CHARITY REGISTRATION NUMBER: 1154860
Cutteslowe and District Community Association
Unaudited Financial Statements
31 March 2025

Cutteslowe and District Community Association
Financial Stalements
Year ended 31 March 2025
Page
Trustees, annual report
Independenl examiner's report to the trustees
Statement of financial activities
Stalement of financial position
Notes to the financial statements
The following pages do not form part of the financlal statements
Detailed statement of financial aclivities
19
Notes to the detailed statement of financial activities
21

Cutteslowe and District Community Associatlon
Trustees. Annual Report
Year ended 31 March 2025
The trustees present their report and the unaudited financial statemenls of the charity for the year
ended 31 March 2025.
Relerence and administratlve details
Registered charity name
Gutteslowe and Districl Community Association
Charily reglstratlon number
1154860
Prlncipal offlce
31 Wren Road
Oxford
OX2 7SX
The trustees
J Davis
A Childs
D Anderson
H Baker
S Buckley
S Mccready
S Scheele
Independent examiner
Nicola Jane Cadwallader FCCA
For arKI On Behalf of
David Cadwallader & Co Limited
Suite 3 Bignell Park Barns
Chesterton
Bicester Oxon
OX26 1 TD

Cutteslowe and District Community Association
Trustees, Annual Report (contlnued)
Year ended 31 March 2025
Structure, governance and management
The charity is a charitable incorporated organisation (Charily Commission No 11548601 which was
registered on 4 December 2013 and is governed by a constitulion agreed at ils annual meeting.
Funds from the unincorporated charity Cutteslowe and District Cornmunily Association (registered
charity no. 304340) were donated lo the charity on that date.
Trustees are elected at the annual meeting of the charity. New trustees are co-opted at olher times
but their appointment must be confirmed at Ihe nexl annual meeting.
The Associalion aims lo have a board of truslees which-.
al contains the skills and expertise {for example In personnel, finance: health and safety, safeguarding,
data protection anu premises management) which are required lo run a modern charity effectively, and
bl understands the nature of the issues facing the particular community which it seeks lo serve and
can develop strategies lo address them.
The day-to-(Jay operations ol the Cotntnunily Centre Ihereinafler callod 'the Cenlre,) are managed by
the Centre Manager who reports directly lo the Board of Truslees. From January 2021,this role has
been fulfilled by Stephanie Jankovic.
The trustee5 meet as a management cornmiltee at leasl 9 times a year. These meelings are
frequently attended by an official trom the City Council, local City and Gounty Councillors and the
Centre's rllanager. Others are rnvited as necessary. The trustees meet separately as required to
consider particular issues. Sub-commiltees meet regularty to monitor aspects of the Associalion's
operations.

Cutteslowe and District Community Association
Trustees. Annual Report {contlnued)
Year ended 31 March 2025
Objectives and aclivilles
The objectives of the charity are to=
al promole the benefit of Ihe inhabitants of the area of benefit without dislinction of gender, sexual
orientation. nationality, age, disabilily, race or ol political, religious or other opinions by associating
logether the said inhabitants and Ihe slalutory autnorities. voluntary and other organisations in a
common effort to advance education and lo provide facilities in tne Interests ol social welfare for
recreation and leisure lime occupation with the objecl of improving the conditions of life lor the said
inhabitants-, and,
bl establish: or secure the establishment: of a Community Centre and to maintain and manage the
same (whether alone or in ca-operalion with any statulory authority or other person or body) in
turtherance ol the above objects,.
The Associalion shall be non-party in politics and non-sectarian in religion. The area of benefit shall be
Cutteslowe and the SLJrrounding dislrict.
Activities
Its principal activities in furtherance of these objectives are
a) to maintain a community centre which is available lor hire by individuals ancl groups, and
bl to run events and activities for Ihe benefit of Ihe whole communiiy and for parlicular groups within
it. As a general rule proiecls are not initiated unlil full lunding for them has been secured.
The Association currently employs a part-time Centre Manager and a part-time assistant. Other stafl
are engaged lo assist in Ihe running of particular activities as required.
The staff are assisted by over 30 volunteers who take an active part in the running of particular
activities th whom the Irustees offer Iheir warmest Ihanks.
The charity maintains strong sinks and worf(s with a range of organisations including government
agencies, local authorities: private and state schools: religious establishments, other charitie5,
neighbourhood groups and private trusts.
Public Benefit
We have referred to the guidance contained in the Charily Commission's general guidance on public
betielit when reviewing our aims and objective5 and ir planning our lulure aciivilies.

