RECISTERED COMPANY NUMBER: CEI 0001338 (Engllllld WAl¢$)
RECISTERED CHARITY NUMBER: 1155845
Report of the Trustees And
Unaudited FIn￿nCl￿1 Statements
for the Y¢Ar Ended 31 March 2025
for
Tenbury Transport Trust
Streets Dyke Rus¢oe Ltd
110 Corv¢ Str¢et
Liidlow
SHROPSHtRE
SY8 IDJ

Tenbury Trall5PQrt Trust
Contenls of the Financial Statemellts
for the Year lllded JA March 2025
Page
Report of the Tru$tee5
Independent Ex4rniner's Report
Statement of Flllanclal Aetlvitles
Balance Sheet
6 to 7
Notes to tht.Finan¢lal Statem¢lltS
8 to 15

Tenbllry Transport Trust
Report of the Trustees
lor the Year Ended 31 March 2025
The trustees who al'e also director5 of the charity tor th¢ purpos¢s of th¢ Compatties Act. 2006, pres¢nt their report with
the financial 5tat¢ment$ of the charity for the year ended 31 hlarch 2025. Th¢ tru,9t¢¢s have adopted the provisions of
A¢Goullting and Reporting by Cliarities: Stat¢in¢nt of Recommended Prdctice applicable to charities pr¢paring their
accounts in &G¢ordance with the Financial Reporting Standard applic(Ible in the UK and Republic of Ireland (FRS 102)
(¢ffective l January 2019).
OBJECTIITS AfiD ACTIVITIES
Obje¢tiv¢s and aim8
The purpose of th¢ Trust is to provide trallSPOrt facilities in Tenbury alld its surroiinding area for anyone whu does not
have access to adequate ot appropriate transport.
Signifieant actlvitles
The Trust provides two levels of service, One is the car service which RS designed to take p¢ople of all ages who n￿Y
have special needs or rnobility impainnents and who would otherwis¢ fLt]d it dithcult or imposi¥ibl¢ to a¢¢¢ss other forms
of transport for m¢di¢al appointments, shopping or other social occasions and the oth¢r is a njral bus setvice, currently
operatitig ov¢r four i'outes to bring people into Tettbury or take them to the local towis of Ludlow, Leominster, Hereford
alld Malvorn. We also fundraiqe at local events.
In April 2023 the trust pur¢ha5ed a wheelchair arcessible vehicle, affectionately known as 'The Wav,. This is a Ford
Tourlleo ConneGt 5 s¢4ter vehicle with a wbeelchair ramp in the rear. Il is easy io use and bas become a ￿ndamental
part of our fleet. The Wav is a proving to be popiilar with our clients, who would otherwise be unable to venture out of
their homes.
Publlc bellellt
The t￿steeS have had regard to the ￿arity Conllnission's guidallce oll public beneflt and provid¢ transport facJities for
people without adeqtlate or &ppropriate transport. This enables people to have all OPPOrtullity to attend medical
appointments, go shopping and to attend other so¢ial engagements.
Volunt¢¢rs
The n]ajority of the Tru8Vs workforee are volunteer car drivers and mini-bus drivers,
FINANCIAL REVIEW
Finallcial position
The Trust has always operated car¢ful fiscal management. The Trust has seen a signi'ficant increase in the niimber of
clients who ne¢d to use our services. The Trust has many supporters in tlie area and during 2024125 the Trust was
fortunate in that it continued to be supported by donations. All of whiLh have enabled the Triist to maintain its financial
operating position.
The Tnist has hugely increased its Gli¢nt base having invested in SOCI￿ media and advertising and up￿.aded our IT
systems to m&ke mor¢ and better use of our infrastruoture.
We have retained our School Contract and developed working partnerships with local care providers to enable us to
mailltatn and grow our operation for the foreseeabl¢ ftittwe. The Tnist now has a Facebook page and a new website.
In the year ended 31 March 2025 tot&1 inGome amounted to £84,619 (2024.. £79.888). £92,350 (2024., £96.221) was
used to defray expenses. At the start of th¢ period total fiwds brought forward were £101208 (2024:£117,541). At the
elld of the period tbis had faIlen to £93,477 (2024.. fallen to £IO1,208).
Reseryes policy
It is our policy to carry a reserve of £45,000, to be able to contillue operating tbe charity with no income fr>r & 3 month
peTiod including in the event of needing to replace a vehiGIe,
STRucfuRE, GOVERNANCE AND MANAGEMEI NT
Governing document
The ¢h&r¢ly is controlled by its governing do¢um¢uÈ, a d¢¢d of trust, and constitutes a limited cornpany, limited by
guarantee, as def￿ed by th¢ Compallies Act 2006.
Pag¢ I

