BUSINESS
ADVISORS
&ACCOUNTAp¥rs
The Henry Gilder Drake Charity
Financial Statements
For the Year Ended: 31 March 2025
Registered Charity No: 1157467

THE HENRY GILDER DRAKE CHARITY
CONTENTS OFTHE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Report of the Trustees
Independént Ex•mlnees Repart
Statement of Flnandal Actl¥ltl8s
Balance Sheet
Note5 to tho flnjnd￿ 5tJt•m¢nts
7 to 16
Detslled St•ternent of Flnand•l Actl¥hles
17

THE HENRY GILDER DRAKE CHARirY
REPORT OF THE TRUSTEES
FOR THE YEAR ENOED 31 MARCH 2025
The Trustees present their report alon8 wlth the financial ststements of the dwrtty forthe year ended 31 March 2025.
The trustees have adopted the provisions of the Ststement of Recommended Practlce ISORPI. "Accounting and
Reporting by Charities. in preparing the annual re￿rt ind financial statements of the charity.
The financial statements have been prepared In accordance with the accountlng policles set out In notes to the
ccounts on pa8es 7 to 9 and compty wlth the charivs 8overnln8 documenL the Charttles Act 2011 and Accountlna
and Reportin8 by Charltles: Statern￿t of Recommended Practlce applicable to tharlties preparin8 thelr accounts In
accordance wlth the Flnanclal Reportln8 Standard applkable In the UK and Republlc of Irdènd publlshed In October
2019.
OBJECTIVES AND AcmnnES
Objertlves and Jlms
The objects of the Charfty are. for the publlc benefit:
l. the provlslon of soclal hOu￿n8 In the forni of almshouse accommodation and assoclated amenltles for poor persons
who shall be resident In the parishes of Althome. LatchlnAdon. Mayland and Southmin5ter at the tlme of
appolntment:
and
2. In relatlon to any property or propertles ocqulred w bullt by the charlty trustees after the date of adoptlon of thls
constltutbon the prov151on of s(Klal hou4n8 in the form of almshouse accommodatlon and assoclated amenltles for
poor persons who shall be re￿dent In the area of benefit at the tlme of appolnlment (Y has ¥ c105e famlly member
who Is resldent In the orea of benefft.
The arej of benefit means the Den8le Hundred Parishes. beln8 the Parlshes of Althorne, Asheldham and Dengle,
8radwelI￿n-sea. Cold Norton. Latchln8don. ma￿and. Mur￿L￿. North Farnbridge. Puflel8h. St Lawrence,
Southmlnster, nlllngham. Woodham Walter, Woodham MortlmLY wlth Hazelel8h 8urnham-on-Crouth and Maldon.
Appllcatlon of Income
The nel Income shall be applbed first to repalr, Insure and meet all othpJ outgdngs In respect of the Charlt¢s
propertles and all proper costs of the CharlV5 admlnistratlon and management. Thereafter net Income shall be
applled for the benefit of the almspecple of the Charfty.
Sl8nlficant artl¥ltles
The Charity currently provldes and rnaintalns sbxteen almshouse5 and Its alm Is to utlllse these as far as posslble to
meet the objectlves of the Charity.
Publlc benefit
These actSvltles Jre consldered to be for the publk b￿efit and In runnin8 the Charlty the Trustee5 have rwrd for the
Charity Commlsslon 8uldance on public benefit.
ACHIEVEMENfs AND PERFORMANCE
Charltable actlyltles
The trustees contlrwe lo throu8h the findlngs of the quinquennlal surdeyor. The tnjstees are now refurbSshln8
kltchens and wet rooms vthen prapertles become vacant to avoid disturbance to the current community.
Ihe chJrlty has ¢omplled wlth the Houslng Omtsudsman's Crynplaints Handlin8 Code throu81￿Ut the year and has
submitted a self-assessment report ctrdefinz the perknd 1st April 2024 to 31st Marth 2025. a copy of whlchls available
on request. During the year ended 31st March 2025 we ret￿yed no formal complalnts. and no cases were feferred
to the I1￿ependeftt Housing Ombudsman.

