REGISTERED CHARITY IYUMBER: 1159152
Re rt of the Trustees and
Unaudlt
Ffinan
lal Stat
ment
she
t 2014
Wheeler & Co Ltd
Chartered Accountants
The Shrubbery
14 Church Street
Whitchurch
Hampshire
RG28 7AB

The
20
C ntents of the Flnanclal state￿nts
Year En
31st Mpdr
Pa
Report of the Tru8te
I to 3
IDdependent EXan￿ner'S Report
Statement of FInane1￿ Actmtlu
s￿teD￿Tht of Flnanclal Posltlon
Note8 to the FIDanelal St&ten)ents
7 to 12
Detalled Statement of Flnanelal A¢tlvAtle8
13

Tbe Kln
sher Trnst 2014
ort of tbe Trustees
for the Year Ended 31st March 2025
The trustees present their report with the fllwKial statements of the clwity for the year ended 31st March 2025. The
Irustees have athipted the provisÉoDs of Accounling and Reporting by Charities: Statetnent of Recommended Pra¢*ice
appllcable to charities preparing their accounts in accordance with the Financial Reporting Standard applicabl¢ in the
UK and Republic of Ireland IFRS 102) {¢ffectiv¢ l Janwry 2019).
0￿ECTIVEs AND ACTlVtTtES
Objectives and alm8
To promote the welfare of the 8ick, handicapped and aged who are resid¢nt in the Overton. Whitcburch. St Mary Bourn¢
and Surrou￿J1nS areas of Nurth Hampshire, in any manner which now OT hereafter may be deemed by law. to be
dwitable by the provityion and opa8tion of a day centr¢, ￿1¢h shall be known as "The Kingfisher Day Centre..
Slgnificant activltle
The Trust provides day care for frail elderly peoplc to ¢nbance the quality of their liv¢& to enable to live
independ¢ntly and to give respite to their carers. A lunch club is 8180 provided to promote wider commity
engagemenL
Most servicc users ¢ollected from their hom&g and arrive at the ¢tntre in the charitys customised dI￿bled accessible
minibus. The charity provides a wide range of group and individual activities and personal care during the day within a
Safe. relaxed and friendly family environment. The day centre has ll lounge, a dining room. wi area for arts and Crafts, a
quiet room and a kitchen. In addition there are well-equipped shower and toilet facilities. includtng two wet rooms with
wbeelchair acce￿. All areas have been adapt¢d for easy acce&8 by our servi¢e users.
Publ1¢ beneflt
The Trustees have given serious consideratlOD to the Charity Commission's general 8uidanc¢ on publi¢ benefit when
revi¢v4ing thc trust's aims, objectivcs and in plannin8 activities. This year public bencfit has been achieved by enhancing
the lives ofour service users by the provision of support service5.
AcH￿VEmENT AND PERFORMANCE
We have had a 8ucce&8ful year this year. Il'8 such a relief to be providin¥ a complete service to people in the local area
again. at the close of 2024125 VK are full, and looking at incr¢￿ing our wup size by increasiog the numbcr of stsff we
employ. W¢ have supported 73 families tbAS year and our existing service users hav¢ increased the number of days they
attcnd which has led to a b¢tter more consistent group ensur1￿ we can providc better ¢ar¢ for thcm.
As usual our focus is on the people who use the Centre, 2024125 has been a year of partie& celebrations and new
experiences for our service users. The Paris Oljinpics inspired our own 8POrting challenge5; the Grand National &nd
Ascot ra¢ing inspired our 'IAdies Day, f&shion creations and we created our owi mini g8Tdens to submit virtually to The
Chelsea Flower Show. Our multi-generational project is going form strength to strength. It is such a ple&%uTe to see the
internctions between the work experAen¢e children and OUT servAce users. Bread maknn& clay sculptur¢ and other craft
activities are always popular along with our skittle alEey and County walks.
This y¢ar we were able to secure Several grants includAng one fonn Sov¢r¢ign Housing for £7,000. This was financially
siBnifAcant for us and has ensured we did not have to increas¢ the lunch chargL'8 for our service users, something
welcomed by everyone at the Centre. The incre88es in food costs over the last year 1$ 8ti11 a concern for us but would
have been a much bigger problem without the support from Sovereign Housing. We also ran the Charity Shop in
WhitchurLh for a ¢ouple of week4 but our nN)st enjoyable fundraising event was a Jumble Sale at the centre, this has
becom¢ a frni fixture and is thorougbly enjoyed by our staff and volunteers, we were able to raise vital funds for all the
little extr&s on offer at the centre.
We were able to br¢ak even this year which is very ple&8inE. Our post-¢ovid recovery plan was accomplished vAiich
means financially we can settlc into increasing provision and d¢veloping the s¢rvice. We remain positiv¢ about the n¢¢d
for our service and the quality of stsff aTLd activities on offer.
Finally, I would like to thank all the staff and voluntcers for their continued dedication. Nicola Smith our n]anager for
the last 19 years 18 retiring and ow s¢arch for her replacement began in March. W¢ wish her w¢ll and look foTward to a
new era at the ¢entr¢.
Page I

