
## **Trustees’ Annual Report for the period** 

**From:** 01 July 2022 **(Period start date) To:** 30 June 2023 **(Period end date)** 

**Charity name:** Churchill Lines Foundation (CLF) 

**Charity registration number:** 1158677 

## **Objectives and Activities** 

||SORP reference||
|---|---|---|
|Summary of the purposes of<br>the charity as set out in its<br>governing document|Para 1.17|The objects of the Charitable Fund are:<br>a.<br>To provide welfare support to all<br>serving members of CLs and their<br>dependants.<br>b.<br>To relieve present and past members<br>of the CLs, and their dependants, who are in<br>conditions of need, hardship, or distress<br>(hereinafter referred to as beneficiaries).<br>c.<br>In furtherance of the foregoing<br>objects but not further or otherwise, the<br>Charitable Fund shall have the following<br>powers:<br>(1)<br>To take all necessary action<br>for publicising and disseminating<br>information concerning the histories,<br>deeds and traditions of the CLs.<br>(2)<br>To execute and administer<br>exclusively charitable trusts.<br>(3)<br>To receive, take and accept<br>any gifts of property whether subject<br>to any special trusts or not.<br>(4)<br>To receive and accept<br>contributions by way of<br>subscriptions, donations and<br>otherwise and to raise funds for the<br>said objects provided that the<br>Charitable Fund shall not undertake<br>any permanent trading activities in<br>raising funds for its charitable<br>objects.<br>(5)<br>To assist beneficiaries by way<br>of grants, gifts, or otherwise by<br>handling or paying for items, services|





|||or facilities calculated to reduce the<br>need, hardship or distress of<br>beneficiaries.<br>(6)<br>To pay for such items,<br>services or facilities by way of<br>donations or subscriptions to<br>charitable institutions or<br>organisations which or facilities for<br>beneficiaries.<br>(7)<br>Subject to such consents as<br>may from time to time be required by<br>law, to purchase, take, lease or<br>exchange any property required for<br>the purposes of the Association and<br>lease, exchange or otherwise<br>dispose of the same.<br>(8)<br>Subject to such consents as<br>may from time to time be required by<br>law, to borrow to raise money for the<br>purposes of the Association on such<br>terms and such security as may be<br>thought fit.<br>(9)<br>To invest and accumulate<br>funds of the Association in such<br>investments and for such periods as<br>may from time to time be authorised<br>by law.<br>(10)<br>To do all such other things as<br>shall further the said objects.|
|---|---|---|
|Summary of the main<br>activities in relation to those<br>purposes for the public<br>benefit, in particular the<br>activities, projects or services<br>identified in the accounts.|Para 1.17 and<br>1.19|1.<br>Fundraising aims were to raise up to<br>£100,000 in order for CLF to commit to its<br>charitable activities, this settled at c £60,000<br>of both income and expenditure and this was<br>a good level of income to meet all of the<br>charity activities. This was achieved through<br>private donations.<br>2.<br>The generated funds were used for:<br><br>Small scale, high impact projects,<br>including:<br>○<br>Hardship loans for members,<br>assessed by the CLs padre.<br>○<br>Support to members of CLs and<br>their families due to separation.<br>○<br>Improving the lived experience in<br>CLs.|
|Statement confirming<br>whether the trustees have<br>had regard to the guidance<br>issued by the Charity<br>Commission on public<br>benefit|Para 1.18|The trustees of the CLF have had regard to<br>the guidance issued by the Charity<br>Commission.|





## **Additional information (optional)** You may choose to include further statements where relevant about: SORP reference 

Para 1.38 Policy on grant making Para 1.38 Policy on social investment including program related investment Para 1.38 Contribution made by volunteers Other 

## **Achievements and Performance** 

||SORP reference||
|---|---|---|
|Summary of the main<br>achievements of the charity,<br>identifying the difference the<br>charity’s work has made to<br>the circumstances of its<br>beneficiaries and any wider<br>benefits to society as a<br>whole.|Para 1.20|CLF has made a significant contribution to<br>the lives of its beneficiaries. Examples of<br>some of the main achievements of the<br>charity include:<br><br>The provision of financial assistance to<br>individuals within the Unit through grants to<br>off-set the cost of travel, welfare support and<br>other items where other service funds are<br>not applicable.<br><br>The provision of accommodation and<br>transport for bereaved families to attend<br>remembrance events.<br><br>Transport and accommodation for<br>veterans to visit key unit events on a welfare<br>basis, so as not to exclude injured<br>personnel.<br><br>The provision of professional<br>development opportunities in the form of<br>speakers and presentations to the members<br>of the Unit.<br><br>The provision of career and<br>resettlement advice to those leaving the<br>military.<br><br>Numerous other small scale, high<br>impact projects to provide welfare support<br>for the beneficiaries of the charity.|



**Additional information (optional)** 



|You may choose to include further statements|You may choose to include further statements|where relevant about:|
|---|---|---|
|Achievements against<br>objectives set|Para 1.41||
|Performance of fundraising<br>activities against objectives<br>set|Para 1.41|Fundraising normally involves a significant<br>level of personal engagement. Funds were<br>raised through a few small/discreet hosting<br>events during financial year.|
|Investment performance<br>against objectives|Para 1.41|No investments were made, £150k of CLF<br>funds were placed into three high interest<br>savings accounts with varying notice<br>periods.|
|Other|||





## **Financial Review** 

|**Financial Review**|||
|---|---|---|
|Review of the charity’s<br>financial position at the end<br>of the period|Para 1.21|The Charity maintained a healthy balance,<br>well above its initially agreed reserve of<br>£5000, ending the accounting period with a<br>balance c.£198,000.|
|Statement explaining the<br>policy for holding reserves<br>stating why they are held|Para 1.22|The charity aims to always keep £5000 as a<br>minimum in reserve to enable immediate<br>response to a significant welfare incident.<br>This is held within the Charity’s account.|
|Amount of reserves held|Para 1.22|£198,472as at 30 Jun 23.|
|Reasons for holding zero<br>reserves|Para 1.22|N/A|
|Details of fund materially in<br>deficit|Para 1.24|N/A|
|Explanation of any<br>uncertainties about the<br>charity continuing as a going<br>concern|Para 1.23|N/A|



## **Additional information (optional)** 

You may choose to include further statements where relevant about: 

|The charity’s principal<br>sources of funds (including<br>any fundraising)|Para 1.47|Funds are primarily accrued through grants<br>and donations.|
|---|---|---|
|Investment policy and<br>objectives including any<br>social investment policy<br>adopted.|Para 1.46|Trustees’ received a brief from a financial<br>investment firm but declined to move forward<br>with investment, instead it was decided to<br>move £150k into three savings accounts to<br>benefit from the strong current interest<br>rate(s).|
|A description of the principal<br>risks facing the charity|Para 1.46|No risks access.|
|Other|||





## **Structure, Governance and Management** 

|Description of charity’s<br>trusts:|||
|---|---|---|
|Type of governing document<br>(trust deed, royal charter)|Para 1.25|Constitution|
|How is the charity<br>constituted?<br>(e.g unincorporated<br>association, CIO)|Para 1.25|Ltd Company|
|Trustee selection methods<br>including details of any<br>constitutional provisions e.g.<br>election to post or name of<br>any person or body entitled<br>to appoint one or more<br>trustees|Para 1.25|Appointed by current Chair and Trustees|



|**Additional information (optional)**<br>You may choose to include further statements|**Additional information (optional)**<br>You may choose to include further statements|where relevant about:|
|---|---|---|
|Policies and procedures<br>adopted for the induction and<br>training of trustees.|Para 1.51||
|The charity’s organisational<br>structure and any wider<br>network with which the<br>charity works.|Para 1.51||
|Relationship with any related<br>parties|Para 1.51||
|Other|||



## **Reference and Administrative details** 

|Charity name|Churchill Lines Foundation|
|---|---|
|Other name the charity uses|N/A|
|Registered charity number|1158677|
|Charity’s principal address|Mailpoint 134<br>Churchill Lines<br>MOD St Athan<br>Wales<br>CF62 4NX|





**Names of the charity trustees who manage the charity** 

|1<br>2<br>3<br>4<br>5<br>6<br>7<br>8<br>9<br>10<br>11<br>12<br>13<br>14<br>15<br>16<br>17<br>18<br>19<br>20<br> <br> <br><br> <br> <br>|1<br>2<br>3<br>4<br>5<br>6<br>7<br>8<br>9<br>10<br>11<br>12<br>13<br>14<br>15<br>16<br>17<br>18<br>19<br>20<br> <br> <br><br> <br> <br>|**Trustee name**|**Office (if any)**|**Office (if any)**|**Dates acted if not for whole**<br>**year**|**Dates acted if not for whole**<br>**year**|**Name of person (or body) entitled**<br>**to appoint trustee(if any)**|
|---|---|---|---|---|---|---|---|
|||Roger Lewis|Chairman|||||
|||David Charters||||||
|||Edward Sandry||||||
|||Peter O’Kane||||||
|||Mike Pullen||||||
|||Alasdair Truett||||||
|||LangleySharp||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||Corporate trustees–names of the directors at the date the report was approved.<br>**Director name**<br>N/A<br>Name of trustees holding title to property belonging to the charity<br>**Trustee name**<br>**Dates acted if not for whole year**<br>N/A||||||
|||**Director name**||||||
|||N/A||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||**Trustee name**||**Dates acted if not for whole year**||||
|||N/A||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||





## **Funds held as custodian trustees on behalf of others** 

Description of the assets N/A held in this capacity. Name and objects of the N/A charity on whose behalf the assets are held and how this fall within the custodian charity’s objects. Details of arrangements for N/A safe custody and segregation of such assets from the charity’s own assets 

## **Additional information (optional)** 

## **Names and addresses of advisers (Optional information)** 

|**Names and addresses of advisers (Optional information)**|**Names and addresses of advisers (Optional information)**|**Names and addresses of advisers (Optional information)**|
|---|---|---|
|**Type of**<br>**adviser**<br>**Name**<br>**Address**|||
|Administration|Ben Powell|MP134, Churchill Lines, CF62 4NX|
|Administration|Natalie Gordon|MP134, Churchill Lines, CF62 4NX|
|Financial|PWC|PWC LLP, One Kingsway, Cardiff, CF3 0NZ|
|Secretary|Craig Shepherd|MP134, Churchill Lines, CF62 4NX|
|**Name of chief executive or names of senior staff members (Optional information)**|||
|N/A|||



## **Exemptions from disclosure** 

Reason for non-disclosure of key personnel details 

iaw  SORP para 16.21 - grants and support to individuals/institutions have not been disclosed as this **‘** _**could result in serious prejudice to the grant-maker and/or the recipient institution or individual working for the recipient institution’**_ **.** 

Value of grants contain with the financial statements submitted with the annual return. 