THE HENRY GILDER DRAKE (IIARirY
REPORT OF THE TRUSTEES
FOR fHE YEAR ENDED 31 MARCH 2025
FINANCIAL REVIEW
Flnandal posltlon
The Charltrfs flnancial positlon Is as set out In the Balance Sheet on page 6 and is considered sa￿Sfactory.
Reser￿ pollcv
The Charltvs pollcy on reserves Is to malntsln suffldent reser¥￿ to enable the tharlty to contlnue lo achleve Its
prfncipal obJectlve5.
FUTURE PLANS
The trustees are commltted to Improvlng the current hou51ni stotk $0 that It wlll contlnue to meet the objects of the
charlty.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Governlng document
The Charlty Is governed In a¢cordance ¥hth J consthutlon daied 13 June 2014 as amended by wrltten resolutlon dated
15 July 2017, 4 Januory 2025 and 9 Aprll 2025.
Rttrultment and appolntment ol n•¥ tryst
As vacantles for Trustees arlse èppllcatlons are sOU8ht from potentlal candldaies known to the Trustees and other
sultable local people. Appllcants are ihen con51(lered by the Tntstees and appolntments made by resolutlon of the
Trustees.
Organlsatlanal structure
Day to day admlnlstratlon of the Charlty Is carrled out by the Clerk who reports to the Trustees.
Inductlon •nd tralnlntof nèw truste•s
New Trustee5 are briefed by the aerk and the e￿SlIng Trustees on the hlstory and arthrflles of the Chèrlty. They are
prov5ded wlth a copy of the Charrty Commi55ion publicatk*n Yhe Essentlal Trustee" detallln8 thelr responslbllltles and
provldln8 8uldance on belng a Trustee. New Twslees are provlded wlth a copy of the Charlty Scheme and the latest
accounts.
Rel•ted partles
There are no other charlties related to The Henry Gllder Drake Charlty. The aerk to the Charlty Is also aerk io other
almshouse charltles.
Illsk mana8ement
The trustees have a duty to Identlfy and revlew the rlsks io whlch the d￿rIty Is exposed and to ensure •ppropriate
controls are In place to provide reasonable assurance a8aln5t fraud and error.
Throuth the employment of professional ad4ry50￿ the Trustees sfftk to ensure that ?11 of the Charlvs management
and decision making processes take full account of. and COm￿Y wbth. rdevant legislation and regulatory control5.
Insurance Includlng pr¢Jperty ownership and public liablllty Is reassessed annuallv.
REFEREN￿ AND ADMINisfRATIVE DEfAILS
Re8iStered Charity number
1157467
Prlnclpal •ddress
286 Mer5ea Road
Cdchester
E55ex
C02 8QY

YHE HENRY GILDER DRAKE CHARITY
REPORT OF THE TRUSTEE5
FOR THE YEAR ENDED 31 MARCH 2025
Trustee5
P Davey Iresi8ned 4111251
air R Boyce Iresigned 514125}
Ms P Channer
Ms C Fisher {resi8ned 4111251
Ms J Hawke5 (reslgned 5141251
R Pratt, Chair
Mrs J Jeffery
B Noye
T Fittock lappolnted 12110124}
Mrs L Haywood lappointed 4111251
Independent Examiner
Simon Welllng
TCGroup
Accountants
Town Wall House
Balkeme Hlll
Cokhester
Essex
C03 3AD
Sollcltor5
Anthony Collins Soltcitors LLP
134, Edmund Street
Blrmingham
83 2ES.
Clerk to the charlty
Alison Smith
286 Mersea Road
Colchester
Essex
C02 8QY
Bankers
Natwest
36 High Street
Maldon
Essex
CM9 5PW
Approved by order of the board of trustees on 4 October 2025 and slgned on its behalf bv..
R Pratt
Trustee