The Kln
rjsher Trust 2014
ort of the Trustee8
for the Year Ended 318t March 2025
FII%ANCIAL REVIEW
Flnanclal position
Il is the Tn￿ policy to hold Te5erves amowiting to between & and 9-months' nmning costs but this has not been
possible since the start of the pandemic. We have worked very hard to ensure w¢ were able to stick our Recov¢ry Plan. It
has taken 4 year4 but we are finally able to hav¢ & dcgree of confidence with th¢ long-terni security of tbe Charity.
Obviowly. the increase in minimum wage and changes to the employer National tnsurance Contributions will have a
significant impacL but we are used to obstacles aniL if nothing e]4 the pandemic has made us far more resilient than w¢
were before.
Total fimds ca￿led forward at 31 Ma￿h 2025 stood at £271.214 of which £83,460 was represented by our inallenable
leased propety. The tr￿teeS have no discretion over this fixed asset so it does not fonn part of the Teserves policy.
STRUCTIIRE, GOVERNANCE AND MANAGEMENT
Governkng document
The charity is controlled by a governing constitution adopted on I lth Novmber 2014 is registcred as a charitablc
incorporated organisation under the Charlties AC￿ The cl)arity w&8 fir¥t created in 1984. Ihe ConSti￿tion is unchanged
but the governance w8s modernised in 2014.
Organlsatlonal structure
Under the auspices of a board of 8 unpaid Tnjstees and the Charity Commission. the day to day runnin8 of the centre 18
the responsibility of a paid Manager. who is assisted by paid part-time staff and numemus volunteers. The charity also
works closely with professional health workers, health care agencie8 and other voluntary and community org8nisations.
Rl•k managen*nt
The trustees havc a duty to identify and review the risks to which the charity is exposed and to ensure appropriate
controls are in place to provide reasonable assurnnce against fraud and C￿)r.PolIc1eS and proccdures are re8ul¥rly
reviewed and updaled.
REFERENCE AND ADMINISTRATIVE DETAllS
Regljtered Charlty number
1159152
PrlDelpAI addre88
Kingfisher Day Centr¢
.41
L&verstoke Lane
Laverstoke
Whitchurch
Hamp¥hire
RG28 7NY
Trustees
Adrian Peter L¢wis
Ruth Knight
Vice Chairnwi
John Waterer
Jane MacKenzi¢
Alan Stevens
Julie Roach
aaire Hewetson-Brown
lan Haynes
Resigned 24th December 2024
Appointed 7th January 2025
Appoint¢d 7th January 2025
Apwinted 6th November 2024
Page 2

Tbe Kln
sher Trust 2014
Re
ort of the Truste
for the Year Ended 31st Mareb 2025
REFERENCE AND ADMINISTRATIVE DETAILS
Independent Examiner
Kevin Wheeler FCA
Wheeler & Co Ltd
Chartered Accountants
Th¢ Shrubbery
14 Church Street
Ivhitchurch
Hampshir¢
RG28 7AB
Approved by ord¢r of the board of truste¢s on..... .. .... ........ .....
and Sign￿ on its bel)alf by:
Lfv'4
A P Lewi8- Trust¢e
Page 3

