brought forward
160,440
22,178
182.618
198.245
TOT￿ FUND8 CARRIED FORWARD
161,448
10.286
171,734
182.616
The notes fonn part of th8se financial statements
Page 5

l!LIR4oni
haiil
Ba.'ance %he¢i
.11 Deiember 10,3
31 1223
Total
funds
31 1222
Total
funds
unlestr￿ed Restricted
funds
lunds
Notes
FIXED ASSETS
niai@,'ble assels
Tan
Iblè assets
3, 167
18 $67
3.167
18,567
1,941
21 720
21734
21.734
23661
CURRENT ASSETS
Detr',ors
Cash at bank and In hand
41.821
108.398
41.821
118.884
21.053
144 863
10.286
150.219
10.286
160.505
185.916
CREDITORS
Ani.oLnts falling due wthin one year
10
110.$051
110.5051
18.9611
NET CURRENT ASSETS
139.714
10.286
150.r
IS8.955
TOTAL ASSETS LE88 CURRENT
LIABILITIES
181.448
10.288
171.734
182.618
NET ASSET3
101.448
10.286
171,734
182,618
FUNDS
Unrestricted fund$
Restr￿ted funds
181448
10.286
180.440
22.176
TOTAL FUNDS
171.734
182.618
The financial statements were approved by Iiie Board ol Trustees and aulfw1￿4 lor ffjsue on
23 ZQW
and wefe sKJned ¢)n its b¢Mrr by.
IArs
A-lntyre M8E- Trustee
The notes foim part of these finanoal statement5
Page 6

The Blossom Cha
Notes to the financial statemen
for the Year Ended 31 December 2023
ACCOUNTING POUCIES
Basls of prnwlng the flnanclal stat•m•nts
The finandal statements of the charrty. 18 a publk benefit entity under FRS 102. have b8en
prepare(l in accordance ￿1h the Chanb'es SORP IFRS 102} 'Ac￿ntr.ng and Reithng ty Charib8S:
ststement of Recomtnended Practsce appI￿￿e to tharFties prepariNJ Iheir ace*Junts m accordance
with the Financial Reporting Standard applvble in the UK 8nd Repuilic of Irel8nd IFRS 1021
{effective 1 January 20191,, FinancHI Rekth'ng Standard 102 Tr FinaThial Reporting Standard
applicable in the UK and Republic of IrdarMI' and th8 Charities Act 2011. The financial statements have
The finar￿1 8tstements of Iha Charftable lThxxp)ratsd (kw188tlon. 18 a w￿lIC b￿9ffl er
und¢r FRS 102, have been wepared In acc￿danCe with the Chanti8s SORP IFRS 102) 'knountlng
and Reporting by Charilies.. Statement of Recomm6nd8d Pra¢ti¢e aPFA*8140 lo charities preparlng
thelr a￿oUnts In acurdence wlth the FIna￿fia1 RewxtlrrfJ Standard app1ka￿a In the UK and Republlc
of Ireland (FRS 1021 {effedve 1 January 2015),. FInan￿￿ RerthTha Stsrnlard 102 Finandal
Reporttng Stsndard appl'catl8 in tre UK arKI Rewblic of Ireland. arKI the Charllles ALX 2011. The
financlal stat8ménts havo b68n uThJ8r tha histoital ￿>St IXWN*kn.
In¢om•
AJI *icome 18 recognwd In the Statement of F￿￿￿181 Acb¥its8 Lw)ce Ih8 h88 8nbttement kn tho
funds. it probabta that the irts)me be recavad arthj tha amount w b8 m888ured r81i8bly.
exp•ndltur•
Liabilitses arg rwniBgd as exporNJiturn ats srth as tharo is a knJal cff wi$truGb'vg obligation
committing the charity to that expendittJr•. it is Ihgt 8 tr8nsfer of economic benafits be
requlred in settlement and th8 am¢)unt of th8 obvootlon c4n bg moasurgd ro11gbty. Expendlture 18
acooLsnled for on an a￿81S basi5 and has been dassified urKler headirMJs that aggregate all cost
ralated to the c4tegory. Where costs canThJt t* dlrodly *lributod to partI￿18r h88dlng$ Ih8y have been
8lk)cated to advltl88 on 8 b88L8 rth818tant Thth the u80 of resour￿.
Intsnglblfr Ilxed
Th18 con81st8 of devehwm•rt (%6ts. aro Wncffli￿ 0￿r thelr exp8c￿￿ u6efiJl llfe of 5 ￿ar8.
Tanglbh flx•d ••••ts
Depreclatlon ts prov￿Je0 at Ihe annu81 rates In order to *Tlle off each asset over Sts eslmated
u$oful life
Motor VeNdgs
. 33% r8(knirs balarto
Computer Equipmènt - 33% on cost
Fixturos oTh1 Frtw . 10% reduCtr￿ b#Lqnce
Taxatlon
The charity is exèmpt tr￿￿ tax on Its charftstle 8cll¥ll*s.
Fund a¢countlng
Unrestrtcted fvTh#s can L* u9ed In acCOrdp￿ charftsble oileGtr#BS at the dlscretbn of the
R88trictèd funds (*n onty ba usad for partbjlar rostr1c￿ purFA)sos the 01¥￿ts of tho charity.
Restrictions arise specified by the donor or ¥A￿n funds are raised for parti¢Jdar restrictsd
purposes.
Further èW8nation of the n8turo and purp050 rf 8fich lurwj rs I￿lL￿d in the notes trJ the finarKial
statemen
Hire Purd￿ and I￿Ing Commitments
Rentals paKI under operth.ng leases are to the s1atwn￿tt of Finanaal Aclivib88 C￿ a straight
line basis over tho per￿ of the kase.
Pag8 7
contlnuad...