T¢nbury Transport Trust
Report. orthe Trustees
for the Yellr Ended 31 MArch 2025
Th¢ charity is controlled by its gov¢rning dociitnellt, a deed of trust, and Consti￿teS a limited company, limited by
guar&Jtee, defLned by the Companies Act 2006.
Tenbury Trklnsport has beell iti operation since the l&te 1990's becoinillg a charity in 2014.
It is governed by 115 Constitution adopted in 2014 and developed hriber in 2020 to reflect the changes required of its
m#llag¢ment strLlCtiir¢. It remains however. a Charitable Inwrporated OrganisatLOn.
Reeruitment and appointment of new trnstees
Triistees are appointed or re-appointed at]nually at the at]nual general meeting.
Organisational structure
There is a tearn of five triistees, one of whom is the Chair, with a requirement for two new trustees. Their role is lo
overgee the nwlageinent and direction of the TrLlSt and three fAiJmtnistraliv¢ offiGcrs whose role is to rn￿age the day to
day ninning of th¢ OTganisation assisted by part time volunteers.
The TIl￿t has a sei'ies of policies illcluding GDPR, safeguarding and healtb and safety and is currently r¢vi¢wing the
status of its DBS holders. The Trn5t ha5 now introdiiGed consultant.
DBS checlcs are carried out betore en)ployment of all staff involved with the Tru8t irrespective of the role they hold in
t&e Tnist and these are re-checked every three years. The details of two refer¢es are r¢quired b¥fore the rol¢ is
confirmed.
rhe Trw8t has upgraded its identification badges to inGlud¢ a pioture, name and the date of DBS reThewal to support its
approach to safeguarding.
Th¢ Trust is part of the WoT¢¢Stershire C.ommut]ity Transport Consortium which links all community transport operators
along with a rep￿sentatiVe Df Worcestershire County Council.
Th¢ TrLlSt also has links witll Malv¢rn 14ills District Couu¢il and the local Town Council as well as forging partnerships
with members of the local care community.
concli￿10tt
20241202.5 brought with it many challenges but throughout the Trust has continued to move forward. supporting the
lo¢￿ ¢ou]munity and consistelltly maintaining its reputation for providing a high level of service. The Trust is
exceptionally lu¢l(y with its drivers, otYi¢¢ staff, volunteers and Éru3É¢e5 who work tirelessly to deliver the service und
maintsin oiir ¢xcellent reputation. Wtthoiit tb¢ir dodication the Trust would not exist and l am gratefLLI for the time and
effort they have given which has enabled the Trust to continue to offer such high standards of service over many years.
REFEREIYCE AND ADMINISTKITIVE DETAILS
Registered Company number
CE00083 8 (England alid Wales)
Registered CILarity nunlber
1155845
Registered office
34 Teme Street
Tenbury W¢lls
Worcestershire
WR15 8AA
Trustees
W Wbite
B C Roberts
L Taylor
E K Padwiclc
L Rickett
Page 2

Tellbury Trausport Trust
Report of the Ti'ustees
for the Yenr Ended 31 March 2025
REFEIIENCE ADID ADMINISTRATtVE DEI TAILS
Independent ExAminer
Streets Dyke Ruscoe Ltd
I l O Corve Street
Ludlow
SHROPSHtRE
SY8 IDJ
Approved by order of the board of trustees on I l Aiigust 2025 alld signed on its beba]f by:
E)T Icr
L Taylor- Trustee
Page 3