Inde
endent E￿n￿ner'S Re
rt to the Trustee8 of
The Kln
rish¢r Trust 2014
Independent eXan￿Der'S report to the trustees of The Klngfisher Trust 2014
I report to the charity trustees on my examillation of thc accounts of The Wr Trust 2014 (the Tn￿t} for the year
ended 3 Ist March 2025.
RespoD8lbi]itles and basls of report
As th¢ cbarity tr￿SteeS of the Trnst you arc responsible for tbe preparation of the accounts in accordance with the
requirements of the Clwities Act 2011 Cthe Act,).
I report in respect of my cxamination of the Tru8V8 accounts carried out under Section 145 of the Act and in carrying out
my examination I have followed all applicable Directions given by the Charity Commission under Section 145(5)(b) of
the Act.
Independent examiller's statsment
Since your clwitys gross income ¢xceeded £250,OW your examiner must be a member of a listed body. I can confinn
tbat l am qualified to undertake the examination because I am a member of the Institute of Chartered Accountants in
Engl&nd and Wale4 which is one of the listed bodie&
I have completed my examination, I confirni that no material matters h&ve come to tny attention in connection with the
examination giving m¢ cause to believe that in any material respect:
accounting records were not kept in respect of the Trust as requir&1 by Section 130 of the Ac( or
the accounts do not accurd with those records. or
the accounts do not comply WAth the applicable requirements concerning the fonn and content of accouDts Bet out
in the Charkties (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a
tru¢ and fair view which 18 not a matter considered as part of an indq)¢ndent examination.
I have no concern8 and have come across no other m&tters in connection with the cxarnination to which attention thould
be drawn in this report in order to enable a proper understsnding of the accounts to be reached.
Kevin Wheclcr FCA
The Institute of Chartered Accountants in En￿and and Wal
Wh¢eler & Co Ltd
Chartered A¢¢ouAtsnts
The Sbrubbery
14 Church Street
Whitchurcb
Hampshirc
RG28 7AB
Date:
Page 4

The Kin fisher 2014
Statement of Flnancial Actlvltles
for the Year Ended 31st March 2025
31.3.25
Total
fimds
31.3.24
Total
funds
Unrestricted
fimds
Restricted
fimd
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
24.217
24,217
13,053
Charltydble Actlvltleg
In furtherance of the charity's objectives
223,516
223,516
178.834
Investment inwn
3.548
3.548
3228
Total
251,281
251.281
195,115
EXPENDITURE ON
Charltable actlvltle8
In furtherance of the charity's objectives
258,916
258,916
218.702
NET INCOMEIffjXPENDITURE)
(7.635)
(7.635)
(23,587)
RECONCILIATION OF FUNDS
Tolal funds brou8hi forward
277,909
940
278,849
302.436
TOTAL FUNDS CARRIED FORWARD
270,274
940
271,214
278,849
Th¢ Nt¢s forn] part of these fll]ancial staternents
Page 5

Tbe Kin fisher Trust 2014
StateD*nt of Flnanelal Posltlon
1st March 2025
31.3.25
Total
fi￿dS
31,324
Totsl
Unrestricted Restricted
funds
fund
Not¢8
FIXED ASSETS
TangAbl¢ assets
10
84,055
84,055
102.085
CURRENT ASSETS
Debtors
Cash at bank in hand
6,529
184,489
6,529
185,429
8,799
171,539
940
191,018
940
191,958
180,338
cRED￿ORs
Any)unts falling duc within onc year
12
(4,799)
(4.799)
(3,574)
NET CURRENT ASSETS
186,219
940
187.159
176.764
TOTAL ASSETS LESS CURRENT
LIABILITIES
270,274
940
271214
278,849
YET ASSETS
270,274
940
271,214
278,849
FUNDS
UnTestrt¢ted fimd8:
General fund
Long leasebold premises
13
186,814
83,460
194,449
83,460
270,274
277,909
Restricted funds
940
940
TOTAL FUNDS
271,214
278,849
I sla
ents were approved by the Board of TTr￿e¢s and authorised for issue on
. 2nd were signed on its bchalf by.
A P Lewis. Trustee
The notss forni part of these financial statements
Page 6