The Bloss
cio
Notes to th finanual statements- continu
for the Year End
1D￿M
r 2023
OTHER TRADING ACTivmES
31.1223
31.12.22
F￿draiSing eNYnts
Slw income
35.495
32.799
49,600
30,463
80.063
INVESTMENT INCOME
31.12.23
31.12.22
Rents rece
7,029
RAISING FLINDS
Ral•lfig donatl¢)n• and l•gacl••
31.12.23
31.12.22
Raising funds
Cost re donated goods
Support C08ts
8.206
74
16.374
7.102
988
18,940
24.654
27,030
TRUSTEES, REMUNERATION AND BENEFrr8
A Irusle8, Mrs A Ralph wa8 pdd £2,735 12022 £1,451) No other trustees pald c* ro¢olvod
benefits for elther ￿r.
There V+*f8 no trustees expenses pa￿ 31st D￿nL￿ 2023 for ts y88r ended
31$t Deomb¢r 2022.
COMPARATIVES FOR THE STATEMENT OF FINANCL4L ACTMTIE8
Unr8strlcted Restr￿ted
funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donatlon6 and leg8cios
75.259
75,259
Other trading xtiwbes
Investment income
Other income
7.029
3,712
117
3.595
Total
162.468
3.595
1eé,063
EXPENDrruRE ON
Ralsing funds
27.030
27,030
Charftable athlUo•
CBFAS
Genwal
Mens Pro3ramme
Womans Programme
2.838
124,380
1.963
1,670
122.
1,800
1.963
1.870
continued...

The Blossom Cha
cio
Notes lo the financial statements - continued
for the Year Ended 31 December 2023
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTivrriES. contlnued
Unr8Strict8d Restricted
funds
funds
Total
funds
Pink Trdloy
23,811
23,811
Totsl
175.091
6.601
181.fj92
NET INCOMEI(EXPENDITURE>
(12.623)
(3,0061
115.6291
RECONCILIATION OF FUNDS
Totsl funds brought fmrd
173,063
25,182
198,245
TOTAL FUNDS CARRIED FORWARD
160.440
22.176
182,616
INTANGIBLE FIXED ASSETS
D8velopment
costs
Coit
Al l January 2023
Addllon8
3,200
2,000
Al 31 December 2023
5,200
Amortl8atlon
Al 1 J8nu8ry 2023
Ch8rge for year
1,259
774
Al 31 Docember 2023
2,033
Not book value
At 31 December 2023
3,187
At 31 D￿mbar 2022
1,941
Page 9
continued..,