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
THE HENRY GILOER DRAKE CHARITY
Independent examlner's report to the trustees of The HenryGllder Drake Charlty
I report to the charity trustees on my examination of the accounts of The Henry Gilder Drake Charlty {the Trust) for
the year ended 31 March 2025.
Re5ponslbllltles and basis of report
As the charity trustees of the Trust you are respon￿ble for the preparatton of the accounts in accordance wlth the
requirements of the Charities Act 20111'the Act'l.
I report In respect of my examinatlon of the Trust's accounts carrled out under Sertion 145 of the Act and In Carrylng
out my examination I have followed all applicable Dlrertions glven by the Charity Commission under Section 145151{bl
of the Act.
Independent eyamlnels statement
I have Completed my examinatlon. I confirm that no material matters have come to my atterttion in connection with
the examlnatlon glving me cause to believe that In any materlal respert:
accountlng records We￿ not kept In respect of the Trust as required by Sectlon 130 of the Act,. or
the account5 do not accord wth those record5; or
the accounts do not comply wlth the appllcable requirements concernlngthe form and content of accounts set
out In the Charitles (Accounts and Reports) Regulations 2008 other than any requirement that the accounts
give a true and fair view whlch is not a matter consldered a5 Part of an independent examlnatlon.
I hève no concerns and have come across no other matters in connection with the examination to whlch attentlon
should be drawn in thls report in order to enable a proper understanding of the accounts to be reached.
Slmon Welllng
Certified Accountsnt
TC Group
Accountants
Town Wall House
Balkerne Hill
Colchester
Essex
C03 3AD
13 Ortober 2025

THE HENRY GILDER DRAKE CHARITY
STATEMEKf OF FINANCIAL AcnvmES
FOR TrIE YEAR ENOED 31 MARCH 2025
2025
fotsl
lunds
2024
Totsl
funds
Unrestricted ReStrIrt￿ End0wrn￿t
funds
funds
funds
Notes
INCOME AND ENDOWMENIS
FROM
Charitable artlvfties
Almhouse acti¥ity
107.143
107,143
52,038
Investment income
Other Income
Introduction of funds
10.037
10372
4,160
2.633.377
Total
117.180
117,415
2.689,57S
EXPENDrruRE ON
Chirltable activities
Almhouse activity
81.111
.111
25.049
36.069
36304
2.664.S26
Net gain5 on Investments
s￿14
8.619
NET INCOME
41￿83
41.968
2.673.145
Olher recognlsed gainsl{losses)
Galns on rewdluatlon of flxed
assets
81.123
.123
47.624
Net movement In funds
41￿83
SI￿08
I23￿91
2,720.769
RECONCIUAnoN OF FUNDS
Total fvnds brought fopward
286A22
671529
1.761A18
2.720.769
TOTAL FUNDS CARRIED
FORWARD
328005
671529
IA43326
2W3
2.720.769
CONnNUING OPERATIONS
All Income and expenditure has arlsen from conYnuln8 activities.
The notes fom part ofthese ffinancial stateN*nts

THE HENRY GILDER DRAKE CHARir(
BALANCE SHEET
31 MARCH 2025
2025
Total
funds
2024
Total
funds
Unrestrlcted
funds
Re5trlcted
funds
Endowment
funds
Notes
FIXED ASSETS
Tangible assets
Investments
672,529
1,837,385
5,941
2.509,914
2,428,791
183,531
io
208,689
20&689
672,529
1.843326
2,724,544
2.612.322
CURRENT ASSET5
Debtors
Cash at bank
li
4,775
124 191
4.775
124,191
2,664
111,201
128.966
128,966
113.865
CREDITORS
Amounts fallln8 due vAthln one
year
12
{9,6501
19,6501
{5,4181
NET CURRENT ASSETS
119 316
119.316
108,447
TOTAL ASSETS LESS CURRENT
LIABILITIES
328,005
672,529
1,843.326
2,843,860
2.720,769
NET ASSETS
328,005
672,529
2,843,860
2.720.769
FUNDS
Unrestrlcted funds
Restrlcted funds
Endowment funds
13
3Z8.005
672,529
1,843,326
286.422
672,529
1,761,818
TOTAI FUNDS
2,720,769
The flnanclal statements were approved by the Board of Trustees and authorised for Issue on 4 October 2025 and
were s18ned on Its behalf by;
R Pratt
Trustee
J Jeffery
Trustee
The notes form part ofthese flnanclal statemerns