## **Other optional information** 

N/A 



## **Declarations** 

**The trustees declare that they have approved the trustees’ report above.** 

**Signed on behalf of the charity’s trustees** 

|**Signature(s)** <br>**Full name(s)** <br>**Position (eg Secretary,**<br>**Chair, etc)**<br>**Date**|||
|---|---|---|
||Roger Lewis||
||<br>Chairman||
||19 Mar 2024||
||19 Mar 2024||





Reglstered number.. 09090180
Charlty number. 1158677
CHURCHILL LINES FOUNDATION
(A Company Llmlted by Guarantee)
UNAUDITED
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023

CHURCHILL LINES FOUNDATION
IA Company Limited by Guarnntse)
CONTEPfftS
Pa
Rofornnc• and Admlnl•trallv• D•t•lls of the Foundatlon. Its Trust￿ wd Advl8•rn
Trustses. Report
Ind8p8nd•nt Examin•rf* Rèport
Ststsm•nt of Flnancial Actlvlll•s
Balance Sh••t
Statomont ol Cash Flo
Not￿ to Ihg Fln•n¢l•l 8tstsm•nl•
9-18

CHURCHILL UNES FOUNDATION
{A Company Linwled by Guarafits•>
REFERENCE AND AC)MINISTRATIVE DEfAILS OF THE FOUNDATION, ITS TRUSTEES AND ADV18ER8
FOR THE YEAR ENDED 30 JUNE 2023
Trustees
Company r•gl•t•r•d
numbgr
090￿1180
ChArlty r•gl•t•r•d
nvmb•r
11586TI
Regl•t•rod offlc•
Churchill Lintss
MOD St Alhan
Vale of Glwnorgan
CF62 4WA
Accounl•nl•
PrICewatert￿U10CoWrn LLP
Chartèrod Ac¢ountant8
1 Kingsway
Cardrff
CF10 3FW
lnd•P￿d•nt Examln•r Azats S8r4k•$
TyDe
Lime Tree Court
Cardrft Gate Busin•u Parf(
Cwdrfl
CF23 &48
Page 1

CHURCHILL UNES FOUNDATION
IA Company Limited by Guarant••l
TRUSTEES. RepoRT
FOR THE YEAR ENDED 30 JUNE 2023
The TnJslee5 present Iheif annual report l&Jelher with the financi¥l statements of the Fojndation for the 1 Ju
2022 to 30 June 2023. The Annual Report 88Nes Ihe purFKises of both a Trustses. rewrt and a directOfS' report
under company law. The Trustees confirm that the Annual Report and fina￿la1 statements of the charrtablo
company comply wrth the currenl slatulory requirements, the requirements of the charitablg companvs
governing document and the provtsh)ns of the Slatamant of Recommended PrnC1p￿ ISORPI applicable to
charrties preparing their accounts in accord8nce wrth the FinwKi81 Repvting StarKlard 8pplic8bb In UK and
Republ￿ of Ireland IFRS 102) leffe(al￿ 1 January 2019).
Since the Foundation qualifies as small undèr section 382 of tho Companies Act 2006, the Stratsgic Report
rffjuired of medium and large cOrrpan￿5 under the Companies Act 201% Islralegic Report and Director8,
Report) Regulatws 2013 has been cmffted.
ObJecllv88 and actlvlll
. PollcSM and obJ•ctfv••
The objective8 CA the Foundation
To assist per8ollB who are ¢urr•nlly In or who have sep48d in
unf( of the Britr8h Armed forc•s. Induding others who have serve
ongsi
e or In support o
,1 id the dependants ol any ol the above by advaneing any lavrful charitable purpose at the discretion
the Trustees, and particuLady bul not exclu8i¥ely to promote and Pfotecl the hearth of tho88 that have
been wounded or injured whilst seNing in or with th￿andlor thair dependonts through the prov18Kin
of facilities, equipment or servtts for their rehabili181ion ano lo provKle beneff($ lo por6on6 and their
dependants who 8re in naod.. and
b. To 8dvanrn •ducatK?n by di88eminating Infom)8li￿ on t￿ history. d••d¥ and tr&litins ol th
In 8ettlng objectNOS and pl8nnir*J for a¢tivities, the Tru8teos hwa qb￿ dua w)$idorth) to gan6ral guldanc8
published by the Chanty CoMmi￿10n relating lo benefft. irKluding the qu￿31￿ 'Public benefit.. running a
chanty {P821'.
b. M•ln 4¢tl¥ltlM undertakèn lo further th• Foundatlon'¥ purpoM• for th• publlc beneflt
Historically the F¢wnd•liM $¢1 a fundraising 9oal to rni8e up to £100,(MJ) in OTd8r for the Foundation to D)mmit
to Its charitabb activities. The gOr￿ated funds we*è u8eA for 8ffAII high impa¢t projo¢ts. in¢ludlng.'
Hardship bans. as ass9$8ed by the Padm..
Support 10 88rwce personnel and their famil￿ to 6eparation', wd
Improving the lived experien¢¢ on base.
In addition, in 2022 a further need was identified during Ihr.. ,'o,Ir IJ provide support lo indNidualB and their
dependanl8 who had al￿sKI9 or in supp¢)rt ol ￿11￿ the year end&J 30 June 2022, over
£700,000 was raised in grants from other OffJanisalions to SLJPPOrt Ihis woth and over £267.CW (2022..
£450,000) of the raised had been exF¢nded this year to support those that requir8d 85SiStance.
The Found8tion is undertaking trwo prolects fvrthérance of its obiectNes being..
1. An expedition by members of the Unit lo the HimaLgyas," arKI
2. The development of a welfare centre for the ber*fft ofthe members o
nd their familie5.
Both projects were at a relativety earty stsge at tha end of the finan¢*l year and so a more detailèd report on
these will be provided in the next set of finarKial statenwnts.
Page 2

CHURCHILL UNES FOUNDATION
{A Company Umtt•d by Guardnt••l
TRUSTEES, REPORT (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2023
Achlevements and p•rform•nc•
•. Maln a¢hl•vem•nts of th• Foundatlon
The Foundation has made 8 sKJnifKant contrlxrt*)n to ts libys of benef￿l￿r￿. Examplos of 80me of the
main achievements of the Foundation include:
The provi8k*n of fin*￿181 8SSiStance lo indi￿dual5 through grants to off-set the cost ol traval and (rther
items where dhar seNica lunds are not available;
The pwtsion of 8ccorn¥Aalion and tran8POrt for bereaved famili8s to attend romwnbrance events,.
Tr8nsport and occomrThJdatv)n for v*eran8 to visit key Un￿ e￿tr on a wetfare ba￿¥. ao as rK)t to excl￿de
injured personnel;
The provisKJn ol profes$k￿al devekpment t)pportunrtros in the fom of speakers and presentallon$.'
The prcwisKm of career and r88etUem8nl advice to those leaving the military..
Numarous clhor small 8¢ale, high impxt woiects to provide wolfare 8UPPJrt for the bgneficlarles of t
FoundaUon'. and
Malgrl81 support lo lndfvkI￿1& and deFerKlants who ￿Uired 888i*anco as a result of worklng wllh and
6UPPOrtln
b. Fundrnl•lng •thltl•• and IKom• g?nwaOon
The Foundation is ￿lIaNt on the donations of 8 nunthr (rf discre81 phi18nlhropic iThJividuals who recL¥ni8ed the
8pecial contnbutK•n ￿per$on￿OI mako to the Unit•a Kingdom and the rtt4J to 8UPPOrt tho86 Individuals and
dependanl8 when they are wouryjed or injured.
Tho Foundation typicalty hold8 a lknitod Nmbgr al discra8t lundr4i6iNJ everts to prOft￿ rt88lf lo such
indlvidual8 with the aim of 8ecuriTrJ donatlon•.
c. InvMtm•nt pollcy •nd wrform•n
Surplus cash balanees are cumrtty hekl os on depL￿* at rnputabl• finarthl Institutions to facifilato easy
acce55 to markago the IKiu*Jty of the FOUndat￿n.
Fln•n¢l•l rnvl•w
a. Golng conc•m
After making appropriate enquiries. the Trusteos have a ￿aSonable expectalion that the Found0t￿n h85
ad6yuale resources lo continue in operational existenc• for the ftXeSeeab￿ future. For thi6 reason, I
continue to adopt the gciro eoncem b8515 in preparirvJ th8 finar￿191 ¥tatementi.
b. Re••rv•8 pollcy
The Trustees are s*]sfEd with the current level (rf rnserves held by the FoLmdath)n.
The Foundation has very lynited ongoing oper81iond costs and therefore deci8ion$ to award grants provhle
support are basad on ￿ ￿ve1 d funds avaikqbie at the time of appl￿￿￿￿. At 30 Jung 2023 tho unre8trided
fu￿￿$ are £198,472 {2022.' £38,585).
The Foundation aim8 to keep £5.tK)0 8$ a mininum in Te¥eNe to enable immediate rgswnse to
81gnificant welfrdre Incident
Page 3