The Blossom Chari
Notes t
h finanaal statements - continued
for the Year Ended 31 Decemb r 2023
TANGIBLE FIXED ASSETS
Fixtures
and
fittings
Motor
Computer
Vehicles equipment
Tolals
Co•t
Al 1 January 2023
Disposal¥
24,139
{1501
5,995
6,012
36,146
1150)
At 31 Dec8mb6r 2023
23,989
5.995
6.012
35.996
DoprecLitlon
At 1 January 2023
Chargo for year
4,013
2.012
5,Q90
302
5,323
14,426
3,003
At 31 D6oember 2023
6,025
5,392
6,012
17,429
Not book v•luo
Al 31 December 2023
17,964
603
18.567
Al 31 Do¢ember 2022
20,126
905
689
21,720
DEBTOR8: AMOUNT8 FALLING DUE WITHIN ONE YEAR
31.12.23
31.12.22
Trade d8btor8
Other dabtors
VAT
PrgpayThonts 8nd a¢cruod In¢omo
529
8.694
73
12.286
122
41,170
41,821
21,053
Included wlhin accrued in¢ome 1$ a donallon of £32,500 {2022 £nlll from 8 company of whlch Mr8 B
Mclntyre MBE is a director.
10. CREDrroRS: AMOUNT8 FALLING DUE WITHIN ONE YEAR
31.12.23
31.12.22
Trade creditors
Othor cr9ditors
3,791
6,714
741
6,220
10,505
6,961
Page 10
continued...

The Blos
m Chari
cio
Notes to the financial ststements - o)nts"n
for the Year Ended 31 December 2023
11. MOVEMEiif IN FUNDS
Net
movement
in funds
At
31.12.23
At1.1.23
Unrogtrlct•d fund•
General fvnd
160.440
161,448
RMtrIGtfjd funds
Propety rental
Men's programme
High Sheriff
Reb￿¢
Programme co¢xdinator fund
9.750
3.186
128
(1.800)
(8￿1)
(128)
(1.955)
(7.157)
7,950
2,336
7,157
22.176
(11.8￿)
10.286
TOTAL FUND8
182,616
{10,882)
171.734
Net movement In fund* InclLKled In the atrfyrfe ￿ as fokny:
IncrKning Resources Mi)vement
resources expended
In funds
Unr••lrl¢t•d fund•
General fund
162.030
(1e1.022)
1.008
R••trf¢t•d fund•
Prop8rty rental
Men's prc¥Jramme
Hlgh Sheriff
Reboot
Programme coordlnator fund
{1,8W)
(850)
1128)
11,955)
(7,157>
(1.8001
1850)
1128)
11,955)
17.157)
(11,8901
{11.890)
TOTAL FUND8
162,030
(172,912)
(10,882}
Page 11
continued...

Th
Iossom Chari
otes to the financial st tement
for the Year Ended
- continued
r202
11. MOVEMENT IN FUNDS- contlnuod
Comparatlv•8 for mov•mont In funds
Net
mov8ment
in funds
At
31.12.22
At 1.1.22
Unrostrfctod fvnd8
General fund
173.063
{12.623)
160.440
Re8trlcted funds
Propety rental
Man's programme
11,550
5.149
128
1,955
6.400
11,800)
11.963)
9,750
3,188
128
1,9
7.157
Hlgh Shedff
Reb(yJl
Programme coordlnator fund
757
25,182
(3,0061
22,17e
TOTAL FUND8
198,245
115,6291
182,616
Comp8radve nel movement In funds, InclLMJed In the above are as lolbws..
IncomSng R8sourc8s Mov8m8nl
resources
8XP8nded
In funds
Unr•strf¢t•d lundA
G8neral fund
162,468
1175,0911
112,623)
R￿trICt￿ fund•
Prop8ty rental
Men's programm8
Programme cwrdlnator fvnd
11,800)
11,963
12,838)
11,800)
11,9631
757
3.595
3,595
18,601)
13.C#)61
TOTAL FUNDS
168,063
{181,692)
11S,6291
Page 12
conlinued...