THE HÉNRY GILDER DRAKE CHARITY
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENOED 31 MARCH 2025
TRANSFER OF ENGAGEMENTS
With effert frorn l October 2023 the activities, assets and liabilitles of The Henry Gllder Drake Charity (Charlty
Registration Number were 2112881 were transferred to th[5 Charity.
ACCOUNTING POLICIES
Basis of preparlng the flnanclal statements
The financlal statements of the charity, which is a public benefit entity under FRS 102. have been prepared In
accordance with the Charities SORP IFRS 1021 'Accountin8 and Reporting by Charltle5: Ststement
ofRecommended Practlce applicable to charStles preparing their accounts in accordance wlth the
FinancialReportin8 Standard applicoble in the UK and Republlc of Ireland IFRS 102) (effective l January 20191,,
Financial Reportlng Standard 102 The Hnanclal Rep)rtlng Stsndard applioble in the UK and Republic of
Ireland. and the Charltles Act 2011.
The financlal statements have been wepared under the h15torlcal cost conventlon. with the exceptlon that
housing pmperties are included at voluation and investments whith are Induded at market value.
For the purposes of presentation the financial statements are rounded to the nearest pound Sterli￿ (£1 and
are inclusive of Value Added Tax.
Whllst this charity is a Registered Provider of Social Housln& followlng the issue of new SORPS for both
Charities and Registered Providers appllcable for accountlng perlods commencing on or after l January 2015.
these accounts are prepared in attordance with the applicable Charity SORP IFRS 1021 since its principal
actlvltles are not governed bythe Landlord and Tenants Act 1985 and are for charitable purposes.
Fund Accountlng
Restricted funds are funds received by the Charity for a specific purpose and can only be used for that purpose.
Unrestricted funds are available to spend on actlvltles that further any of the purposes of Charity. Designated
funds are unrestrirted funds of the tharity whlch the trustees have decided at their dlscretion to set aslde to
use for a speclfic purpose. Permanent endowment *unds are non*xpandable funds which are nomially held
Sndefinitely.
Golng Concern
The accounts are prepared on a going concern basis as there are no material uncertainties about the Charity's
abllityto contlnue.
Income
All income is recognised In the Statement of Flnancial Actlvltles once the charity his enlitlement to the funds.
it is probable that the income will be recaved and the amount can be measured reliably.
Income from government and other grants. whether 'eapitsl' grants or 'revenue' grants, is recognised when
the Charity has entitlement to the funds, any performance conditions attached to the grants hove been met, It
Is probable that the income will be recelved and the amount can be measured reliably and 15 not deferred.
For legacies, entltlem&)t is taken as the earlier of the date on whlch elther.. the Charity is aware that probate
ha5 been granted. the estate has been finallsed and notlfication has been made by the executorlsl to the
Charity that a distribution will be made. or when a dlstrlbution is received from the estate.
Donations and other voluntary income are reflected In the accounts for the period In wFilch they are received.
Donations In klnd ère recoEnlsed by the Charity when received except In the case of seNlces provlded free or
undervalue by voluntary staff or others which are not refiected in the accounts.