CHURCHILL LINES FOUNDATION
IA Company Llmtt•d by Guarnnt•e
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2023
Structur•• gov•rn•nce and managemenl
Churchill Lir￿ Foundath?n is r8gislered a5 8 charitsble company Iwnited by guarantee and was 8et up by
MemorarKlum of As50ciatp)n which was updated in 2021.
b. M•thods of appolntrnfjnt or •l•CtI¢￿ of Tru•te
The management cl tho Foundat￿ * the resp¢￿Ilbi1ty of the Tnjstees who •r• d¢¢ted under the temi8 of
Arti¢t¢s of Associalion.
Plam lor futur• p•rfod•
The Foundation Intends to contlnu• to rai8e funds and provide supwt to
er•0nr￿ ar￿ thoir dependents
Ar￿ th08e that hove served ak)ng$lde or In Support tr￿and thwr dependanl8.
M•mb•r•' Ilablllty
The Members of the Foundation guarant￿ to contnbute an amount exceeding £1 to the lo￿ti of lh•
Foundatw in the avont of windirwJ up.
St•t•mont of Tru•tM•' r••pon•lbllftl8•
The Trustees (who ar8 also the directors of the Foundation for Ihe pu￿0808 of company lawl arn ￿SponSIble
for preparing the Trustees, Report and the financial st*¢￿￿nts in accordance wtth applicabh Law and Unrted
Kingdcm Accountry Standwds (Unrted Kingdom Gengralty A￿pted A¢¢ounting Practui}.
Company law requlm tho Tw81088 lo prwre financial statements for exh financial . Under company Lqw, the
Tru51eeB must not approve Ihe finoncial Slalèmènls Un￿8$ they are satisfied Ihal they give a true and falr wew
ol Ihg slalo of affairs of the FoUndat￿n and ol ils inwming fesourees and applKation ol resources, induding rt$
income and expenditure. for that period. In preparing these finan¢k*l $lalemenls. the Trustees are required lo..
Setht suitable acc￿nting poIKies and then appty Ihem con•i¥t•ntly:
ob8efve tho melhtsjs and prlnciples of the chartt￿ SORP (FRS 1021..
make judgwnents and aecounling estimates that are Teosonabk and pnjdent.,
$1819 whether applicable UK Accounting Standards {FRS 1021 have been frJlkyh*d, subjocl lo any
malorial departu￿9 discl¢)sed and explained in t1￿ financial slalemnt8.'
prepare the finanual statements on the concem basis unless rt is Inapproprfale to pro8Uff￿ that the
Foundation TrMII eonlinue in tr￿SIness.
The Trustees are responsible for keeping adequate 8ca)vnting records that a￿ sufficient to 8huw and explaln
the Foundation's transactions and disdose wrth reasonable accuraGy at any lim8 the financial posiip)n of tha
Foundation and enable them lo ensure that the financial sL7temenls Comp￿ with the Componies Ad 2006. They
are also responsib￿ for safeguarding the assets of the FOundalK￿ and hence for takin9 re8sonable steps ft)r
the prevention dgtection of fraud and other irregularilies.
Approved by crfder of Ihe membws ofthe board of Tru8t8es signgj on the￿ i*haW by..
Dale. 29 April 2024
Page 4

CHURCHILL LINES FOUNDATION
IA Company Lknit•d by Guar•nts•
INDEPENDEKf EXAMINERE REPORT
FOR THE YEAR ENDED 30 JUNE 2023
Ind•p•nd•nt Examlnerfs R•port to th• Tn￿t•05 of Churchlll UMS Fowthtlon Ilhe Foundthn.)
I repcrft lo the th•rity Tnjstoes on my exAThn81ion of the accounts crf ts Foundation for th& year endèd 30 thjne
2023.
R•*pon¥lbllttlM and Bashs of Roport
A6 Ihe Trustees of Foundthi (a￿ rts dYecti)rn for the purpostt of company law) you are re8pon8lblè lor
the prep8r*lon of the accounts n 8ccord•n¢¢ wlth the requirembnts of th? CThni85 Act (Ihe 2006
Ad,).
Having 8th1sf￿￿ mysèff that the accounts of the FourKl8tbn are not required to be •udlted under Part 16 of the
2LKJ6 Act and arn elwJible fly indopgndenl examin8tK)n. I report in ro8potr1 of my examin8tlon of the Foundalkn'8
accounts carr*d out under 8ec#ion 145 of the ChaTrti8s Act 2011 Ilhe 2011 Acfi. In carrying c4Jt my examin•th)n
I have follthved the Direct￿$ glven by th• Chwity c(xT)mk%8￿ under 8aCtM)n 145lSllb) of 2011 Act.
Ind•p•nd•n¢ Examln•rf• 8tat•m•nt
I ha￿ ccfflpknt•d my ex8mln•tknn. I c(rfrm that no mattern hawé ¢on• lo my attentK)n kn connaetlon vAlh the
examknation givkng to boligve:
countin9 r•¢ordi were ncé kept in respect cl thé Found8t1￿ Js requlrnd by ￿ctIOn 386 of th• 2r
the •c¢ounts do not xcord with thDfj8 records.. or
the account8 do nol compty with the xcounting requiromerrts d sedlon 396 d th8 2l￿ Act othor th•n
any requirement that the accounts 9￿• a Irue and lairf view whlch li not 8 matter c¢x*ldered as part of
an independerrt 4￿MInat￿l. or
the accounts have not been yepar•d wllh the methc*l8 and pTrKiples of ttkg St*•ment of
Recorrmnended Practite for accounting 8rKI reportiN4 by chariti98, appl￿ble to Charit￿ preparing thelr
8Kcounts in accordonce wilh the FInar￿la1 R8portirrfJ Slondard appli￿￿ in th• UK 8nd Republi¢ of
IrelarKI IFRS 102}.
I have no conc•m8 and havè ¢om• •cross no ￿ matters in connectw)n with the examin8lion to whkh
8ttentlon 8hould be dr￿n in this report in order to enable 8 proper understanding of the accounts lo be
Thro report 18 made sow to the Foun(18tion's Truste85, as a body. in ￿¢￿￿nce with Port 4 of tho Charit￿8
{Accounts and Reports) Regulat￿$ 2LX)8. My work has been undertaken 50 that I might stste to Ihe
Foundallon'ts Trustee$ those motters 18m required to 8t8te to them in an Independent Examinerf$ Report and
for no other pu￿ose. To th8 fUl￿t extent permitted by Lvw, I do rKJt accept or assume r8sp)n$ibility to AnyM•
other than the FoUnd0￿n and Foundat￿n,$ Truste￿ as a body. for my worf( or for thbs rnport.
Slgned..
30• *knZY
FCCA DChA
Jognne Toylor
ets Audit SèNce8, Ty Derw. Lttne Tree Court. Ca￿lff Gale Buswie88 Pa￿. Cardny CF23 8AB
Page 5

CHURCHILL LINES FOUNDATION
IA Company Llmltod by Guarnntee)
8TATEMENT (xr FINANCIAL ACTMTIES {INCORPORATING INCOME AND EXPENDITURE ACCOUND
FOR THE YEAR ENDED 30 JUNE 2023
Unrnstrlcted
fuDd8
2023
R•stfKt•d
nds
2023
Total
fund8
2023
Total
fund8
2￿22
Incom• fn>m:
D￿￿.0ft$ and *aci86
124.681
110.(
234.681
757.439
Total Incom•
124.581
110,0th)
234,581
757,439
Exp•ndlthr• on".
Charitable actP4IieB
63,303
163,636
226,938
515.439
Totsl •xyndltur•
63.303
163.635
226.938
515,439
Not In¢om•l(•xp•ndltur•l
Tr8nsfern between fur¥Js
61.278
103.996
153,635)
(103,995)
242,000
11
N•1 fflov•m•nt In fund•
165,273
1167,630)
242,CKrt)
R•conclll•llon of fund•:
Total lund8 brought foNMrd
Net movement in funds
257,630
1157.6301
296,215
S4.215
242.CKJO
166373
Totsl funds carTl•d forw•rd
203
100.000
303,858
296.21S
The Slali*nenl of Financial AclNitie¥ IndUd￿ 01 yins and k)ss0s r¢counifyed in th& year.
The note8 pages 9 to 18 fomi part of these statemenls.
Page 6

CHURCHILL UNES FOUNDATION
{A Company Umlted by Guarantee)
REGISTERED NUMBER: 09090180
BALANCE SHEET
AS AT 30 JUNE 2023
2023
2022
Cum¢
Deblorn.. arry)unts falling due within one ye
Cash at barth and in hand
11.886
1,775
295,940
306.108
297.71 S
CredIt￿$.. 4Th￿nts f8llk)g due wthkn one
10
122501
11,500)
Total ￿0•￿ IM8 curr•nt Ilablllll
303,858
298,215
To¢•1 n•t •M•ts
303,858
2￿,215
Ch•rlty fvnd•
Restricted funds
Unrestrthd funds
11
11
100,IXIO
203.868
257,630
38,585
Tot•1 fvndl
303,868
296,215
Tho FoundotKJn wa¥ entrU•d to exempbon fr(¥n audit urKler SeCtiL￿ 477 of ￿ Cry8Th￿ Act 2006.
The members ha￿ rKrt required the compary to obtain an a￿lIt lor th8 year in qU88tL￿ In xcordance wlth
88clion 478 of Cryani88 Act 2006.
The Tru8lees aL*n(yMedge their resp)rritslitm for ¢￿￿tyl￿d wrth the requir8ments of th• Aet wlth respect lo
accourrting reco￿1 and preparatKJn of ffinanthl 81atements.
Th8 financAal staterrnnts have bggn proFW￿ In with thg pro7418icrn applicab￿ to onlTti•¥ ￿bleCt to
the small cl￿Par$￿ regirr*.
The fina￿181 8tateTh￿ntB weve 8pproved and authorisod for i58uo by the TnJtees and syned C￿ thelr l)ohaW by:
Chair of Trustees
Dal8.' 29 April 2024
The noles pn paggs 9 to 18 f￿M part of these financial tsterrenis.
Page 7

CHURCHILL UNES FOUNDATION
IA Company Limlted by Guarnntee)
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 30 JUNE 2023
2023
2022
Ca•h 110￿ from opèrntlng actlvltk•
Nel cash (used inyprovKlgd by operating act[￿￿$
13
11,6971
242.449
Chang• In cmh and cash equlvalgnts kn th& ymr
Cash and ¢a$h equrv8lents at the beginning of the yow
(1,89n
242M9
53,491
C•gh and cash •qulvalents at th• •fid of the year
14
294,243
295.940
The notes on pagas 9 to 18 ft>rm part of theje fiMnts•l 8tattynent8
Pag8 8