Independellt ExuDJiner'8 Report to the Trustees of
'renbury Transport Trust
Indepelldent exAminer's report to the trustees of Tenbury Transport Trust ('th¢ Company'}
I report to tlie charity trustees on my exatnillatloll of th¢ &ccoiints of the Company for the yeai. ended 31 March 2025.
ResPOtLsibilities and basis of report
As the ch&rity's triistees of the Company (￿d also its directors for the purposes of coinpany law) yoii are responsible for
the preparation of the accounts in ac¢ordan¢e with the requirements of th¢ Compallies Act 2006 Cthe 2006 Act,).
Having satisfied nyself that the a¢counts of the Company are not required lo be audited under Part 16 of the 2006 Act
and atr eligible for independent examination, I r¢port ill r¢spe¢t of my examination of your charity's a￿ount5 &5 carried
out under S¢ction 145 of the Charities Act 2011 ('the 2011 Act,). In carrying out my eXa￿inatIon I bav¢ followed the
Dir¢¢tions given by the Charity Con]mission under Section 145(5) (b) of the 201 l Act.
Independent exarniner's statement
I have Completed my exarnination. I conf￿rn that no matters have come lo my attenl'ion in connection the
examination giving me cause to believe..
accounting records were not kept in respect of the Compally as required by Seclion 386 of tb¢ 2006 A¢t' or
the accounts do nol accord with those re¢ords', or
the accoiints do not comply with the accounting requirements of S¢¢tion 396 of the 2006 Act otker than any
requirement that tlke accounts gtve R triie and fair view which is not a n￿tter co1￿ldered as part of an ind￿endellt
ex&mLnation' or
the accounts have not been prepared in accordance with Ilie methods principles of the Stst¢m¢tJt of
Recomtnended Practice for accoiinting and reporting by charities (applirable to charities prepdf5ng their accoiillts
in accordance with the Finan¢ial Reporting Stalldard appli¢able in the UK and Republic of Ircland (FRS 102)).
I have no conGerns and have coine arross no tstkner matter5 ill connection with th¢ examination to which attention skLould
be drawll in this report in order to enable a proper understanding of the accounts to be reacbed.
B E Prime
Streets Dyke Ru5Goe Ltd
110 Corve Str¢¢t
Ludlow
SHROPSHll
SY8 IDJ
Date:,..,
Page 4

Tenbury Trllnsport Trust
Statement of Financial Activilies
for the Year Li nded 31 MArch 2025
2025
u￿estrIcted
fijnd
2024
Total
nds
Notes
INCOME AND ENDOWMENfs Pi ROM
DonalAons and l¢gacies
23,371
16,918
Charitsble activities
Community transport
59,143
61,3Q8
Other trading activities
Investment in¢onJe
Other in¢om#
669
840
596
24
809
829
Total
84,619
79,888
EXPENDITURE ON
Ch2rlt#ble Activities
Conynunity transport
92.350
96.221
NET TNCOME/(EXPENDITURE)
(7,731)
(16,333)
RECONCJLIATION OF FUNDS
Total funds brought forward
101,208
117,541
TOTAL FUNDS CARIUEI D FORWARD
93,477
LOI.208
The notes forni part of these financial statementq
Page 5

Tenbuyy Tr%nsport Trust
Balance Sheet
31 March 2025
2025
Unrestri¢ted
fund
2024
Total
funds
Notes
FIXED ASSETS
Tangible assets
12
30,357
35,981
CURRELYT ASSETS
Debtors
Prep&wients and aGrrued income
Cash at bank and in hand
13
3,395
4,228
59,054
1,203
3,981
67,923
66,677
73,107
CREDITORS
Amounts falling due withill oiie year
14
{1,138)
(5,747)
NET CURRENT ASSEI TS
65,539
67,360
TOTAL ASSETS LESS CiIRREiYr
LIABILrriES
95,896
103,341
ACCRUALS AND DEFERRED INCOM
15
(2,419)
(2,133)
TT ASSETS
93,477
101,208
FIJNDS
Unrestrtcted funds
16
93,477
101,208
TOTAL FiQYDS
93,477
101,208
'rbe Gharitable rompany is entitled to exemption from &udit under SectioTh 477 of the Companies Act. 2006 for the year
ended 31 March 2025.
The rnernbe￿ have not required the company try obtain an &udit of its financial srtatements for the y¢aL ettded
31 March 2025 in accordance with Section 476 of the companies Act 2006.
The trustees acknowledge their responsibilities for
(a)
ensuring that the rlwitable Gompally keeps accounting records that L'omply Section5 3 86 and 387 ot the
Companie5 Act 2006 and
preparing finall¢ial statements which give a true and tair view of the state of aff&irs of the charitable Co￿panY as
at the end of each financial year and of its surplus or deficit for each fin￿¢(&[ year in aGGordanc¢ wilb the
requirements of Sections 394 and 395 and Nthich otheNise comply with the requirements of the Companies Act
2006 relating to financial state￿ellts, so far as applicable to the Cl￿ritable CO￿panY.
(b)
The notes form part of these financial statements
Page 6
ontinu¢d...