THE HENRY GILDER DRAKE CHARiri
NOTESTO THE FINANCIAL STATEMENTS- contlnued
FOR THE YEAR ENDEO 31 MARCH 2025
ACCOUNTING pouaES- continued
Interest Receivable
Interest On funds held on deposit Is Included when receivable and the amount can be measured reltably by the
Charity- thls15 nomially upon notification of the interest paid or payable by the 8ank.
Expendlture
Llabilities are reco8nlsed as expendlture as soon as there is a leyl or constructlve obll8atlon commlttlng the
charlty to that expendlture, il 15 probable that a transfer of economic benefits wfjll be requlred In 5etilement
and the amount of the obllgatlon can be ff*asured ￿liab￿. Expendlture Is actounted for on an accruals basls
ènd has been classlfled under headlngs that a8gregate all cost related to the cate80ry. Where costs cènnot be
dlrectly attributed to partlcular headlnas they hove been ollocated to artmtles on a basls tonslstent wlth the
use of fesour¢es.
R4p•lrs and Malnten4n¢¢ of Prop*rtl•s
The charges In the Slalement ot Flnanclal Actl4tytie5 In respect of fjrllcal malntenance and extraordinary
repalrs reflect the Trustees, constant concem to keep ihe propertles In good condltlon, and are In accordance
wlth the Almshouse Associations, recommendation that Almshouse Charltles should set aslde each year
speclfic sums In thls respert. Transfers are made from the Revenue Reserve each year to the Extraordlnary
Repalr Reserve to cover extraordinary repalrs as they arlse and to the Cydleal Malntenanee Reserve to cover
repalfs whlch arlse on a cy¢ltfal ba￿5.
Support Costs
The Charlty's governance costs are èllocated entlrely lo the Almshouse C05ts since sUPPOrt Costs relatlng to
other activitles are consklered Immatwlal.
T•n8lble flxed assets
Houslng Propertles
The housln8 propertles are Induded In the accounts at thelr Insurance relnstatement value. Addltlons after
each revaluatlan ore Included at cost untll a furtlw revaluation.
The ¢ost of refurbishment and Improvemen15 to the ex￿tIng pToperty are wrltten off to the Revenue Reserve
as Incurred. Any major Improvements or extenslons to ihe property are ca￿￿lIsed.
Re4aluatlons are perfomed with sufficlent regularlty to ensure that the carrying amounts are not materlally
mSsststed.
Investments
Investments are shown on the Balance Sheet at thelr market value. Chanles In market value durln8 an
accountln8 perlod are reflèrted In the actounts as unreallsed 88lns or losses. Upon disposal of an investment
the dlfference between orlginal cost and disposal proceeds Is refiected In the accounts as a reallsed gain or
loss and an ad￿stment Is made to unre¥llsed iains ly losses to rev¥se unreallsed movements In value in
earller years.
Debtors
Contrlbutlons and other debtors are retognised at the settlement amount due. Prepayments are valued at the
amount prepaid net of any trade discounts due.
Cash at Bank and In Hand
Cash at bank and cash in hand includes cash and short temi highly liquid investments wth a short maturity of
three ff￿nths Qr les5 from the date of acquisition or openin8 of the deposit or similar account.

THE HENRY GILDER t)RAKE CHARITY
NOTES TO THE FINANCIAL STATEMEp¥fs- continued
FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNnNG pouaES- conllnued
Crerfitors and Provl*ons
Creditors and provisions are recognised %4there the tharity has a wesent obllgation resulting from a past event
that wlll Probab￿ result in the transfer of furKls to a third party and the amount due to settle the obligation
can be measured or estimated rdlably. Creditors and provi%on5 are nomially recognised at thar SettleM￿t
amount.
Ta￿a￿on
The charity is exempt from tax On its tharitable adi4ryties.
INVESTMENT INCOME
2025
2024
Accumulated share dbNidends receivable
COIF dewsit acccvjnt Interest recwdble
Rent receivable- ground rent
8,570
3.223
837
10,272
4.160
For year ending 31 March 2025 accumulation share dmdends have been accounted for as investment
additlons and (nvestrnent income. The Cofnparative amounts for the year ended 31 March 2024 have been
reclassffied to reflect the actumulation share diV￿￿endS.
For the year ended 31 March 2024 the totsl investff*nt income has increased from £938 to É4.160 with the
net galns on Investments reduang from £11.841 to £8.619. refietting the total accumulation share dividends
recelved of £3.222.
INCOME FROM CHARrrABLE AcnvmES
2024
Almshouse acbbity
Contrlbutions recelvable
Losses from Volds
110,731
3.588)
S2.038
107,143
52,038
Direct
Costs (see
note 61
Support
costs (see
note 71
Totals
Almhouse attiityty
S2￿23
81,111