CHURCHILL LIIIES FOUNDATION
IA Company Limitod ￿ Guarnntso)
NOTES TO THE FINANCIAL STATEMEP
FOR THE YEAR ENDED 30 JUNE 2023
Genernl InfornMtlc•n
Churchlll Lirns Foundation {the Foundal*)n"I Is a yfvaie ¢orryny limrted by guarantee IR8gi8tered No
090901801 and a rogislered charity (Chanty No 11586771 in England and Vvales.
The registered offltè of the FOUndatK￿ 1$ Tho Reg￿￿tal Accountant. Churchill Linas, MOD St Athw,
Vale cl GlarTh)[9￿, CF62 4WA.
Accountlng polkl
2.1 Ba•1• ol pr•par•tlon of fln*n¢l•l *l•t•mwts
The fmancial slaleffents ha￿ been prepared in acccrfdance with th• accounting policM set OLrt In
note 2 to the financial 8talement8 and coryty with the Foundation's goveming document. the
Companles Act 21kX8 and 'Accoun￿ng and Rewllng by charit￿.. Sialemenl of Reeommentjed
Pr8Ctica 8pplicabl• lo charitièg prèparing their accounts in accordance with tha Financlal Reportlng
Stsndgrd 8pplK*le in the UK and Rowb1￿ of Ireland {FRS 1021 {eff8ctlvo l January 20191.
Churchill Lines Foundation the definitKffi cl a public b8n6fft entty un¢J8r FRS 102. Assets and
IL4biliti88 are inrtialty recognned al historic41 c(*t or transa¢lK)n value Un￿$5 otherwt8e stated In thé
relewnl accountiry policy.
The financial statermnts are prepaT•J in Unite(l Kingdom Pounds Starling (GBP) and are rounded to
the nearest pourKI.
22 Incom•
All irKcmè rd recognised once tha FoUndat￿n h¥5 ontiuement to the income. it 18 probable that the
Income wlll bo r•¢eN¢d 8rKI the anw)unt ol inccwrn ￿N￿ble can be m8a8ured Teliably.
Grant8 are included in the Statement of Financial ActNities on a r8caivabbg basis. The balance of
IrKome received for specific purposes but rMIt expendtyj during the p8riryJ 18 shown in the relevant
fvnds on the Balance Sheet. Wher8 income is receN8d in advance of entrtthenl of receipt. its
reco3nrtion deferred and induded in uedrtor$ 85 (lefeffed incomo. Wherè ¢ntrtI￿8nt occurs
betrjre in￿e is r•coivwJ. the InC￿e r& xcrued.
Don81ed 8eryKe8 or facilli￿ are recogn1￿1 ¥•*￿1 the Foundatlon has control over the Item. any
condil*)n$ assOc￿led with the donated item have been met. the re￿pt of gconomic beneffil from the
use of the i¢em is probable and th81 eccrfK¥nic benofft can be mwured reliably. In accordance wlth
the Charitses SORP IFRS 1021, the gerwal voluntoer ling of volunteers is Tr)t re(KJgnise(1 ond
pkne refer to the Tr￿le￿. ReFth for mc*e infonrot*)n 8LvJl ther contribulton.
On reeeipt, (knnaled profes$ky￿1 wvices ond facllitigs are recoJni8ed on b8818 of th8 value of
the gift to the Foundation whKh is the amounl it would have been willing lo pay to obtain 8erv¢ce8 or
faryl((￿S of equNalenl econ￿1¢ benefft on the (w market: a corr95ponding amount is then
recognise(l in eyperrfjiture in ￿ perKAI ol recept.
Inc(xr* tax recoverab￿ In relatK*n to donatth f￿[¥*d under Gfft Aid or deeds of o)v•wnl 1$
recognise(l at the kn.rne althe (k)nalK￿.
Page 9

CHURCHILL UNES FOUNDATION
IA Company Llmlted by Guarantsel
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023
Accountlng pollcles IG¢JntIny￿j
2.3 EX￿ndIt￿re
Expenditure is recoJni8ed 0￿e there is a leg* or ¢>)nstw¢tlve obligation lo transfer econcfflic
benerrt to o third pwty, It Is prOtsab￿ that a transfer of ￿1$>￿1¢ bèneffts wll be required in
settlement and the aTr￿Unt of Ihe eèligalmin can be measured reliably. Expenditure is classrfied by
trvity. costs of each xtivty are made up d the total of direct costs and shareil costs, including
support eosls involved in undertakiry each ￿kn"¥ty. Direct cost8 attributab￿ to o sirvjle activity are
allocated directty to that actrvity. Shared costs wh￿h conlribule lo rrwe than onè activity and 8UPPOrt
costs which ore not attributab￿ to a 8iThJle activity are apportK)ned beknrt those activities on a
basis CC￿sIStenI with the use of restsjrees. Central staff costs are allocat￿1 on the bas1$ of tlme
$p¢nt. and d6prttiatKM chwges elkKated on lh• ￿￿K)fi of the a888¥s uae.
Expendrtur• ¢)n charitsblè KtNiti88 is incurred on diwtty undertaking 8¢INitias which further lh8
Foundation's objectives, ￿ well 8$ any assc¢iated support costs, including governance costs.
Granly p8y8bl6 are charged in the year when tho offèr is made except in those cases where th?
offer is ¢ondib"ono1. Such grants bthng recognised as expenditurè when the conditions attaching are
fvlfilled. Grants offered subl8et lo condition8 which have rrf)t Lwn met at the yoor end are noted 88
commthent. but not accrued 48 eypendrture.
Al ¢xr¢ndriur• 16 IrKI￿1￿ ol irTecovor8ble VAT.
2A D•btorn
Tradè and othér debtors are recLynised at the 8ettb&ment amount after any trade diBcounl offered.
Prepayments afe Valu￿ 81 tho affK)unl pfepa#J nel of any trad• dis¢ounts duo.
2.6 Ca•h at ￿nk and In hand
C￿h 81 bank and in hand Includes cash and short-temi highty liquid mve8lrMnts wAh g Short
matunty of three morth• crf le8G frlyn the date of wui8ition ￿ oponlng of the dop08it or Similar
account.
2.6 Llabllltlm and provhlon•
Liabilrties arg recognised when tt18re Is an obligatton at the Bolan¢e Sheet date as a res￿1 of a pa61
evenl, rt is probable thal a transfer of acc￿OrniC benefft will bg required in settl8￿nt, and th8 amount
olthe 8etUement can be estimated reii8bty.
Liabilit￿$ arg rect)Jnised at ts arrount ttwi the Foundat￿￿ ant￿Pate$ it wlll pay to Sett￿ the debt or
the arry)unt it hgs rtreived a$ advanced payments the goLK15 or ww¢es rt must provide.
Provi8ion8 are measured at the best eslim8te of the amounts required to sattl8 th8 obligation. Where
the affect of the time value ol rroney is material. the provision is based on the present value of th¢
an￿unts, discounted al the pre-tax discount rate Ihat r8fiects the risks specific to the li8bility. The
urMtindir¥J of th8 diycount i% rectr3noed in the stat￿ent of Finartial ActNities as a finance cog1.
2.7 Flnanclal Instruments
The Foundation On￿ has financial assets and finaroal liabililw of a kind that qualfy as basic
financial instruments. Bas￿ financial inslrunwts ar8 initialty recc*Jniged al transaction value and
subsequgntty maasured at their setllemenl value.
Page 10

CHURCHILL LINES FOUNDATION
IA Company Limitad by Guarnntofj)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023
A¢¢ountlng pollclm (coftllnu•d)
2.8 Fund •ccounllng
General fuThJs are unTe8trKled funds which are aValab￿ for at the discration of the Trusteés in
furtherance of the genaral abi￿l¥e& of the FouTrJatK)n which Iwe b¢¢n d¢signated for
other PUfP)se8.
Dts8ignated fund8 Gcffiwr6e unrestrvAed funds that ha￿ boen 8•t a$hla by ts Trustees for particular
purposes. The a¥n and use of d￿gn8tsd fund i• ¥et out in tho note6 to finan¢lal
stalements.
Restricted funds ar8 fund8 wh￿h aro to bg L￿d in accordance wlth spo¢Kk ￿¥tricI10n¥ imposed by
donors or which have been raised ty the Foundation for particular purposes. The cost8 of raising
ond administering Such funds are charged 4ainst the spe¢fv fund. The aim and of each
restrKted fund ￿ set out in tho ncAe8 to th• financial St*0￿￿ts.
In¢om• from don•tlon• and l•gacl••
Unr•strlci•d Re8trlct
fund•
funds
2023
2023
Tot•1
fund•
2023
Donations
Grants
124,581
124,581
110,000
110.oc
124,581
110,CX)O
234,581
Donations indude £3,CTrI12022.' £2.1001 ofdonotKfflS in kind for accountsncy 8eMC¢S.
Unrestricted R8stridad
funds
fund¥
2022
2022
Total
fvnd$
2022
Donations
Grants
45,744
45,744
711,695
711,695
45.744
711,695
757,439
P8ge11

CHURCHILL LINES FOUNDATION
(A Company Limitsd by Guarantee)
NOTES TO THE FINANGIAL STATEMEpirs
Foft THE YEAR ENDED 30 JUNE 2023
Analy918 of grnnts
Grnnt8 to
Grant8 to
Instltutlon• Individu•ls
2023
2023
Ti>tal
tunds
2023
Suprh)rt for Serv￿8 pwsonnel
Support for individual$ ¢onnected
15,266
15.266
163,635
163,635
163,635
15,286
17B,901
Gfants io
In8lrtub'on#
2022
Grant8 10
Indkndu818
2022
Tothl
Jnds
2022
Support for 8eryke per1(￿ne1
Support indNidua18 conno¢t8d
20.792
10.045
20.792
24.445
14,400
14,400
30.837
45.237
The Foundation ho8 made folkAw'ry material grants to in8titution8 during the year..
2023
2022
Name of instltutlon
Foundation
162.900
Olher granh to iistituti'ons
736
14,400
183,636
14,41XI
Page 12

CHURCHILL UNES FOUNDATION
(A Compny Limitod by Guarantsg)
NOTES TO THE FINANCIAL STATEPAENTS
FOR THE YEAR ENDED 30 JUNE 2023
Analy•lry of •xp•ndhurn (m Gharftable athltlfjs
SUMM￿ ty fund typ•
Unre8trlct•d Rè8trlct•d
nd•
funds
2023
2023
Tothl
2023
Supwrt to p•rnMn
Support for indfv*Ju81s connectod Y4tt
83,303
63.303
163,635
163.635
63.303
163.635
226,938
UnrèstiKted Re￿nCIed
fund8
fund8
2022
2022
Totsl
2022
Support lo 8ervK4 pernom
Support for Indlvkiual8 connecteAI vjfth
81.374
61.374
454.C65
454,C￿5
61.374
454.C65
515,439
Analy8ls of •xp•ndllur• by acth7ltl••
A¢tlvitl•8
Grnnl
undèrtaken fundlng of
dlrgc
*ctlvltl•
2023
2023
Support
cost•
2023
Totsl
funds
2023
Support for service perscfinel
Support for indivKluals connected with
36,391
15.286
163.635
11.648
63,303
163,635
36.391
178.￿1
11,646
226,938
Included withwi supwxt costs are govemance expenses of £5.709 (2022.. £3.600).
P89& 13