Cutteslowe and District Communlty Association
Trustees. Annual Report (conllnuod)
Year ended 31 March 2025
hlovomentB and porformance
The Community Cenlre has continued to build on its recovery from the CQVKI affected years and, by the
end ol calendar 2025, when thls report was written. the Cenlre wa8 operating at close to the capacity
of its buildings and ils small permanent staff.
Last year we highlighted the fact that the last stage of refurbishmant has been finished. Over the last
two years this has led to a steady rise in the number of people using or visilin9 the Centre and the
frequency with which our rooms have been hired out, wilh a particu18rly significant increase in Iheir use
for parties and other events by local farnilies. This boost in Income has enabled us to offer free use lo
more organisalions with little or no funding, such as for ESOL classés, Cilizens Advice and Age UK,
and lacal support gTOUPS, such as for those with learning difficullies.
Our principal foGus will remain on supporting families and young persons and regrettably there is lillle
evidence that conditions for them are getting any easier. The Community Larder, which we host and
which is organised by Cutteslowe Connected Church has seen no reduction in the number of familles
using it. while the Wishing Tree project. matching, anonymously, donors of Christmas gifts wilh
children of families in need. expanded by over 50410 thi518St year. Sunnymead Minnows, set up after
the demise of Sure Slart to h81p socialise and prepare under fives for school, continues lo be fully
sub5Gribed, Where we can we will continue to expand our help to the families in our neighbourhood.
Needless to say, not much of what W8 do would be possible without the help of a stalwart band ol
volunteers and wllhoul generous financ￿1 support of many of those who liva around us. To them all we
wish to extend our grateful thanks.
Flnanclal rovlew
Income and expenditure in the year to March 2025 were almost in balance and the financlal position at
the end of the year was satisfaGtory. We have been able to cope with Ihe sudden increase in costs,
notably of gas and electricity, and we expect that the inflationary pressures will oase over the coming
year. We are confidenl that we will be able lo maintain. or increase. the servi¢es which we provide or
facilitate for our community. over the corning year.
The trustees, annual report was approved on
Irustees by..
ned on behalf of the board of
An
hllds
Chair and Trustee

Cutteslowe and District Community Assoclatlon
Independent Examlner's Report to the Trustees of Cutteslowe and District
Community Association
Year ended 31 March 2025
I report to the trustees on my examination of the financial statements of Cutte51owe and District
Communily Association {'the charilv) for the year ended 31 March 2025.
Respon8ibllltl•s and basi5 of rèport
As the trustees of the charity you are responsible for the preparation of the financial st8lements in
accordance with the requir6ments of the Charities Act 2011 ('the Act.).
I report In respect of my examination of the charlty's financia5 stal8rnents carried out under section 145
of the 2011 Act and in carrying out my examination I have followed all the applicable Directions given
by the Charlty Commission under section 145(51{bl af the Act.
Independént examiner's statem8nt
I have eompleled my examination. I confirm that no material matters have Goffle to my att8nlion in
connection with the examination giving me cause to believe that in any material respect..
accounling records were not kept in respect of the charlty as required by section 130 of th
Acl,. or
the financial slalements do not accord wilh those records, or
the financial statements do not comply with the applicable requirements concerning the forrn
and content of accoun15 set out in the Chari1195 (Accounts and Reports} Regulations 2008
other than any requiremenl Ihal the accounls give a 'true and fair, view which is not a matter
considered as part of an independent examination.
I have no concarns and have come across no oth8r matters In connection with the examination lo
which attention should be drawn In this report in order lo enable a proper understanding of the
accounts lo be reached.
/L
Nicola Jane Cadwallader FCCA
Independent Examiner
For and On Behalf of
Oavid Cadwallader & Co Limited
Suite 3 Bignell Park Barns
Chesterton
Bic8Ster Oxon
OX26 1TD