Tenbury Transport Trust
BalAll¢e Sheet - continued
31 March 202S
These financial statements have been prepared in awordance with the provisions applicable trj charitable companies
subject to th¢ small compallies regim¢,
The fjtLancial statements w¢r¢ approved by the Board of I'rustees alld authorised for issue on I l August 2025 and were
signed on its bebalf by..
rav
L Taylor- Ti'ustee
The notes forni parl of these financial statemellts
Page 7

Tenbury Transport Trugt
Notes to tb¢ Financlal Statements
for the Ye￿r Ended 31 M4?rch 2025
AccouTrrrING POLICIES
Basi3 of preparing the finaTreial statemerttg
The fInancial statem¢llts of th¢ ¢haritabl¢ company. which is a piibli¢ benefit entity LLnder FRS 102, have been
prepared in accordance the Charities SORP (FRS 102) 'Accounting and Reporting by Charities.. Statement
of Recomrnended Practice applicable to charities preparing their a¢¢ounts in accord￿¢¢ with the Financial
Reporting Standard applicable iii the UK and Republi¢ of Ireland (FRS 102) {effe¢tive l January 2019),,
Financial Reporting Standard 102 rhe FtnanGial Reporting Standard applicable in tkne iiK èmd Repiiblftc of
Ireland, alld tb¢ Coinpalli¢S Act 2006, Tb¢ f(nan¢ial stat¢m¢nts hay¢ been prepared under the Iiistorical cost
collventLOn.
Income
All income is reeognised in the Statement of Financial Activities once the charity has entitlement to tbe ￿nds, it
is probable that the income will be received and the amount can be measured reliably.
Exp¢ndlturt
LA*b(litieg are r¢¢ognised as expenditure as soon as there is a legal or constructive obligation comrnitting the
charily to tlnt expendtture. it is probable that a trat]sfer of economic benefits will be required in settlernent and
the amount of the obligation can be measured reliably. Expenditure is accounted for on all aGGrnals basis alld Eas
beell Gla5sifi¢d under heading5 Ihat aggr¢gate all Cost r¢lat¢d to the c&tegory. Where costs cannot be directly
attributed to particillar beadings they have been allocat¢d to ￿tivitieS on a basis ¢ot)sistent with the use of
resournes.
Tangible fixèd assets
Depreciation is provided at the following annual rates in order to write off each asset over its ¢stimat¢d usefiil
life.
Plant and n￿(hin￿?
Fixtures and fittings
Motor vehicles
Computer equipment
20 % on ci)st
150/0 on reducing balance
15 1 on redllcing balance
3301¢ on cost
Ta￿tIOn
The charity LS exempt from cory>or&tion tax on its chatitable ￿tIvItIes.
Fund aceourAtiThg
Unrestricted ￿ndS can be used in accord￿]Ce with the Charitable objectives at the discretion of the trustees.
Restricted funds can only be l￿ed for partivular restricted purposes within the objeGts of the Gharity. Restrictions
arise wh¢n sperified by the donor or when fiLnd5 are raised for p&rti¢ular restricted purposes.
Fiwther explanation of the nature and purpose of each fund is included in the notes to the financial statements.
Hire purchase and leasing commitments
Renlals paid under operatt'ng leases are oharged to the Statement of Financial A¢tivities on a straight line basis
over the period of the lease.
Pen$lon ¢ostS gud other post-retirement benefits
The oh￿ltable company operates a defined ¢ontrÉbulion pension s¢heme. Contributions payable to the charitable
ompanys pension scheme ar¢ ¢harged to the SÉ&tement of Fin￿¢la1 Activities in the period to wbich they relate.
Debtors
Debtors are amounts owed to the charity. They are measured on the basis of their recoverable amount.
Bank and cAsh in hand
Cash at bank and in hand is held to meet th¢ day to day running Gosts of the charity as they fall due. Cash
equivalents are short term, highly liquid investments, usu&lly in instant access interest bearing savings a¢COLmts.
Creditors
Pag¢ 8
continued...

