CIO Regd no. 1157638
START A HEART 24-7
CHARrrABLE INCORPORATED ORGANISATION
REPORTOF THE TRUSTEES AND
ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2024
CONTENTS
Page
Trustees, report
Receipts & Payments account
Statement of Assets and knabilities

START A HEART 2￿1
YEAR ENDED 31 MARCH 2024
TRUSTEES, ANNUAL REPORT
Reference and adminlstratlon detsils
Charltable I￿orpOrated Organisat•)n no.
1157638
Reglstered t
7 Sho￿h2M Road
Rotherhorn S60 3EF
Twstees
Mrs P M Llster
Mrs C E Pjatts
mrKRP￿tts
Mr R Green
Mr5 J N Saunde
Mrs K Davle5
strurtur•i govern•nce and mana8•ment
The charRy Is a Charbble Incorporated Or8anlsatbn whlth was formtd on 24 Junè 2014.
The charty Is run by Its trustee5 who n￿Ofi a re8ulai basis to review pro8ress on
Its oblectfves and the updatedfftr￿ncl•l posltton
Oblects and actfvltles
preSe￿atIon of lrfe In partltular but not exclu$fve￿ by.
The provislon of land the tralnlng of peop￿ to Usel tardio kyjlmonary resu5cttatlon equlpm?nt
Includln8 automated external defibrilktor5 In England and Wajes laftd espectslty Rotherhaml;
Ralslngawareness and provldlng Inlormatlon relating to the locatbon and the use ol such equlpment.
M*ln Artlvltle5 undèrtaken for the publlc benefft
All of the above together with providin8 advocacy. advlce and informatbn to the people of
Rotherham and the surroundln8area
Athlevements and perfomiance
Durin8 the year the charltyfaciltfated the provi%ton of IO*xternal dtfibrtllattsrs and del￿re￿
tslks to some cornmunity8rtyJps
Flnanclal Revlew
This year the charty was predomlnanity ty donationsfrorn Supporte￿ and cornmtsnftYgrou￿.
The receipt of these vital fuTrd5 enabled rt to contlnue worth of facilitatingthe
ol deflbrlllators in communitles lar8etywf(hin the Rot￿rhaM Borou8h.
At the year end the charfty had a bank balan￿ ofE8424. Thereare no employment cosisor other
8enÈral overheads
The trustees dectsre thatthey have approved the trustees. ￿￿rtaS3tQve
518ned on their behalf bv=
P M Uster Ihair
9January 2025
Pa8e I

START A HEART 24-7
Regd no. 1157638
YEAR ENDED 31 MARCH 2024
RECEIPTS AND PAYMENfs ACCOUNT
2024
2023
Receipts
Donations and grants
Fundraislng events
13259
526
20890
277
21167
13785
Payments
Defibrillators.cabinets & supplies
Cost of fundraising events
Promotional costs
15384
26483
120
26603
15528
Net Payments for the Year
{1743)
154361
STATEMENT OF ASs￿s AND LIABILITIES
31 MARCH 2024
Cash at Bank
8424
10167
PaEe 2