THE HENRY GILDER DRAKE CHARITY
NOTES TO THE FINANCIAL STATEMENTS- wntlnued
FOR THE YEAR ENDED 31 MARCH 2025
DIREcf COSTS OF CHARITABLE AcfiviTIES
2025
2024
Vacant property costs
Insurance
Repalrs and maintenance
Cycllcal repairs
Extraordlnary repalrs
Gardenlne
Careline
Sundry expenses
8ad debts wrftten off
750
1,838
7,492
12,004
19,819
9,215
1,173
637
908
1,593
1,246
6,176
586
354
13681
52,928
10.495
SUPPORT cosrs
Governan
costs
Management
Totals
Almhouse actlvlty
26,203
1,980
28,183
Support costs, Included In the above. are as follows..
2025
Almhouse
activity
2024
Total
activities
Clerk fees
Legal and professional fees
Subscriptlons
Independent examination fees
Accountancy fees
22,697
7.824
4,812
160
222
1.536
410
270
1.710
28.183
14.554
TRUSTEES. REMUNERATION AND BENEFITS
There were no trustees, remuneratlon or other benefits for the year ended 31 March 2025 nor for the year
ded 31 March 2024.
Trustees, expenses
There were no trustees. expense5 paid for the year ended 31 Marth 2025 nor for the year ended
31 March 2024.
-io-

THE HENRY GILDER DRAKE CHARITY
NOTES TO THE FINANCIALSTATEMENTS- contlnued
FOR THE YEAR ENDED 31 MARCH 2025
TANGIBLE FIXED ASSET5
Housin8
propertles
cosr OR VALUATION
At l Aprll 2024
Revaluatk)ns
2,428,791
At 31 March 2025
2,509J14
NET BOOK VALUE
At 31 March 2025
I￿09,914
At 31 March 2024
2.428,791
The hou51n8 propertles are Stated at valuati￿, beln8 at th*r Insurance relnstatement value as at 30 June
2025 of £2.509.914. whlth the tnjstees consldered io be the value as at 31 •Aarch 2025.
Cosi or valuatlon at 31 Marth 20251$ represented by:
Houslni
propertles
Valuatlon In 2024
Cost
1,036,904
1473 010
2,509,914
io.
FIXED ASSEf INVESTMENTS
Usted
Investments
MARK￿ VALUE
At l Aprll 2024
Additions
Revaluatlons
183,531
25,435
5,664
At 31 March 2025
NET BOOK VALUE
At 31 March 2025
214.630
At 31 March 2024
183,531
There were no Investment assets outslde the UK.
-li-

ThE HENRY GILOER DRAKE CHARITY
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 MARCH 2025
io.
FIXED ASSET INvEsfMENTS- contlnued
Cost or valuatk)n Jt 31 March 2025 Is rwesented by:
Llsted
In¥e5tment5
Valuatlon In 2024
Cost
88,166
126,464
ii.
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
21125
2024
ContrSbutlons In arrears
Other debtors
Prepayments and accrued In¢￿￿e
3,531
200
1.477
300
887
4,775
2,664
12.
CREDITOR5: AMOUNTS FAWN6 DUE WITHIN ONE YEAR
2025
2024
Contributlons re¢dved In advance
Other credltors
Attfua15 and deferred Income
3,221
1,599
1,228
2.591
5,201