T¢nbury TrNnsport Trus*
Note5 to the Financlal Stutements - contlnued
for the Year Ended 31 March 2025
ACCOUNTING POLICIES - continued
Debtors
Creditors ar¢ amowits owed by the charlty. They are measw'ed at the amouttt thp¢t ttLe ¢lwity expects to l]ave to
pay to settle the debt.
DONATIONS ALYD LEGACIES
2025
2024
Donations
Grants
Membership fees
9267
11,562
2,542
6,260
8,21 E
2,447
23,371
16,918
2025
2024
Pershore & District VolLinteer Centre grant
7,093
7,211
'rumer Trust
4,000
G E Godson Trnst
300
1,000
Bus Service Operators Grant
169
Totsl grants
11,562
9,138
OTHER TRADING ACTlVI'riKs
2025
2024
Fundraising events
669
24
ILYVESTMLFIT INCOME
2025
2024
Deposit aLcouat interest
840
809
Page 9
ontinued...

Tenbury'fransport Trust
Notes to the Financial Statements - continued
for the Year Ended 31 March 2025
INCOME FROM CHARITABLE ACUVITIES
2025
2024
Activity
Community transport
Community iransport
Community transpoi'l
Setvice contract
Far¢s
Mileage
5,807
37,219
16,LL7
7,032
37.003
17,273
59,143
61,308
OTHER INCOME
2025
2024
Sundry in¢ome
596
829
SUPPORT COSTS
Govemance
costs
Management
Finance
Totals
Community twisport
12
4,484
59,629
The￿ are no costs included witknin siindries in relation to gesknres of goodwill to volunteers. (2024: £0.00).
Support Costs, illGlude(E io the above, are as follows..
Management
2025
Cornmunity
transport
2024
Total
aGtivities
Wages
Pensions
Telephone
Postage alld stationery
Sundries
Computer costs
Training
Trav¢llillg expenses
Depr¢Giatioll of tangibl¢ kL¢ritage assets
Loss on sale of tangible fixed assets
41,418
1230
992
326
437
3,762
780
277
5,909
1,033
1,180
719
1,026
3,515
280
6,684
55,133
51,383
Page 10
continued...

Tenbury Tran5poi* 'fru8t
Notes to the Fin&ncial Statements - continued
for the Year Ended 31 MArch 2025
SUPPORT COSTS - continued
Finance
2025
Community
transport
2024
Total
a¢tivities
Bank cbarges
12
Governance Costs
2025
Community
transport
2024
Total
actLVlties
Independenl examination fee5
Professional fee5
1,506
2,978
1,151
2,972
4,484
4,123
NET INCOMEI(EXPENDrruRE)
Net incomal(exp¢nditur¢) is ststed after cbarwg/(crediting)'.
2025
2024
Dep￿CIatiOn - owncd assets
Other operating l¢ases
Deflcit on disposal of fLx¢d assets
5,909
3,300
6,684
3,300
TRUSTEES, REMUNERATION AND BENID'ITS
There were llo trustees, remiilleration or other benefits for the year end¢d 31 March 2025 llor for the year ended
31 March 2024.
Trus*.e¢s' expenses
There were no knst¢eS' ¢XP¢llses paid for the year ended 31 MarGh 2025 nor for the year ellded 31 lth.h 2024.
Expenses were reimbursed to O trustees (2024 . 0 tTU5t¢o) for travel on the charity's busines8.
io.
STAFF COSTS
2025
2024
W74ges and salaries
Other pension costs
41,418
1,230
36,946
1,033
42,648
37,979
Ihe average monthly number of employees during the year was as follows;
2025
2024
Part Ilme staff
No employees received emoluments in excess of £60,000.
The full time equivalent is estitnated to be 2 (2024 . 2)
Page 11
continued...

Tenbury J'ran&port Trnst
Notes to Éhe Financial Stlltem¢nts- coThtinu¢d
ror the Year Ended 31 March 2025
io.
STAFF COSTS- eontlnued
The Trust consider5 Its Icey mallagem¢Tht personllel comprise the trustees & the offLce manager. The total
employn]¢nt benefits including employer pension contributions of th¢ key management personnel were £15,054
(2024 £13,186).
ii.
COMPARAIIVES FOR THE STATEMENT OF FINANCL4L ACTIvrrIES
Unrestricted
fund
INCOME AND ENDOMThENfs FROM
Donations and legacies
16,918
Charitsble aetivities
Community transport
61,308
Other trading. aGtiviti¢s
InvesttDent income
Other income
24
809
829
Total
79,888
XPLNDITURE ON
Chsrlt#ble activities
Community transport
96,221
NLT INC0MEI(EXPEND￿)
{16,333)
RECONCILIATION OF FUThDS
Tot21 fimds brought forward
117,541
TOTAL FUNDS CAIUIIED FORWARD
101,208
P8ge 12
¢ontinued...