TheB
ossom Chari
cio
Notes t th financial statements - continued
for the Year Ended 31 December 2023
11. MOVEMENT IN FUNDS- ¢ontlnu¢d
A current year 12 months and prior year 12 months combln8d position is as foilows..
N81
movement
in funds
At
31.12.23
At 1.1.22
Unre8trlctsd fvndb
General fund
173.063
111,6151
161,448
Restrlcted fund•
Property rent81
Men's programme
Hlgh Sheriff
Reboot
Programm8 coordinator fund
11.550
5,149
128
1,955
6.400
{3.6001
(2,8131
11281
(1.955}
16.400}
7,950
2.336
25,182
{14,8g61
10,286
TOTAL FUND8
198,245
128,5111
171,734
A current y8ar 12 months and prlor 5*8r 12 months eombined nat movfjmont in fund8, induded In thé
abova ar8 0$ follows..
Incomlng Resources Movemanl
rèsourcés
expend8d
in fund8
Unre•trlctod funds
General fund
324,498
{336,113)
{11,6151
Ro•trl¢t•d fvnd•
Property rgntsl
Men's programmo
High Sherlff
R8bool
Programma coordlnator fund
13,6001
12.8131
11281
(1.9551
{9,9951
13.6001
(2,8131
{1281
(1,9551
(8,400}
3,595
3,595
118,491)
{14,8961
TOTAL FUND8
328.093
(354.604)
(26.5111
Programmes Cowordlnator fund
This fund was established by 8 donation for the purpose of covering part of the costs of the Charitrfs
programme co-ordlnalor.
Proporty R?ntsl fund
This fund was ast2bl￿h6d by 8 donatlon to cover future property rental costs of th8 charfty.
Men8 Programme
This fund was est8bltshed by a donation, and Is designed to support men to hélp Ih8m live thèir t￿t
Ilve8.
Reboot Programme fund
This ftjnd was gstsblishod by a donatlon from The RopGs Trust and Is deS￿ned to encourage
p2rtieipant8 to èxplorè •￿et of thè pandamlc on thtiir individual Iwè#.
Page 13
continued...

The ￿OsSOM Cha '
cio
Not to the financial statements- continued
for th8 Year En
31 December 2023
11. MOVEMENT IN FUNDS- contlnuod
High Shoriff fvnd
This furKI wa5 eststAished by a donation fr(xn The High Slwiff to suwort the th of th8 Sherwf
and runs for 1 year only frc¥n Awil 2020.
12. RELATED PARTY DISCLOSURES
ra w•r• no relatod patytran¥actkn8 forthe yafir 0ndod 31 Dacomt*r 2023.
Page 14

The Blossom Ch
cio
iled statement of finan¢Jal activitres
for the Year Ended 31 December 2023
31.1223
31.1222
INCOME AND ENDOWMEpif8
Donations and kga¢lo8
Donations
G￿ aid
Grants
75.432
10,150
63,995
1280
75,259
Qth•r trnding ac*lvltl••
Fundra￿1ng events
Shop incom¢
35,495
32,799
49.600
30.463
80,063
Inv88tm•nl In¢om•
Rants rec*ived
7,029
Othw In¢om•
Restrictsd Income
Interest Income
Sale of mlsGelkneou8 Stem8
350
721
3.595
117
4.071
3,712
Total Incomlng r••ouw
182,030
180,063
EXPENDrruRE
Ral•lng donatlon• and l•gacl••
Ralslng fund8
C08t re donabj gc(#Js
7.102
74
8,090
Charftable actlvltles
Mat8ri818 purchased
Hexagon cx)sts
Programm9
M8keov8r Day
Blossom DevelopTr￿1 Prc*3rammes
M.B.T.I
2(
2.724
64,967
7,367
14.824
1.118
280
1,248
87,090
19.TT8
18.206
Mens Programmo cogts
Confidence Programme ￿Sts
Supervision
Ajitus Progromme costs
Rent of premises
Plnk TroHey sharo(1 cfjsts
other Plnk Trolley cc6ts
1,963
1,670
930
1.515
14,300
20.379
3,￿11
15,200
2.629
144.348
152,335
This page does not fomi part of the staiutory financial statements
Page 15

Bl¢)ssom Cha
iled ststement of finan
al adivities
for the Year Ended 31 December 2023
31.12.23
31.12.22
Support Costs
Management
Rates and water
Insurance
Llght heat
Telepho
Poslage and 8taUonery
Adveruslng
Sundries
Subscriptb)ns
Travel
Entertainment
Repairs & renowds
Cl8aning
Vehicle exp8
Depn offixtures & fittw¥Js
Depn of motor vehlde8
Depn of compLrter 8qulpm&)t
Depn of webslta
915
1.027
3,730
1,431
3,809
1.103
1.639
350
1,727
283
315
195
103
187
146
693
2.072
452
1,654
640
2.013
TT4
15,880
17,266
Flnance
Bank charg68
Computar c08ts
974
913
701
1.267
1.674
Oov•rnanu costs
Accountancy fees
Leg81 fee8
Book.keeplng soffvmro
2,262
149
3.137
2,327
Total resources expeNJed
172.912
181.692
Not •xpoNlltur•
110,882)
115.6291
This page does not form part of the statutory financial statements
Page 16