CHURCHILL LINES FOUNDATION
IA Comyny Lim6ted by Guarantee
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JLW4E 2023
An*1￿1* of •xp￿dI￿re by •ctfvltles Icontlnu•dl
Grnnt
fvnding of
actNrt
2022
undertaken
direct
2022
Supwrt
Total
funds
2022
2022
Supp)rt for service perswnel
Support kn indmduds conne(Xed wrti.
35,309
429.620
20,7¥2
24.445
5.273
61.374
454.C65
464,929
45,237
5,273
515,439
Analyikn of •upport costs
Totsl
fund$
2023
Total
lund8
2W22
Administr8tw expenses
Accounting services
3,173
2.100
3.000
5.273
Indepondent examlnerf• rwnun•rallon
2023
2022
Foes payable to the Foundation's examiner for
independènt èxamination of the FOUndatM￿,8 annual accounts
2,250
1,500
TrusteM' r•mun•rntlon and oxpens
DuriryJ the year, rn Tru¥tees ary remunera1K￿ or other beTth (2022 . £NILI.
Duriw the y8or end*AI 30 June 2023, no Tnjstee eypense5 hwo been in¢urred12022 - £NILI.
Page 14

CHURCHILL UNES FOUNDATION
(A Company Umlted by Guarnnt••l
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023
Dobtorn
2023
2022
Du• wlthln on• y•ar
Other debtor8
11,865
1,775
10. Cf•dltor•: Amount• f•lllng du• wlthln on• ymr
2023
2022
A¢cru81s arKI deferred ir
2.280
11. stst•m•nt of fund•
Statsm•nt of fund•- cuirnnt y•ar
Balance at
30Jun•
202J
Trnn•for•
Inl¢)ut
July 2022
Incom• Exp•ndltur•
Unr••trlct•d lund•
D•slgnat•d funds
Weware Contre
14,6141
10,000
5,386
G•n•r•l fund•
General Fund
124M1
158,6891
93.995
198,472
Total Unrnstrkt•d lund•
124,681
(63,303}
103.995
203,85B
Conne¢led Person8 Sup
Fun¢J
Hlnalayan ExF*ditK
267.630
10.orrf
100mO
1163,8351 1103,995
100.000
110.000
1163.6351 1103,995
100,000
Totsl of funds
296,216
234181
(226,9381
Page 15

CHURCHILL LINES FOUNDATION
IA Company Llmlted by Guarants•l
NOTES TO THE FINANCIAL STAT&MENTS
FOR THE YEAR ENDED 30 JUNE 2023
11. Ststemont of funds (conllnu¢d)
Stat•m•nt of fvnds- prlor y•ar
Balancè
30 Jun6
2022
Balanc8 at
1 J￿￿ 2021
Transfers
inloul
Ine(rn ExperwJ*ure
Unr••trlct•d fund•
Wdfere Centre
G•n•rnl fund•
Gonoral Fund
54,215
45.744
161,374)
38,585
Totsl Unrestrkl•d fund•
54,215
45,744
(61.374)
38,585
Conne¢ted Per8(￿$ Support
FUNJ
Hmnalayan EydrtK)n
711,695
{454.Cfj5}
257,630
Totsl of funds
54.215
757,439
(515,4391
296,215
Th8 Connect&1 Par80n8 Support FurKI w8$ ￿tablIS
8UPkM)rt to individuab land their
dependants} who have worked alorKJside or 8UPPOrted
Upon c¢)nclusion of the projects
undertaken on this lund, Il'e donors agreed that SU￿luS amc4JM8 coukl be usgd more generally for the
b¢nefit of membern 01￿3nd so Ihe relnaining balance wa8 transferred lo to the 98neial fvnd.
lo
The Hinalayan Expediton lund haG b*n established to wpport ￿ eXp•Jit￿n by mmber8 of the Unit lo
the Himalayas.
Th8 W8Nare Centre has eswlished to deveknp plan8 for a cantre for the b•n8frt of the
members ol •nd ￿￿1188.
Page 18

CHURCHILL UNES FOUNDATION
IA CoTnpany Limitad ty Guarnntsfj)
NOTES TO THE FINANCIAL STATEIAEP
FOR THE YEAR ENDED 30 JUNE X123
12. Anaty818 of net a88ats between ￿Thd8
An•ty81• ot n•t ••••ts betwe•n fvnds. curr•nt y•ar
Unrestrictsd Rostrictod
funds
fund¥
2023
2023
Total
funds
2023
Current assets
Credrtors due w1th￿ ono y8Ar
2fK.108
(2.2501
100,000
306.108
12.2001
Total
203,858
1fX).¢Y)O
303.858
An•ly•l• of n•1 M•4ts1)•tw••n fund•. prfor y•ar
Unre8lrfcl
fvrKIs
2022
Rostrtctod
funds
2022
Total
fiJnd8
2022
Current a$$•ts
Creditors due wlthkn ong year
40,085
(1.SCM))
257.830
297,715
11.500}
Tol•l
38,585
257.630
296,215
13. Ro￿ncIlIatI¢?n of nrt mov•m•nt kn furrtl• to net flow from op•rntlng actlvlti
2023
2022
Net Incc¥ne for year180 per Statwnent of Financid Actriitle8)
242.000
AdJu•lm•nts for.
(ln¢reaseyd￿9le in debtLVS
Increa80 in creditors
110.090)
7SO
249
2￿
Net Gash Iu¥gd Inyprovlded by opw￿n9 adlvlll
11.697
242.449
14. Anaty818 of cash and cash oqul¥•l&nts
2023
2022
Cash in hand
294,243 295.940
Pap17

CHURCHILL LINES FOUNDATION
(A Company Llmlted by Guarantse)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023
15. Analysls of chang•s In n•t d•bt
At1Jufy
2022 Cmh Ilows
At 30 Jun•
2023
Cash at bank and in h￿d
295.940
(1.6971
294,243
Pag8 18

Reglstered number.. 09090180
Charlty number. 1158677
CHURCHILL LINES FOUNDATION
(A Company Llmlted by Guarantee)
UNAUDITED
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023

CHURCHILL LINES FOUNDATION
IA Company Limited by Guarnntse)
CONTEPfftS
Pa
Rofornnc• and Admlnl•trallv• D•t•lls of the Foundatlon. Its Trust￿ wd Advl8•rn
Trustses. Report
Ind8p8nd•nt Examin•rf* Rèport
Ststsm•nt of Flnancial Actlvlll•s
Balance Sh••t
Statomont ol Cash Flo
Not￿ to Ihg Fln•n¢l•l 8tstsm•nl•
9-18

CHURCHILL UNES FOUNDATION
{A Company Linwled by Guarafits•>
REFERENCE AND AC)MINISTRATIVE DEfAILS OF THE FOUNDATION, ITS TRUSTEES AND ADV18ER8
FOR THE YEAR ENDED 30 JUNE 2023
Trustees
Company r•gl•t•r•d
numbgr
090￿1180
ChArlty r•gl•t•r•d
nvmb•r
11586TI
Regl•t•rod offlc•
Churchill Lintss
MOD St Alhan
Vale of Glwnorgan
CF62 4WA
Accounl•nl•
PrICewatert￿U10CoWrn LLP
Chartèrod Ac¢ountant8
1 Kingsway
Cardrff
CF10 3FW
lnd•P￿d•nt Examln•r Azats S8r4k•$
TyDe
Lime Tree Court
Cardrft Gate Busin•u Parf(
Cwdrfl
CF23 &48
Page 1

CHURCHILL UNES FOUNDATION
IA Company Limited by Guarant••l
TRUSTEES. RepoRT
FOR THE YEAR ENDED 30 JUNE 2023
The TnJslee5 present Iheif annual report l&Jelher with the financi¥l statements of the Fojndation for the 1 Ju
2022 to 30 June 2023. The Annual Report 88Nes Ihe purFKises of both a Trustses. rewrt and a directOfS' report
under company law. The Trustees confirm that the Annual Report and fina￿la1 statements of the charrtablo
company comply wrth the currenl slatulory requirements, the requirements of the charitablg companvs
governing document and the provtsh)ns of the Slatamant of Recommended PrnC1p￿ ISORPI applicable to
charrties preparing their accounts in accord8nce wrth the FinwKi81 Repvting StarKlard 8pplic8bb In UK and
Republ￿ of Ireland IFRS 102) leffe(al￿ 1 January 2019).
Since the Foundation qualifies as small undèr section 382 of tho Companies Act 2006, the Stratsgic Report
rffjuired of medium and large cOrrpan￿5 under the Companies Act 201% Islralegic Report and Director8,
Report) Regulatws 2013 has been cmffted.
ObJecllv88 and actlvlll
. PollcSM and obJ•ctfv••
The objective8 CA the Foundation
To assist per8ollB who are ¢urr•nlly In or who have sep48d in
unf( of the Britr8h Armed forc•s. Induding others who have serve
ongsi
e or In support o
,1 id the dependants ol any ol the above by advaneing any lavrful charitable purpose at the discretion
the Trustees, and particuLady bul not exclu8i¥ely to promote and Pfotecl the hearth of tho88 that have
been wounded or injured whilst seNing in or with th￿andlor thair dependonts through the prov18Kin
of facilities, equipment or servtts for their rehabili181ion ano lo provKle beneff($ lo por6on6 and their
dependants who 8re in naod.. and
b. To 8dvanrn •ducatK?n by di88eminating Infom)8li￿ on t￿ history. d••d¥ and tr&litins ol th
In 8ettlng objectNOS and pl8nnir*J for a¢tivities, the Tru8teos hwa qb￿ dua w)$idorth) to gan6ral guldanc8
published by the Chanty CoMmi￿10n relating lo benefft. irKluding the qu￿31￿ 'Public benefit.. running a
chanty {P821'.
b. M•ln 4¢tl¥ltlM undertakèn lo further th• Foundatlon'¥ purpoM• for th• publlc beneflt
Historically the F¢wnd•liM $¢1 a fundraising 9oal to rni8e up to £100,(MJ) in OTd8r for the Foundation to D)mmit
to Its charitabb activities. The gOr￿ated funds we*è u8eA for 8ffAII high impa¢t projo¢ts. in¢ludlng.'
Hardship bans. as ass9$8ed by the Padm..
Support 10 88rwce personnel and their famil￿ to 6eparation', wd
Improving the lived experien¢¢ on base.
In addition, in 2022 a further need was identified during Ihr.. ,'o,Ir IJ provide support lo indNidualB and their
dependanl8 who had al￿sKI9 or in supp¢)rt ol ￿11￿ the year end&J 30 June 2022, over
£700,000 was raised in grants from other OffJanisalions to SLJPPOrt Ihis woth and over £267.CW (2022..
£450,000) of the raised had been exF¢nded this year to support those that requir8d 85SiStance.
The Found8tion is undertaking trwo prolects fvrthérance of its obiectNes being..
1. An expedition by members of the Unit lo the HimaLgyas," arKI
2. The development of a welfare centre for the ber*fft ofthe members o
nd their familie5.
Both projects were at a relativety earty stsge at tha end of the finan¢*l year and so a more detailèd report on
these will be provided in the next set of finarKial statenwnts.
Page 2