Cutteslowe and District Community Association
Statemenl of Financlal Activities
Year ended 31 March 2025
2025
Restricted
funds Total funds
2024
Unrestricted
funds
Total funds
Note
Income and endowments
Donations and legacies
Charitable activities
Other trading activitie5
Investment income
47,643
21.392
3,619
1,161
64.403
112,047
21,391
3,619
1,161
138,218
77,393
15,928
1,744
1,178
Tolal income
73,815
64.403
96,243
Expenditure
Expenditure on charitable activities
Total expendllure
77,721
77,721
37,118
114,839
114,839
95,929
37,118
95,929
Net income
(3,906)
27,285
23,379
314
Transfers between funds
2,449
(2.4491
Nel movement in lunds
(1,457)
24,836
23,379
314
Reconciliation ol funds
Total funds brought forward
Total funds carried forward
48,327
46,870
15,884
64,211
63,897
40,720
87,590
64,211
The statement ol financial activities Includes all gains and losses recogni5ed in the year.
All incarne and expendilure derive from continuing aclivities.
The notes on pages 8 to 17 torm part of ihese financial statements.

Cutteslowe and District Communlty Assoclation
Statement of Flnancial Position
31 March 2025
2025
2024
Not•
Current assets
C8sh at bank and in hand
90,668
66,845
Cr•dltor8: amounts falllng due within one yoar
Net current assets
14
3.078
2,634
64,211
87.590
Total asset5 loss curronl liabilitios
87,590
64,211
Net assets
87,590
64,211
Funds of the charlty
Restricted funds
Unrestricted funds
40,720
46.870
15,884
48,327
Total charlty funds
16
87,590
64,211
es
financial statements were approved by the board of trustees and authorised for issue on
and are signed on behalf of th8 board by.
Ann Childs
Chair and Trustee
Donald Anderson
Treasurer and Trustee
Th• notgs on pages 8 to 17 form part of the$0 flnanclal 5tatement$.

Cutteslowe and District Community Association
Notes to the Financial Statements
Year ended 31 March 2025
General information
The charily is a public benefit entity alld a registered charity in England and Wales and is
unincorporated. The address of the principal office is 31 Wren Road, Oxford, OX2 7SX.
Statement of compliance
These financial slalements have been prepared in compliance wth FRS 102, 'The Financial
Fleporting Standard applicable in the UK and the Republic of Ireland,. the Stalefflenl of
Recommended Practice applicable to charities preparing Iheir accounts in accordance with the
Financial Reporting Slandard applicable in the UK and Republic of Ireland (FRS 1021 (Charities
SOAP IFRS 10211 and the charities Act 2011.
Accounling policies
Basis of preparation
The financial statements have been prepared on the historical cosl basis. as modified by the
revaluation ol certain financial assets and liabilities and inveslmeni properties measured al lair
value Ihrough income or expenditure.
The financial statements are prepared in sterling. which is the lunclional currency of the entily.
Going concern
The accounts have been prepared on a going concern basis.
Disclosure exemptions
The enlily satisfies the criteria of being a qualifying enlily as defined in FRS 102 Ils linancial
statements are consolidated into the linancial statements of (enter name ol group financial
statements) which can be obtained from (enter detail). As such. advanlage has been taken of the
following disclosure exemptions available under paragraph 1.12 ot FRS 102..
(al No cash flow statement has been presented for the company.
(bl Disclosures in respect of financial instrurnenls have not been presenled.
Judgements and key sources of eslimation uncertainly
The preparation of Ihe financial slatements requires management to make judgements,
estirnates and assumptions that affeci the amounts reported. These estimates and iudgemenls
are continually reviewed and are based on experience and other factors: inc,uding expectations
of future events that are believed lo be reasonable under the circumslances.