Tellbury Transport Trust
Notes to the Fin%ncial Statements - continued
for the Year Ended 31 March 2025
12.
TANGIBLE ThIXED ASSETS
Fixtures
and
fittings
Plant and
machillery
MotOT
v¢hi¢l¢s
Compiiler
equipment
Totals
COST
At I April 2024
Additions
Disposals
471
120
140
46,995
3,315
L67
(222)
50,921
287
(222)
At 31 Marct] 2025
591
140
46,995
3,260
50,986
DEPRECIATION
At l April 2024
Charge tor year
Eliminated on disposal
49
118
54
5,087
13,169
1,668
704
(220)
14,940
5.909
(220)
At 31 March 2025
167
5,141
13,169
2,152
20,629
NET BOOK VALUE
At 31 March 2025
424
(5,001)
33,826
1,108
30,357
At 31 March 2024
422
86
33,826
1,647
35,981
13.
DEBTORS.. AMOUNTS FALLING DUE WITHIN ONE YII AR
2025
2024
Trade debtors
3,395
1,203
14.
CREDITORS: AMOUNTS FALLING DUE WIT.HIN ONE YEAR
2025
2024
Trade creditors
1,138
5,747
15.
ACCRUALS AND DEI FERRKD INCOME,
2025
2024
Accruals and deferred income
2,419
2,133
Memb¢rsbip iu¢ome has b¢¢ll def¢rr¢d as this 18 paid on a 12-month rolling basis from joitting. D¢f¢rred inGom¢
for the currentyear £1,220 (2024 £1,172.50).
Page 13
conÉinued...

Tenbury Transport 'Trust
Notes to the 14inan¢i41 Statements- contlnued
for the Year Ended 31 March 2025
16.
MOVEMENT IN FUNDS
Net
movetnent
in funds
At
3l.3.25
At 1.4.24
Uiirestricted funds
General fund
101,208
(7,731)
93,477
TOT.AL FUNDS
101,208
(7,731)
93,477
Net mr)vement in funds, included in the above are as follows:
Incotning
resources
Resources
expended
Movement
in ￿ndS
Unrestrlcted funds
General fulld
84,619
(92,350)
{7,731)
TOTAL FUNDS
84.619
(92,350)
(7.731)
Comparatives for movement in fullds
Net
movement
ill fiinds
At
31,3.24
At 1.4.23
Unrestricted funds
General fund
117,541
(16,333)
LOI,208
TOTAL FUNDS
I l7,541
(16,333)
101,208
Comparative net m()v¢ment ill fALnds, included in the above are follows..
Incoming
resources
Resources
expended
MoveEnent
in fimds
Unrestricted funds
General fund
79,888
(96,221)
(16,333)
TOT AL FUNDS
79,888
(96,221)
(16,333}
Pag¢ 14
continued...

Tenbury Trnnsport Trust
Notes to the Financial Statements - continued
ror the Year Elided 31 Mai'ch 2025
16.
MOVEMENT IN FUNDS - ¢ontinued
A ciirrent year 12 months and prior Ye￿ 12 months combined position L5 ￿ follow8:
Net
movement
in funds
At
31.3.25
At 1,4,23
Unrestricted funds
General ftind
117,541
(24,064)
93,477
TOTAL FLTrIDS
117,541
(24,064)
93,477
A Cu￿ent year 12 months and prior year 12 month8 combined net mov¢mellt in funds, included in the above are
at> follows..
Incoming
resources
Resources
expended
Movement
iu fiinds
Unrestrieted funds
General fund
164,507
(188,571)
(24,064)
TOTAL FUNDS
164,507
(188,571)
{24,064)
All funds are held in & General i￿￿¢Stri¢tea fund and are availabl¢ to use in accordance with the ch￿itable
activiti¢s at the disGr¢tion of the trustees.
17.
RF,LATLD PARTh DISCLOSURES
There were no related party transactions for the year ended 31 m￿ch 2025.
Page 15