CHURCHILL UNES FOUNDATION
{A Company Umtt•d by Guardnt••l
TRUSTEES, REPORT (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2023
Achlevements and p•rform•nc•
•. Maln a¢hl•vem•nts of th• Foundatlon
The Foundation has made 8 sKJnifKant contrlxrt*)n to ts libys of benef￿l￿r￿. Examplos of 80me of the
main achievements of the Foundation include:
The provi8k*n of fin*￿181 8SSiStance lo indi￿dual5 through grants to off-set the cost ol traval and (rther
items where dhar seNica lunds are not available;
The pwtsion of 8ccorn¥Aalion and tran8POrt for bereaved famili8s to attend romwnbrance events,.
Tr8nsport and occomrThJdatv)n for v*eran8 to visit key Un￿ e￿tr on a wetfare ba￿¥. ao as rK)t to excl￿de
injured personnel;
The provisKJn ol profes$k￿al devekpment t)pportunrtros in the fom of speakers and presentallon$.'
The prcwisKm of career and r88etUem8nl advice to those leaving the military..
Numarous clhor small 8¢ale, high impxt woiects to provide wolfare 8UPPJrt for the bgneficlarles of t
FoundaUon'. and
Malgrl81 support lo lndfvkI￿1& and deFerKlants who ￿Uired 888i*anco as a result of worklng wllh and
6UPPOrtln
b. Fundrnl•lng •thltl•• and IKom• g?nwaOon
The Foundation is ￿lIaNt on the donations of 8 nunthr (rf discre81 phi18nlhropic iThJividuals who recL¥ni8ed the
8pecial contnbutK•n ￿per$on￿OI mako to the Unit•a Kingdom and the rtt4J to 8UPPOrt tho86 Individuals and
dependanl8 when they are wouryjed or injured.
Tho Foundation typicalty hold8 a lknitod Nmbgr al discra8t lundr4i6iNJ everts to prOft￿ rt88lf lo such
indlvidual8 with the aim of 8ecuriTrJ donatlon•.
c. InvMtm•nt pollcy •nd wrform•n
Surplus cash balanees are cumrtty hekl os on depL￿* at rnputabl• finarthl Institutions to facifilato easy
acce55 to markago the IKiu*Jty of the FOUndat￿n.
Fln•n¢l•l rnvl•w
a. Golng conc•m
After making appropriate enquiries. the Trusteos have a ￿aSonable expectalion that the Found0t￿n h85
ad6yuale resources lo continue in operational existenc• for the ftXeSeeab￿ future. For thi6 reason, I
continue to adopt the gciro eoncem b8515 in preparirvJ th8 finar￿191 ¥tatementi.
b. Re••rv•8 pollcy
The Trustees are s*]sfEd with the current level (rf rnserves held by the FoLmdath)n.
The Foundation has very lynited ongoing oper81iond costs and therefore deci8ion$ to award grants provhle
support are basad on ￿ ￿ve1 d funds avaikqbie at the time of appl￿￿￿￿. At 30 Jung 2023 tho unre8trided
fu￿￿$ are £198,472 {2022.' £38,585).
The Foundation aim8 to keep £5.tK)0 8$ a mininum in Te¥eNe to enable immediate rgswnse to
81gnificant welfrdre Incident
Page 3

CHURCHILL LINES FOUNDATION
IA Company Llmtt•d by Guarnnt•e
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 30 JUNE 2023
Structur•• gov•rn•nce and managemenl
Churchill Lir￿ Foundath?n is r8gislered a5 8 charitsble company Iwnited by guarantee and was 8et up by
MemorarKlum of As50ciatp)n which was updated in 2021.
b. M•thods of appolntrnfjnt or •l•CtI¢￿ of Tru•te
The management cl tho Foundat￿ * the resp¢￿Ilbi1ty of the Tnjstees who •r• d¢¢ted under the temi8 of
Arti¢t¢s of Associalion.
Plam lor futur• p•rfod•
The Foundation Intends to contlnu• to rai8e funds and provide supwt to
er•0nr￿ ar￿ thoir dependents
Ar￿ th08e that hove served ak)ng$lde or In Support tr￿and thwr dependanl8.
M•mb•r•' Ilablllty
The Members of the Foundation guarant￿ to contnbute an amount exceeding £1 to the lo￿ti of lh•
Foundatw in the avont of windirwJ up.
St•t•mont of Tru•tM•' r••pon•lbllftl8•
The Trustees (who ar8 also the directors of the Foundation for Ihe pu￿0808 of company lawl arn ￿SponSIble
for preparing the Trustees, Report and the financial st*¢￿￿nts in accordance wtth applicabh Law and Unrted
Kingdcm Accountry Standwds (Unrted Kingdom Gengralty A￿pted A¢¢ounting Practui}.
Company law requlm tho Tw81088 lo prwre financial statements for exh financial . Under company Lqw, the
Tru51eeB must not approve Ihe finoncial Slalèmènls Un￿8$ they are satisfied Ihal they give a true and falr wew
ol Ihg slalo of affairs of the FoUndat￿n and ol ils inwming fesourees and applKation ol resources, induding rt$
income and expenditure. for that period. In preparing these finan¢k*l $lalemenls. the Trustees are required lo..
Setht suitable acc￿nting poIKies and then appty Ihem con•i¥t•ntly:
ob8efve tho melhtsjs and prlnciples of the chartt￿ SORP (FRS 1021..
make judgwnents and aecounling estimates that are Teosonabk and pnjdent.,
$1819 whether applicable UK Accounting Standards {FRS 1021 have been frJlkyh*d, subjocl lo any
malorial departu￿9 discl¢)sed and explained in t1￿ financial slalemnt8.'
prepare the finanual statements on the concem basis unless rt is Inapproprfale to pro8Uff￿ that the
Foundation TrMII eonlinue in tr￿SIness.
The Trustees are responsible for keeping adequate 8ca)vnting records that a￿ sufficient to 8huw and explaln
the Foundation's transactions and disdose wrth reasonable accuraGy at any lim8 the financial posiip)n of tha
Foundation and enable them lo ensure that the financial sL7temenls Comp￿ with the Componies Ad 2006. They
are also responsib￿ for safeguarding the assets of the FOundalK￿ and hence for takin9 re8sonable steps ft)r
the prevention dgtection of fraud and other irregularilies.
Approved by crfder of Ihe membws ofthe board of Tru8t8es signgj on the￿ i*haW by..
Dale. 29 April 2024
Page 4

CHURCHILL LINES FOUNDATION
IA Company Lknit•d by Guar•nts•
INDEPENDEKf EXAMINERE REPORT
FOR THE YEAR ENDED 30 JUNE 2023
Ind•p•nd•nt Examlnerfs R•port to th• Tn￿t•05 of Churchlll UMS Fowthtlon Ilhe Foundthn.)
I repcrft lo the th•rity Tnjstoes on my exAThn81ion of the accounts crf ts Foundation for th& year endèd 30 thjne
2023.
R•*pon¥lbllttlM and Bashs of Roport
A6 Ihe Trustees of Foundthi (a￿ rts dYecti)rn for the purpostt of company law) you are re8pon8lblè lor
the prep8r*lon of the accounts n 8ccord•n¢¢ wlth the requirembnts of th? CThni85 Act (Ihe 2006
Ad,).
Having 8th1sf￿￿ mysèff that the accounts of the FourKl8tbn are not required to be •udlted under Part 16 of the
2LKJ6 Act and arn elwJible fly indopgndenl examin8tK)n. I report in ro8potr1 of my examin8tlon of the Foundalkn'8
accounts carr*d out under 8ec#ion 145 of the ChaTrti8s Act 2011 Ilhe 2011 Acfi. In carrying c4Jt my examin•th)n
I have follthved the Direct￿$ glven by th• Chwity c(xT)mk%8￿ under 8aCtM)n 145lSllb) of 2011 Act.
Ind•p•nd•n¢ Examln•rf• 8tat•m•nt
I ha￿ ccfflpknt•d my ex8mln•tknn. I c(rfrm that no mattern hawé ¢on• lo my attentK)n kn connaetlon vAlh the
examknation givkng to boligve:
countin9 r•¢ordi were ncé kept in respect cl thé Found8t1￿ Js requlrnd by ￿ctIOn 386 of th• 2r
the •c¢ounts do not xcord with thDfj8 records.. or
the account8 do nol compty with the xcounting requiromerrts d sedlon 396 d th8 2l￿ Act othor th•n
any requirement that the accounts 9￿• a Irue and lairf view whlch li not 8 matter c¢x*ldered as part of
an independerrt 4￿MInat￿l. or
the accounts have not been yepar•d wllh the methc*l8 and pTrKiples of ttkg St*•ment of
Recorrmnended Practite for accounting 8rKI reportiN4 by chariti98, appl￿ble to Charit￿ preparing thelr
8Kcounts in accordonce wilh the FInar￿la1 R8portirrfJ Slondard appli￿￿ in th• UK 8nd Republi¢ of
IrelarKI IFRS 102}.
I have no conc•m8 and havè ¢om• •cross no ￿ matters in connectw)n with the examin8lion to whkh
8ttentlon 8hould be dr￿n in this report in order to enable 8 proper understanding of the accounts lo be
Thro report 18 made sow to the Foun(18tion's Truste85, as a body. in ￿¢￿￿nce with Port 4 of tho Charit￿8
{Accounts and Reports) Regulat￿$ 2LX)8. My work has been undertaken 50 that I might stste to Ihe
Foundallon'ts Trustee$ those motters 18m required to 8t8te to them in an Independent Examinerf$ Report and
for no other pu￿ose. To th8 fUl￿t extent permitted by Lvw, I do rKJt accept or assume r8sp)n$ibility to AnyM•
other than the FoUnd0￿n and Foundat￿n,$ Truste￿ as a body. for my worf( or for thbs rnport.
Slgned..
30• *knZY
FCCA DChA
Jognne Toylor
ets Audit SèNce8, Ty Derw. Lttne Tree Court. Ca￿lff Gale Buswie88 Pa￿. Cardny CF23 8AB
Page 5