Cutteslowe and District Community Association
Notes to the Financial Statements (contlnued)
Year ended 31 March 2025
Accounting policies (continued)
Fund accounting
Unrestricted funds are general funds available lor the general objectives of the charity.
Designated funds are unreslricled reserves Ihat have been set aside by the Charity for partiCLJlar
purposes
Rcstricted funds can only be used for the PUTposes lor which they have been given, within Ihe
objectives of the Charily. The cosls of ra15ing and aoministering such funds are charged against
those specific funds. The various funds are detailed In the notes to the aCCo￿nts.
Incoming resources
All incoming resources are included in the statement of linancial activities when enlitlemenl has
passed lo the charity.: it is probable that the economic benefits associated with the Iransaclion will
flow to Ihe charity and the amount can be reliably measured The following specific policies are
applied to particular categories ol Income=
income from donalions or grants is recogrised when there is evidence of entitlement to the
gill, receipt is probable and its amount can be measijred reliaoly.
,egacy income is recognised when receipi is probable and enlillement is established.
income Irom donated goods is measured at Ihe fair value ol the goods unless this is
irrTpractical to measLJre reliably, in which case thc value is derived from the cost lo the donor
or the estimated resale value. Donated facilit es and services are recognised in the accounts
when received if the value can be reliably measured. No amounts are included for Ihe
contribution of general volunleers.
income from contracts lor Ihe supply of services is recognised with the delivery of the
contracted service. This Is classilied as unrestricted funds unless there is a conlraclual
requirement for it lo be spent on a particular purpose and relurned il unspent, in which case
it may be regarded as restricted.
Resources expended
Expenditure is included on the accruals basis and is recognised when there is a legal or
constructive obligation lo pay lor the goods or services.
As the Charity is not registered lor VAT, all expendilure is shown inclusive ol VAT.
Tangible assets
All capital expenditure in excess of £l:000, for a single item or a group of similar items, is
capilalised.
Oepreciation
Depreciation is calculated so as to write off the cosl or valualion ol an asset, less ils residual
value, over the useful economic life ol Ihal assct as follows..
Fixlures & Fittings
Computer Equipment
20Q/y Straiglt line
330/. slraiglt line

Cutteslowe and District Community Association
Notes to the Financial Statements (tonllnuedj
Year ended 31 March 2025
Accounting policies fconlinuedj
Impairmenl of fixed assels
A review for indicators of impairment is carried oul at each reporting date, with the recoverable
amount being estimated where such ind.'catars exist. Where the carrying value exceeds the
recoverable amount, Ihe asset is impaired accordingly. Prior Impairments are also reviewed lor
possible reversal al each reporling date.
For the purposes of Impairment testing, when il is noi possible lo estimate the recoverable
amounl of an individual asset, an estimaie is made of the recoverable amount of the cash-
generating unit to which the asset belongs. The cash-generating unit is the smallest identifiable
group of assels that includes the asset and generates cash inflows that largely indepenaent Df the
cash inflows from other assets or groLJPS of a5sels.
For irrTpairmenl testing of goodw.11, Ihe goodwill acquired in a business combination is, from the
acquisition date, allocated to each of the cash-generaling units that are expected lo benefit from
the synergies of the combinalion, irrespeclivc at whether othcr assets or liabi ilies of the charity
are assigned to those units_
Financial instruments
A financial asset or a financial liability is recognised only when the charity becomes a party to the
contractual provisions of the instrument.
Basic financial instruments are initially recognised at the aTnount receivable or payable including
any related transaction costs.
Current asseis and current liabilities are subsequently measured at the cash or other
consideration expected to be paid or received and oot discounted.
Debt instruments are subsequently measured al amortised cost.
Where investments in shares are publicly traded or their fair value can otherwise be measured
reliably, the investment is subsequerlly measured at fair value with changes in fair value
recognised IM income and expen¢Jilure. All o.her such investments are SLJbsequenlly measured at
cost less impairment.
Other linancial instrurnenls, including derivatives, are initially recognised al fair value, Ljnless
payment for an asset is deferred beyond normal business terms or financed al a rale ol interest
that is not a market rate, In which case tne assel is measured at the present value ol the future
paymenls discounted al a market rate of ,nterest lor a similar debt instrument.
Other financial instrumenls are subsequenlly measured at fair value, with any change5
recognised in the statement ol linarcial aclivities. with the exception of hedging instruments in a
designated hedging relalionship.
Financial assets that are measLJred al cost or amortisea cost are reviewed for objective evidence
of ifflpairment at the end af each reporting dale. 11 there is objective evidence ol impairment, an
impairment loss Is recognised under the appropriate heading in the slalement ol financial
aclivilies in which the initial gain was recognised
For all equity inslruments regardless of significance. and other financial assets that are
individually significant, these are assessed individually for impairmenl. Other financial assels are
either assessed individbally or groL'Ded on the basis of similar credil risk characteristics.