THE HENRY GILDER DRAKE CHARITY
NOTES TO THE FINANCIAL STATEfrAENTS- continued
FOR THE YEAR ENDED 31 MARCH 2025
13.
MOVEMENT IN FUNDS
Nel
ernent
infvnds
Transfers
bet¥Ren
funds
At
313.25
At 1.4.24
Unrestricted funds
Cydlcal Maintenance Reser
Extraordinary Repair Reserve
Building Fund Reserve
Revenue Reserve
56.746
{9.1481
16,704
10224
64.302
55,978
161,403
46322
153,098
33￿09
8305
39.741
1269281
286822
41￿83
328,005
Restrirted funds
Atthorne Social HousinE Grant Fund
Southminster Social Housing Grant Fund
Southminster Maldon DC Grant Fund
181,345
291,761
199A23
181.345
291.761
199,423
6n529
674529
Endowment lunds
Permanent Endowment
Houslng Property Revaluation ReseThe
806,037
955.781
806A22
I￿36,904
81,123
L761A18
81,508
1,843,326
TOTAL FUNDS
2.no.769
123,091
2￿3￿60
Net movement in fvnds. included in the abthE are as follows:
Incomlng
iesources
Resources
expended
Gains and
losses
Movement
in funds
Unrestricted fund5
Cyclical Maintenance Re5er¥e
Extraordinary Repair Rese
Building Fund Reserve
Revenue Reserve
(ll,0041
19,148)
2,685
8,305
108
69,1071
117.180
(81.1111
5,514
41.583
Endowment funds
Permanent Endowment
Housing Property Revaluauon Re5er¥e
150
81,123
,123
235
81,273
81,508
TOTAL FUNDS
117fv15
{81,1111
86,781
123,091
-13-

THE HENRY GILDER DRAKE CHARfTY
NOTES TO THE FINANCIAL STATEMENTS- conllnued
FOR THE YEAR ENOED 31 MARCH 21)25
MOVEMENT IN FUNDS- contlnued
Comparailves for movement In fuThd5
Net
Transfer5
At
31.3.24
At 1.4.23
Sn funds
funds
Unrestrlcted funds
Cydlcal Malntenance ReseThe
Extraordinary Repalr Reserve
BulldlnB Fund Reserve
Revenue Reserve
SO.674
33.900
141.098
6,072
9.169
12,000
27,2411
56,746
43,069
153,098
33.509
286.422
286,422
Restrkted lunds
Althorne Soclal Housln8 Grant Fund
Southmlnster Soclal Housln8 Grant Fund
Southmlnster Maldon DC Grant Fund
1,345
291,761
199.423
181.345
291.761
199,423
671529
672.529
Endowmént funds
Permanent Endowmenl
Housln8 Property Revaluatlon Reser4e
a06,037
955.781
806.037
955.781
1.761,818
1,761,818
roTAL FUNOS
2,720,769
2.720.769
-14-

THE HENRY GILDER DRAKE CHARITY
NOTES TO ThE FINANCIAL sfATEMENTS- tontinued
FOR THE YEAR ENDED 31 MARCH 2025
MOVEME1￿ IN FUNDS- u)ntlnued
Comparati¥e net movement In funds. induded in the above are as follow5:
Incomlng
resourtes
Res￿IceS
expended
Gain5 a￿1
losses
Movement
In funds
Unrestrlcted funds
Cydical Maintenance ReseThe
Extraordinary Repair Reserve
8uildin£ FurKI Reserve
Revenue Reserve
53.795
31.646
137,293
80.427
{5,3721
2,251
2254
SO,674
33.900
141,098
60.750
{19.677)
303,161
(25.0491
8.310
286.422
Restrkted funds
Althorne Sc¢lal HOU￿n￿ Grant Fund
5outhminster Soaal Hou￿ng Grant Fund
Southminster Maldon tK Grant Fund
181,34S
291.761
199.423
181.345
291.761
199.423
672.529
672,529
Endowment funds
Pem)anent Endowment
Houslng Property Rwdluatlon Reser+
805.728
908,157
806.037
955,781
47,624
1.713.885
47.933
1,761818
TOTAL FUNDS
2.689.575
125,049}
S6.243
2.720.769
Funds and Reser
Permanent Endowment
The Permanent Endowment is rewesented by the equity in the housin8 properties and the Permanent
Endowment investments. Changes in the net book value of the housing propertles are reflected in the
Pemianent Endowment by a transfer from or to the Revenue Reserve or other reserves. as far as posslble. of
an am¢)unt equal to the change In the accounting period. The fund is non*xpendable.
Houslng Proputies Revaluation Rese
The Housing Property Revaluation ReseNe is permanent end0VJTr￿nt of the tharity and is represented by the
dlue of housing propertres revaluation £ain
Althorne Sodal Houslng Grant FUMI
The AFthorne Social Housing Grant Fund is a restricted fund and represents the grant received of £181,345 in
ts)nnectton with the housing woperty rerM)vations at Althome. Esse
Southmlnstw Sodal Hou￿n8 Grant Fund
The Southmlnster Soclal Houslng Grant Fund Is a restricted fund and rep￿ents the grant received of £291.761
in connection with the buildlng of the housing properties atsouthminster. Esse