CHURCHILL LINES FOUNDATION
IA Company Llmltod by Guarnntee)
8TATEMENT (xr FINANCIAL ACTMTIES {INCORPORATING INCOME AND EXPENDITURE ACCOUND
FOR THE YEAR ENDED 30 JUNE 2023
Unrnstrlcted
fuDd8
2023
R•stfKt•d
nds
2023
Total
fund8
2023
Total
fund8
2￿22
Incom• fn>m:
D￿￿.0ft$ and *aci86
124.681
110.(
234.681
757.439
Total Incom•
124.581
110,0th)
234,581
757,439
Exp•ndlthr• on".
Charitable actP4IieB
63,303
163,636
226,938
515.439
Totsl •xyndltur•
63.303
163.635
226.938
515,439
Not In¢om•l(•xp•ndltur•l
Tr8nsfern between fur¥Js
61.278
103.996
153,635)
(103,995)
242,000
11
N•1 fflov•m•nt In fund•
165,273
1167,630)
242,CKrt)
R•conclll•llon of fund•:
Total lund8 brought foNMrd
Net movement in funds
257,630
1157.6301
296,215
S4.215
242.CKJO
166373
Totsl funds carTl•d forw•rd
203
100.000
303,858
296.21S
The Slali*nenl of Financial AclNitie¥ IndUd￿ 01 yins and k)ss0s r¢counifyed in th& year.
The note8 pages 9 to 18 fomi part of these statemenls.
Page 6

CHURCHILL UNES FOUNDATION
{A Company Umlted by Guarantee)
REGISTERED NUMBER: 09090180
BALANCE SHEET
AS AT 30 JUNE 2023
2023
2022
Cum¢
Deblorn.. arry)unts falling due within one ye
Cash at barth and in hand
11.886
1,775
295,940
306.108
297.71 S
CredIt￿$.. 4Th￿nts f8llk)g due wthkn one
10
122501
11,500)
Total ￿0•￿ IM8 curr•nt Ilablllll
303,858
298,215
To¢•1 n•t •M•ts
303,858
2￿,215
Ch•rlty fvnd•
Restricted funds
Unrestrthd funds
11
11
100,IXIO
203.868
257,630
38,585
Tot•1 fvndl
303,868
296,215
Tho FoundotKJn wa¥ entrU•d to exempbon fr(¥n audit urKler SeCtiL￿ 477 of ￿ Cry8Th￿ Act 2006.
The members ha￿ rKrt required the compary to obtain an a￿lIt lor th8 year in qU88tL￿ In xcordance wlth
88clion 478 of Cryani88 Act 2006.
The Tru8lees aL*n(yMedge their resp)rritslitm for ¢￿￿tyl￿d wrth the requir8ments of th• Aet wlth respect lo
accourrting reco￿1 and preparatKJn of ffinanthl 81atements.
Th8 financAal staterrnnts have bggn proFW￿ In with thg pro7418icrn applicab￿ to onlTti•¥ ￿bleCt to
the small cl￿Par$￿ regirr*.
The fina￿181 8tateTh￿ntB weve 8pproved and authorisod for i58uo by the TnJtees and syned C￿ thelr l)ohaW by:
Chair of Trustees
Dal8.' 29 April 2024
The noles pn paggs 9 to 18 f￿M part of these financial tsterrenis.
Page 7

CHURCHILL UNES FOUNDATION
IA Company Limlted by Guarnntee)
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 30 JUNE 2023
2023
2022
Ca•h 110￿ from opèrntlng actlvltk•
Nel cash (used inyprovKlgd by operating act[￿￿$
13
11,6971
242.449
Chang• In cmh and cash equlvalgnts kn th& ymr
Cash and ¢a$h equrv8lents at the beginning of the yow
(1,89n
242M9
53,491
C•gh and cash •qulvalents at th• •fid of the year
14
294,243
295.940
The notes on pagas 9 to 18 ft>rm part of theje fiMnts•l 8tattynent8
Pag8 8

CHURCHILL LIIIES FOUNDATION
IA Company Limitod ￿ Guarnntso)
NOTES TO THE FINANCIAL STATEMEP
FOR THE YEAR ENDED 30 JUNE 2023
Genernl InfornMtlc•n
Churchlll Lirns Foundation {the Foundal*)n"I Is a yfvaie ¢orryny limrted by guarantee IR8gi8tered No
090901801 and a rogislered charity (Chanty No 11586771 in England and Vvales.
The registered offltè of the FOUndatK￿ 1$ Tho Reg￿￿tal Accountant. Churchill Linas, MOD St Athw,
Vale cl GlarTh)[9￿, CF62 4WA.
Accountlng polkl
2.1 Ba•1• ol pr•par•tlon of fln*n¢l•l *l•t•mwts
The fmancial slaleffents ha￿ been prepared in acccrfdance with th• accounting policM set OLrt In
note 2 to the financial 8talement8 and coryty with the Foundation's goveming document. the
Companles Act 21kX8 and 'Accoun￿ng and Rewllng by charit￿.. Sialemenl of Reeommentjed
Pr8Ctica 8pplicabl• lo charitièg prèparing their accounts in accordance with tha Financlal Reportlng
Stsndgrd 8pplK*le in the UK and Rowb1￿ of Ireland {FRS 1021 {eff8ctlvo l January 20191.
Churchill Lines Foundation the definitKffi cl a public b8n6fft entty un¢J8r FRS 102. Assets and
IL4biliti88 are inrtialty recognned al historic41 c(*t or transa¢lK)n value Un￿$5 otherwt8e stated In thé
relewnl accountiry policy.
The financial statermnts are prepaT•J in Unite(l Kingdom Pounds Starling (GBP) and are rounded to
the nearest pourKI.
22 Incom•
All irKcmè rd recognised once tha FoUndat￿n h¥5 ontiuement to the income. it 18 probable that the
Income wlll bo r•¢eN¢d 8rKI the anw)unt ol inccwrn ￿N￿ble can be m8a8ured Teliably.
Grant8 are included in the Statement of Financial ActNities on a r8caivabbg basis. The balance of
IrKome received for specific purposes but rMIt expendtyj during the p8riryJ 18 shown in the relevant
fvnds on the Balance Sheet. Wher8 income is receN8d in advance of entrtthenl of receipt. its
reco3nrtion deferred and induded in uedrtor$ 85 (lefeffed incomo. Wherè ¢ntrtI￿8nt occurs
betrjre in￿e is r•coivwJ. the InC￿e r& xcrued.
Don81ed 8eryKe8 or facilli￿ are recogn1￿1 ¥•*￿1 the Foundatlon has control over the Item. any
condil*)n$ assOc￿led with the donated item have been met. the re￿pt of gconomic beneffil from the
use of the i¢em is probable and th81 eccrfK¥nic benofft can be mwured reliably. In accordance wlth
the Charitses SORP IFRS 1021, the gerwal voluntoer ling of volunteers is Tr)t re(KJgnise(1 ond
pkne refer to the Tr￿le￿. ReFth for mc*e infonrot*)n 8LvJl ther contribulton.
On reeeipt, (knnaled profes$ky￿1 wvices ond facllitigs are recoJni8ed on b8818 of th8 value of
the gift to the Foundation whKh is the amounl it would have been willing lo pay to obtain 8erv¢ce8 or
faryl((￿S of equNalenl econ￿1¢ benefft on the (w market: a corr95ponding amount is then
recognise(l in eyperrfjiture in ￿ perKAI ol recept.
Inc(xr* tax recoverab￿ In relatK*n to donatth f￿[¥*d under Gfft Aid or deeds of o)v•wnl 1$
recognise(l at the kn.rne althe (k)nalK￿.
Page 9

CHURCHILL UNES FOUNDATION
IA Company Llmlted by Guarantsel
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023
Accountlng pollcles IG¢JntIny￿j
2.3 EX￿ndIt￿re
Expenditure is recoJni8ed 0￿e there is a leg* or ¢>)nstw¢tlve obligation lo transfer econcfflic
benerrt to o third pwty, It Is prOtsab￿ that a transfer of ￿1$>￿1¢ bèneffts wll be required in
settlement and the aTr￿Unt of Ihe eèligalmin can be measured reliably. Expenditure is classrfied by
trvity. costs of each xtivty are made up d the total of direct costs and shareil costs, including
support eosls involved in undertakiry each ￿kn"¥ty. Direct cost8 attributab￿ to o sirvjle activity are
allocated directty to that actrvity. Shared costs wh￿h conlribule lo rrwe than onè activity and 8UPPOrt
costs which ore not attributab￿ to a 8iThJle activity are apportK)ned beknrt those activities on a
basis CC￿sIStenI with the use of restsjrees. Central staff costs are allocat￿1 on the bas1$ of tlme
$p¢nt. and d6prttiatKM chwges elkKated on lh• ￿￿K)fi of the a888¥s uae.
Expendrtur• ¢)n charitsblè KtNiti88 is incurred on diwtty undertaking 8¢INitias which further lh8
Foundation's objectives, ￿ well 8$ any assc¢iated support costs, including governance costs.
Granly p8y8bl6 are charged in the year when tho offèr is made except in those cases where th?
offer is ¢ondib"ono1. Such grants bthng recognised as expenditurè when the conditions attaching are
fvlfilled. Grants offered subl8et lo condition8 which have rrf)t Lwn met at the yoor end are noted 88
commthent. but not accrued 48 eypendrture.
Al ¢xr¢ndriur• 16 IrKI￿1￿ ol irTecovor8ble VAT.
2A D•btorn
Tradè and othér debtors are recLynised at the 8ettb&ment amount after any trade diBcounl offered.
Prepayments afe Valu￿ 81 tho affK)unl pfepa#J nel of any trad• dis¢ounts duo.
2.6 Ca•h at ￿nk and In hand
C￿h 81 bank and in hand Includes cash and short-temi highty liquid mve8lrMnts wAh g Short
matunty of three morth• crf le8G frlyn the date of wui8ition ￿ oponlng of the dop08it or Similar
account.
2.6 Llabllltlm and provhlon•
Liabilrties arg recognised when tt18re Is an obligatton at the Bolan¢e Sheet date as a res￿1 of a pa61
evenl, rt is probable thal a transfer of acc￿OrniC benefft will bg required in settl8￿nt, and th8 amount
olthe 8etUement can be estimated reii8bty.
Liabilit￿$ arg rect)Jnised at ts arrount ttwi the Foundat￿￿ ant￿Pate$ it wlll pay to Sett￿ the debt or
the arry)unt it hgs rtreived a$ advanced payments the goLK15 or ww¢es rt must provide.
Provi8ion8 are measured at the best eslim8te of the amounts required to sattl8 th8 obligation. Where
the affect of the time value ol rroney is material. the provision is based on the present value of th¢
an￿unts, discounted al the pre-tax discount rate Ihat r8fiects the risks specific to the li8bility. The
urMtindir¥J of th8 diycount i% rectr3noed in the stat￿ent of Finartial ActNities as a finance cog1.
2.7 Flnanclal Instruments
The Foundation On￿ has financial assets and finaroal liabililw of a kind that qualfy as basic
financial instruments. Bas￿ financial inslrunwts ar8 initialty recc*Jniged al transaction value and
subsequgntty maasured at their setllemenl value.
Page 10