Cutteslowe and District Community Association
Notes to the Financial Statements (Contlnued)
Year ended 31 March 2025
Accounting policles (conlinued)
Financial instruments {conllnued)
Any reversals of impairment are recognised immediately. to the exlent that the reversal does not
result in a carrying amount of the financial assel that exceeds what Ihe carrying amount would
have been had the impairmenl nol previously been recognised.
Defined contribution plans
Contributions to defined conlrioulion plans arc recogni5cd as an expense in the period in which
the related service is provided. Prepaid contributions are recognised as an asset to the extent
that Ihe prepayment will lead lo a reduclion in luture payments or a cash refund.
When contributions are not expected to be settled wholly within 12 months ol the end ol Ihe
reporting dale In which the employees render the related service. the liability is measured on a
discounled present value basis. The unwinding of the discounl is recognised as an exoense in
the period in which it arises.
Donations and legacies
Unreslricled
Funds
Restricted Total Funds
Funds
2025
Donalions
Gift Aid
Appeals: donations and pledges
City and County CoLJncillors
Brad Foundation
5,578
23,420
5,578
44,007
2,500
20,587
2,500
Granls
Oxlord Gity Council
Sumtnertownlst Margarets Neighbourhood Forum
Tolkein Trust
Mactaggart Third Fund
Wolvercote Neighbourhood Forurn
Oxfordshire Comrnunily Foundalion
Sl Andrews PCC
Other grants
1,300
4,500
1,300
4,500
15,000
2,000
9,132
20,910
6,250
870
15,000
2,000
9,132
18,515
5,000
869
2.395
1,250
47,643
64,403
112,047
Unreslricted
Funds
Restricted Total Funds
Funds
2024
Donations
Gift Aid
Appeals, donations and pledges
City and County Councillors
Brad Foundation
5.595
22,926
5,595
28,687
7,500
3.861
5.761
7.500
3,861

Cutteslowe and District Community Association
Notes to the Financlal Statements (contlnuedj
Year ended 31 March 2025
Donatlons and legacies (conlinuedj
Unrestricled
Funds
Restricted Total Funds
Funds
2024
Grants
Oxford Cily Council
Summerlownlst Margarets Neighbourhood Forum
Tolkein Trust
Mactaggart Third Fund
Wolvercole Neighbourhood Forum
Oxlordshire Communily Foundation
St Andrews PCC
Other granls
1,950
1,950
15.000
15.000
1,250
8,750
1,250
8,750
3,700
1,101
3,700
1,100
43,521
33,873
77,393
Charitable activilies
Unrestricled Total Funds Unrestricted Total Funds
Funds
2025
Funds
2024
Room hire
21,392
21,391
15,927
15,928
Other trading activilies
Unrestricted Total Funds Unrestricted Total Funds
Funds
2025
Funds
2024
Fundraising events
3,619
3.619
1,744
1,744
Investment income
Unrestricted Tolal Funds Unreslricled Tolal Funds
Funds
2025
Funds
2024
Bank interest receivable
1,161
1,161
1,178
1,178

Cutteslowe and District Community Association
Notes to Ihe Financial Statements (conlinuedj
Year ended 31 March 2025
Expendllure on charitable activities by fund iype
Unrestricted
Funds
Reslricted Total Funds
Funds
2025
General Centre running cosls
Culteslow Seniors
Ari Glub
Dance Club
Sunnymead Minnows
ushcrafl
Summer Programme
Cammunity Larder
Support costs
76.481
10,444
5,563
1,853
86,925
5,563
1,853
15,667
15,667
3,591
3,591
1,240
1,240
77,721
37,118
114,839
Unrestricted
Funds
Restricled Tolal Funds
Funds
2024
General Centre running costs
Culleslow Senior5
Art Glub
Dance Club
Sunnymead Minnows
Bushcraft
Summer Programme
Community Larder
Support cosls
65.948
76
3,990
3,252
468
15,255
987
4,346
399
66,024
3,990
3,252
468
15,255
987
4,346
399
1,208
1,208
67,156
28.773
95,929
Independent examlnation lees
2025
2024
Fees payable to the independent exaffliner for..
Independeni examination of the Iinancial statemenis
1,240
1.040
10. Staft cosls
The lolal staff costs and employee benefits for the reporting period are analysed as follows:
2025
2024
Wages and salaries
Employer contributions to pension plans
55,793
1,330
57,123
48,819
1,174
49,993