The Kln
Isher Trust 2014
Notes to the Flnanclal Stat
ments
for the Year Ended 31st March 2025
ACCOUNTING POLICIES
Basls of preparlng the tlnanclal StateD￿nt
The financial statements of the clwity, which is a public berKfit cntity under FRS 102, have been prepared ID
accordance with the Charities SORP (FRS 102) 'Accouniing and Reporting by Charities.. Statement of
Recommcnded Pra¢ti¢¢ applicable lo chariti¢s pr¢pariDg their accounts in accordan¢¢ with Financial
Reporting Standard applicablc in the UK and Republic of Irela[￿ (FRS 102) (effective l January 2019),.
Financial Reporting Standard 102 The Financial Reporting Standard applicable in the UK and Rq)ublic of
Ireland, and the Ch4Tities Act 2011. The financial ststements have been prepared under thc historic&1 cost
convention.
llleome
All income is reco8nis¢d in the Statement of Finallcial Activities once th¢ charity bas entitlement to the fimds. it
is probable that the income will be received and the amount can bc measured reliably.
Expendltiire
Liabilities are recognis¢d a8 expendithre &$ soon as there 18 a Icgal or consttJJ¢tive obligation committiTJg the
Ch￿lty to that expendittre, it is probable that a transf¢r of economic benefits will be rcquired in settlement and
the amount of the obligation can be measured reliably. Expenditure is accounted for on an accruals basis and has
been Lla5sified under headings that aggregate all cost related to the category. Wbere costs cannot be diT¢L￿Y
attributed to particular headings they have been allocated to aclivities on a basis CODSiStent with the use of
resources,
Tanglble flxed assets
D￿reciation is providcd at the following annual rates in ordcr to write off eacb asset over 11$ estimated useful
Itfe.
Long leasehold
Fixtures and littings
Motor vehicles
in accordance with the propety
15tl/o on ¢08t
250/0 On CO$t
TAXatlon
The charity 18 exempt frorn tsx on its ¢l)aritable activities.
Fund a¢couudng
Unrestricted funds can be used in accordance with the charitable objectives at tbc discretion of the tru8teeL4.
Re8tricted funds can only be used for particular re8tri¢ted purposes within the obj¢¢ts of the clnTity. RestrictiODS
arise when specified by the donor or when funds are raised for particular restricted purposes.
Further explanation of the nature and pwpos¢ of eacb fund is included in the notes to the financial statements.
DONATIONS AND LEGACIES
31.3.25
31.3,24
Donations
15.157
9,060
13,053
24.217
13,053
Page 7
continued...

Kill r her Trll
Notes to the Flnan ial
rEn
tatements - contlnued
DONATIONS AND LEGACIES - eontlnued
Grants receive￿ illcluded in the above, are es follows:
31.3.25
31.3.24
Hanwshire & Isle of Wight c0nmll￿ty Foundation
MO￿190nS Foundation
Basingstoke & Deane Borougb Council
7,000
732
1,328
9,060
INVESTMEwf INCOME
31.3.24
Deposit account interest
3.548
3,228
YCOME FROM CHARITABLE ACTIVITIES
31.3.25
31.3.24
Activity
In furtherance of the charitys objectives
In further8ncc of th¢ ¢haritys objectives
In fi]rth¢Tance of the cbariW$ objcctivcs
Client fees
Lunch in¢om¢
HCC contract services
145,635
2,417
75,464
114,946
1,771
62.117
223,516
178,834
CHARITABLE AcfIvITIES COSTS
Direct
Costs (soe
note 6)
Support
costs (sec
note 7)
Totsls
In furtherance of the charl￿8 objectives
258,891
25
258,916
DIRECT COSTS OF CHARITABLE ACTIVITIES
31.3.25
31.3.24
Staff costs
Vehicle costs
Travel costs
CateTing costs
Kitchen sundries
Client sundries
185.739
6.465
28
11,256
412
1,239
4,669
13,022
5,665
1.305
4.108
693
2,060
4,200
18,030
159,296
5.940
425
8.911
688
2,041
2,526
12.246
3,045
2.097
2,337
1.060
Propety c08ts
Rcpairs and ren¢wals
Cleaning and laundry
Administration ¢osts
Staff training
Roplacement equipment
Recruitment fe&8
Depreciation
18.030
258,891
218,642
Page 8