CHURCHILL LINES FOUNDATION
IA Company Limitad by Guarnntofj)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023
A¢¢ountlng pollclm (coftllnu•d)
2.8 Fund •ccounllng
General fuThJs are unTe8trKled funds which are aValab￿ for at the discration of the Trusteés in
furtherance of the genaral abi￿l¥e& of the FouTrJatK)n which Iwe b¢¢n d¢signated for
other PUfP)se8.
Dts8ignated fund8 Gcffiwr6e unrestrvAed funds that ha￿ boen 8•t a$hla by ts Trustees for particular
purposes. The a¥n and use of d￿gn8tsd fund i• ¥et out in tho note6 to finan¢lal
stalements.
Restricted funds ar8 fund8 wh￿h aro to bg L￿d in accordance wlth spo¢Kk ￿¥tricI10n¥ imposed by
donors or which have been raised ty the Foundation for particular purposes. The cost8 of raising
ond administering Such funds are charged 4ainst the spe¢fv fund. The aim and of each
restrKted fund ￿ set out in tho ncAe8 to th• financial St*0￿￿ts.
In¢om• from don•tlon• and l•gacl••
Unr•strlci•d Re8trlct
fund•
funds
2023
2023
Tot•1
fund•
2023
Donations
Grants
124,581
124,581
110,000
110.oc
124,581
110,CX)O
234,581
Donations indude £3,CTrI12022.' £2.1001 ofdonotKfflS in kind for accountsncy 8eMC¢S.
Unrestricted R8stridad
funds
fund¥
2022
2022
Total
fvnd$
2022
Donations
Grants
45,744
45,744
711,695
711,695
45.744
711,695
757,439
P8ge11

CHURCHILL LINES FOUNDATION
(A Company Limitsd by Guarantee)
NOTES TO THE FINANGIAL STATEMEpirs
Foft THE YEAR ENDED 30 JUNE 2023
Analy918 of grnnts
Grnnt8 to
Grant8 to
Instltutlon• Individu•ls
2023
2023
Ti>tal
tunds
2023
Suprh)rt for Serv￿8 pwsonnel
Support for individual$ ¢onnected
15,266
15.266
163,635
163,635
163,635
15,286
17B,901
Gfants io
In8lrtub'on#
2022
Grant8 10
Indkndu818
2022
Tothl
Jnds
2022
Support for 8eryke per1(￿ne1
Support indNidua18 conno¢t8d
20.792
10.045
20.792
24.445
14,400
14,400
30.837
45.237
The Foundation ho8 made folkAw'ry material grants to in8titution8 during the year..
2023
2022
Name of instltutlon
Foundation
162.900
Olher granh to iistituti'ons
736
14,400
183,636
14,41XI
Page 12

CHURCHILL UNES FOUNDATION
(A Compny Limitod by Guarantsg)
NOTES TO THE FINANCIAL STATEPAENTS
FOR THE YEAR ENDED 30 JUNE 2023
Analy•lry of •xp•ndhurn (m Gharftable athltlfjs
SUMM￿ ty fund typ•
Unre8trlct•d Rè8trlct•d
nd•
funds
2023
2023
Tothl
2023
Supwrt to p•rnMn
Support for indfv*Ju81s connectod Y4tt
83,303
63.303
163,635
163.635
63.303
163.635
226,938
UnrèstiKted Re￿nCIed
fund8
fund8
2022
2022
Totsl
2022
Support lo 8ervK4 pernom
Support for Indlvkiual8 connecteAI vjfth
81.374
61.374
454.C65
454,C￿5
61.374
454.C65
515,439
Analy8ls of •xp•ndllur• by acth7ltl••
A¢tlvitl•8
Grnnl
undèrtaken fundlng of
dlrgc
*ctlvltl•
2023
2023
Support
cost•
2023
Totsl
funds
2023
Support for service perscfinel
Support for indivKluals connected with
36,391
15.286
163.635
11.648
63,303
163,635
36.391
178.￿1
11,646
226,938
Included withwi supwxt costs are govemance expenses of £5.709 (2022.. £3.600).
P89& 13

CHURCHILL LINES FOUNDATION
IA Comyny Lim6ted by Guarantee
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JLW4E 2023
An*1￿1* of •xp￿dI￿re by •ctfvltles Icontlnu•dl
Grnnt
fvnding of
actNrt
2022
undertaken
direct
2022
Supwrt
Total
funds
2022
2022
Supp)rt for service perswnel
Support kn indmduds conne(Xed wrti.
35,309
429.620
20,7¥2
24.445
5.273
61.374
454.C65
464,929
45,237
5,273
515,439
Analyikn of •upport costs
Totsl
fund$
2023
Total
lund8
2W22
Administr8tw expenses
Accounting services
3,173
2.100
3.000
5.273
Indepondent examlnerf• rwnun•rallon
2023
2022
Foes payable to the Foundation's examiner for
independènt èxamination of the FOUndatM￿,8 annual accounts
2,250
1,500
TrusteM' r•mun•rntlon and oxpens
DuriryJ the year, rn Tru¥tees ary remunera1K￿ or other beTth (2022 . £NILI.
Duriw the y8or end*AI 30 June 2023, no Tnjstee eypense5 hwo been in¢urred12022 - £NILI.
Page 14

CHURCHILL UNES FOUNDATION
(A Company Umlted by Guarnnt••l
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023
Dobtorn
2023
2022
Du• wlthln on• y•ar
Other debtor8
11,865
1,775
10. Cf•dltor•: Amount• f•lllng du• wlthln on• ymr
2023
2022
A¢cru81s arKI deferred ir
2.280
11. stst•m•nt of fund•
Statsm•nt of fund•- cuirnnt y•ar
Balance at
30Jun•
202J
Trnn•for•
Inl¢)ut
July 2022
Incom• Exp•ndltur•
Unr••trlct•d lund•
D•slgnat•d funds
Weware Contre
14,6141
10,000
5,386
G•n•r•l fund•
General Fund
124M1
158,6891
93.995
198,472
Total Unrnstrkt•d lund•
124,681
(63,303}
103.995
203,85B
Conne¢led Person8 Sup
Fun¢J
Hlnalayan ExF*ditK
267.630
10.orrf
100mO
1163,8351 1103,995
100.000
110.000
1163.6351 1103,995
100,000
Totsl of funds
296,216
234181
(226,9381
Page 15

CHURCHILL LINES FOUNDATION
IA Company Llmlted by Guarants•l
NOTES TO THE FINANCIAL STAT&MENTS
FOR THE YEAR ENDED 30 JUNE 2023
11. Ststemont of funds (conllnu¢d)
Stat•m•nt of fvnds- prlor y•ar
Balancè
30 Jun6
2022
Balanc8 at
1 J￿￿ 2021
Transfers
inloul
Ine(rn ExperwJ*ure
Unr••trlct•d fund•
Wdfere Centre
G•n•rnl fund•
Gonoral Fund
54,215
45.744
161,374)
38,585
Totsl Unrestrkl•d fund•
54,215
45,744
(61.374)
38,585
Conne¢ted Per8(￿$ Support
FUNJ
Hmnalayan EydrtK)n
711,695
{454.Cfj5}
257,630
Totsl of funds
54.215
757,439
(515,4391
296,215
Th8 Connect&1 Par80n8 Support FurKI w8$ ￿tablIS
8UPkM)rt to individuab land their
dependants} who have worked alorKJside or 8UPPOrted
Upon c¢)nclusion of the projects
undertaken on this lund, Il'e donors agreed that SU￿luS amc4JM8 coukl be usgd more generally for the
b¢nefit of membern 01￿3nd so Ihe relnaining balance wa8 transferred lo to the 98neial fvnd.
lo
The Hinalayan Expediton lund haG b*n established to wpport ￿ eXp•Jit￿n by mmber8 of the Unit lo
the Himalayas.
Th8 W8Nare Centre has eswlished to deveknp plan8 for a cantre for the b•n8frt of the
members ol •nd ￿￿1188.
Page 18

CHURCHILL UNES FOUNDATION
IA CoTnpany Limitad ty Guarnntsfj)
NOTES TO THE FINANCIAL STATEIAEP
FOR THE YEAR ENDED 30 JUNE X123
12. Anaty818 of net a88ats between ￿Thd8
An•ty81• ot n•t ••••ts betwe•n fvnds. curr•nt y•ar
Unrestrictsd Rostrictod
funds
fund¥
2023
2023
Total
funds
2023
Current assets
Credrtors due w1th￿ ono y8Ar
2fK.108
(2.2501
100,000
306.108
12.2001
Total
203,858
1fX).¢Y)O
303.858
An•ly•l• of n•1 M•4ts1)•tw••n fund•. prfor y•ar
Unre8lrfcl
fvrKIs
2022
Rostrtctod
funds
2022
Total
fiJnd8
2022
Current a$$•ts
Creditors due wlthkn ong year
40,085
(1.SCM))
257.830
297,715
11.500}
Tol•l
38,585
257.630
296,215
13. Ro￿ncIlIatI¢?n of nrt mov•m•nt kn furrtl• to net flow from op•rntlng actlvlti
2023
2022
Net Incc¥ne for year180 per Statwnent of Financid Actriitle8)
242.000
AdJu•lm•nts for.
(ln¢reaseyd￿9le in debtLVS
Increa80 in creditors
110.090)
7SO
249
2￿
Net Gash Iu¥gd Inyprovlded by opw￿n9 adlvlll
11.697
242.449
14. Anaty818 of cash and cash oqul¥•l&nts
2023
2022
Cash in hand
294,243 295.940
Pap17

CHURCHILL LINES FOUNDATION
(A Company Llmlted by Guarantse)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023
15. Analysls of chang•s In n•t d•bt
At1Jufy
2022 Cmh Ilows
At 30 Jun•
2023
Cash at bank and in h￿d
295.940
(1.6971
294,243
Pag8 18