THE HENRY GILDER DRAKE CHARiri
NOTES TO THE FINANCIAL STATEMEp¥fs- Continued
FOR THE YEAR ENDED 31 MARCH 2025
13.
MOVEMENT IN FUNDS- continued
Southmlnster Maldon Dlstrlct Coun¢ll Grant Fund
The Southminster Moldon District Council Grant Fund is a restrlcted fijnd and represents the grant recelved of
£199.423 In connectlon wlth the bulldlng of the housing propertles at Southminster, Essex.
Cydlcal Malntenance Reserve
The Cyclical Maintenance Reserve is unrestritted but designated by the Trustees to cover the cost of cyclScal
malntenance as It arlses. A transfer to the Fund is made each year from the Revenue Reserve of a speclflc
amount agreed by the Trustees.
ExtraordlnaryRepalr Reserve
The Extraordinary Repair Reserve is unrestricted but designated by the Trustees to cover the cost ol
extraordlnary repalrs as they arise. A transfer to the Fund is made each year frorn the Revenue Reserve of
speclflc amount agreed by the Trustees.
Bulldlng Fund Reserve
The Building Fund Reserve is an unrestricted fund designated by the Trustees to make provision for new
accommodation for the benefic5al class of the Charity in the future. A transfer is made from the Revenue
Reserve each year to the Building Fund Reserve, thls is a speofic amount a5 agreed by the Trustees each year.
Revenue Resehve
The Revenue Reserve represents accumulated surpluses of the Charity and is unrestricted and available for the
8eneral purp05e5 of the Charity.
14.
RELATED PARfi DISCLOSURES
During the current financlal year the charlty used the seThlces of a plumbing and heating buslness In respect of
works to its housing properties. One of the trustees Is the spouse of the proprietor of the plumblng and
heating business. Tran5actlons were carried out under the normal course of buslne55 and total fees amounted
to £1.746.
LEGISLATIVE PROVISIONS
The Charlty Is reBiStered with the charity Commission as a Charitable Incorporatlon Organlsation, the
Regulator of Soclal Housing loriBinally the Housin8 Corporation) os a Registered Provider of Social Housing and
with the National A550ClOtion of Almshouses as o Registered Almshouse Charitv.
-16-

THE HENRY GILDER ORAKE CHARITY
DEfAILED STATEMENT OF ANANCIAL AcnviTIES
FOR THE YEAR ENDED 31 MARCH 2025
2025
2024
INCOME AND ENDOWMEK
Investment Income
Accumulated share dlvidends recelvable
COIF deposit attount interest recelvable
Ilent recelvable- 8round rent
8.570
3.223
837
4.160
Charltable acthAtles
Contribution5 receivable
Losses from vokds
110,731
52.038
107,143
52.038
Other In¢ome
Introdurtlon of fvnds
2,633,377
Total Incomln8 resources
117A15
2,689,575
EXPENDrruRE
Charltable artl¥411es
Varant property C05tS
Insurance
ftepalrs and malntenance
Cytlltal rèpalrs
Éxtraordlnary repalrs
Gardenln8
C•rellne
Sundry expenses
Bad debts wrltten off
750
908
1.593
1,246
7.492
19.819
9.215
L173
637
6,176
586
354
3681
51928
10,495
Support costs
Management
Clerk fees
Le8al and professional fees
Subscrlptlons
2l697
3,096
410
7.824
4.812
160
26.203
12,796
Governance costs
Independent examlnatlon tees
Accountancy fees
270
1,710
222
1.536
1,980
1,758
Total resources expended
8LIII
25.049
Net Income
3W4
2.664.526
Th15 pa8e does not forni ofthe Siatutoryfinandal statements
-17-