Cutteslowe and Distrlct Community Association
Notes lo the Financial Statements (contlnuedj
Year ended 31 March 2025
10. Staff cosls (continued)
Centre Staff during the year were Slephanie Jankovic and Mariana Bujons (12 months each)
Centre Manager Stephanie Jankovic- 30 hours per week
Administralion Assistant Mariana Bujons- 24 hours per week
Seniors co-ordinator Sylvia Barker- 22 hours per calendar monlh
Arl club leader Helen Edwards- 2 hours per week in term lime
Sufflwer Programme leader Fiona Greenwood - 5 hours per week
The average head count of employees during ihe year was S (2024: 51.
No employee received employee benefits ot more than £60,000 during the year12024.' Nil).
11. Trustee remuneratlon and expenses
No remuneration or other benefits from etnployment with the charity or a related entily were
received by the truslees.
12. Transfers belween funds
Where expendilure oll a restricted fund exceeds income, the balance is covered by a transfer
from general reserves.
The detail is shown in note 19.
13. Tangible lixed assets
Fixtures and
fittings
Equipment
Toial
Cost
At 1 April 2024 and 31 March 2025
Deprecialion
At 1 April 2024 and 31 March 2025
Carrying amounl
At 31 March 2025
7.352
1.773
9,125
7.352
1.773
9.125
At 31 March 2024

Cutteslowe and District Community Association
Notes to the Financial Statements (continued)
Year ended 31 March 2025
14. Credilors: amounts falling due within one year
2025
2024
Accruals and deferred income
Other creditors
1,091
1.987
1,040
1,594
3,078
2,634
15. Pensions and other post reliremenl benefits
Defined contribution plans
The amount recognised In income or expendilure as an expense in relation to defined
conlribution plans was £1,330 (2024: £1.174).
16. Analysis of charitable tunds
Unrestrlcled funds
At
1 April 2024
At 31 March
2025
Income Expenditure
Transfers
General funds
Cenlre refurbishment
48.327
73.815
(77,721)
2,449
46,870
48,327
73.815
(77.7211
2,449
46,870
At
1 April 2023
At 31 March
2024
Incoffle Expenditure
Transfers
General funds
Centre refurbishment
45,350
4.287
62.370
(67.156)
7.763
{4,2871
48,327
49.637
62,370
(67,1561
3,476
48,327

Cutteslowe and District Community Association
Notes to the Financial Statements {contlnuedJ
Year ended 31 March 2025
16. Analysis of charllable funds (continued)
Restricted lunds
At
1 April 2024
At 31 March
2025
Incorne Expenditure
Transfers
Newsletter
Art Club
Dance Club
Seniors
Sunnymead Minnows
Family Film club
Community Larder
Room Hire Support
8ushcralt
Summer Programme
EU Grant
Warm space provision
Centre Teturbishment
150
870
(1 ,853)
833
6.599
34,422
(4,119)
{17,112)
{232}
(1,491}
2,248
17,353
1.534
3,725
3.400
(2701
(7171
3,455
2,683
4,150
5,716
13,5911
(5001
5,775
540
9,131
{721
468
8,738
40,720
10,050
15,884
(10,4431
(37,1181
64,403
(2,4491
At
1 April 2023
Al 31 March
2024
Income Expendilure
Transfers
Newsletter
Art Club
Dance Club
Seniors
Sunnymead Minnows
Family Filffj Club
Cornmunity Larder
Room Hire Support
Bushcrall
Summer Programme
EU Grant
Warm space provision
Centre relurbishmenl
76
{76)
(3,252)
{468)
(3,990)
(15,254}
3.657
334
450
12.583
12551
134
3.540
11.8141
1566)
150
6,019
566
1,534
400
{4001
1.011
987
2,531
3,070
(9871
14,3461
5,399
566
{3,070)
{J.0001
4.150
1.000
10.050
10,050
14,260
33,873
(28,7731
{3,4761
15,884

Cutteslowe and District Community Association
Notes to the Financial Statements (continuedj
Year ended 31 March 2025
17. Analysis of net assets between funds
Unrestricted
Funds
Restricted Total Funds
Funds
2025
Cur,'enl assets
Creditors less than 1 year
Net assels
49,948
(3,0781
46,870
40,720
90,668
(3,078)
87,590
40,720
Unrestricted
Funds
Restricted Total Funds
Funds
2024
Current assets
Creditors less than 1 year
Net assels
50,961
(2,6341
48,327
15,884
66,845
(2,6341
64.211
15,884
18. Related parties
No transactions with related parties were underlaken such as are required to be disclosed under
the FRS102.