herT t2
14
otes to the Finan
tements- colltlDued
SUPPORT COSTS
Finance
In fithrance of th¢ charity's objcctive8
25
Support Costs, included in the above, are as follows:
31.3.25
31.3.24
ofthe
Total
a¢tivilies
objectives
Bank charges
25
60
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, reniurmtion or other benefits for the year ended 3 1st Mar¢b 2025 nor for the year ended
3181 March 2024.
Trustees, expenses
There were no tsu$tees' expenses paid for the year end￿ 31st March 2025 nor for th¢ year endcd
3 1st March 2024.
STAFF COSTS
The average monthly number of employees during th¢ year was as follows.,
31.3.25
31.3,24
Man&gernent (full time)
Caring staff and drivers Ipart time)
io
No employees received en￿lUrnents in ¢x¢ess of £60.000.
10. TANGIBLE FIXED ASSETS
Fixtures
tL)ng
leasehold
Motor
vehicles
fittings
Totals
COST
At 1st April 2024 and 3 1st Mar¢h 2025
138,338
5,435
50,679
194,452
DEPRECIATION
At 1st April 2024
Charge for year
54,878
6,860
5,430
32,059
11,170
92J67
18,030
At 3 1st March 2025
61,738
5,430
43,229
110,397
NET BOOK VALUE
At 3 1st March 2025
76.600
7,450
84,055
At 3 1st M&Tch 2024
83,460
18,620
102,085
Page 9
conlinued...

The Kin
sher Trust 2014
i Otes to the Flnancial Statem
for
e Year End
31
nthiued
Arch 2025
ii.
DEBTORS: AMOUNTS FALLII¥G DUE WITHIN 0Tr4E YEAR
31.3.25
31.3.24
Other debtors
PrepaynThts
4,744
1,785
6,959
1,840
6,529
8,799
12.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3.25
31.3.24
Trade creditors
Taxation and social security
2,113
2,686
I,057
2,517
4,799
3,574
13.
MOVEMENT IN FUNDS
Net
movement
in fimds
At
At 1.4.24
Unrestrlcted funds
General fund
Long leasehold prernises
194,449
83,460
(7.635)
186.814
83,460
277,909
(7,635)
270,274
Restrlcted fundi
Demmtia Di￿retionary Fund
940
940
TOTAL FUNDS
278,849
(7,635)
271,214
Net I￿vernent in funds, Includ￿ in the above are as follows:
Incoming
resources
Resources
expended
Movement
in funds
Unre$trlcted funds
General fund
251,281
{258.916)
(7,635)
TOTAL FUNDS
251,281
(258.916)
(7.635)
Page 10
continued...

The Kln
sher TTU8t 2014
es lo th Flnall
ents- conthiu
ed 31st M rch 2
13.
MOVEMENT IN FUNDS- ¢ontinued
Comparatlve8 for n￿Vernellt in fund
Net
movement
in funds
Transfers
between
At
31.3.24
At 1.4.23
Unrestrltted funds
General fund
t￿ng leasehold premises
211,081
90,320
(16,727)
(6,860)
95
194,449
113,460
301,401
(23,587)
95
277.909
Restrleted funds
Dementia Discretion&ry Fund
1,035
(95)
940
TOTAL FUNDS
302,436
(23,587)
278,849
Comparativ¢ net movement in funds, ]￿luded in the above are &8 follows:
IDcoming
reSoU￿¢S
Resources
expended
Movem¢nt
in thnds
Unre$trlcted funds
Gcncral fund
Long le&s¢hold premises
195,115
(211,842)
(6.860)
{16,727)
(6,860)
195.115
(218.702)
(23,587)
TOTAL FUNDS
195,115
{218,702)
(23.587)
A currcnt year 12 months and prior year 12 months combined position is as follows:
Net
movement
in fimd8
Transfers
betw¢en
fLmds
At
31.3.25
At 1.4.23
Unre$tri¢ted funds
General fund
Long leasehold premtses
211,081
90,320
(24,362)
(6,860)
95
186,814
83.460
301,401
(31,222)
95
270.274
Restrlcted thndj
Dementia Discr¢tioDary Fund
1,035
(95)
940
TOTAL FUNDS
302,436
(31222)
271214
Pagell
continue<L..

Notes to the Flnanelal Statements- continu
Year En
13.
MOVEMENT IN FtrNDS- CODtlnued
A cU￿ent year 12 months and prior y¢aT 12 n￿nthS combined net n]ov¢n]ent in fimds, included in the alM)ve are
as follows:
Incoming
resources
Resources
expend
Movement
in fimds
Unrestrlcted funds
General fill
Long le￿hOld premises
446,396
(470,758)
(6,860)
(24,362}
(6,860)
446,396
(477,618)
(31222)
TOTAL FUNDS
446,396
(477.618)
(31.222)
14.
RELATED PARTY DISCLOSURES
There were no related paty tranxactions for the year ended 31 st March 2025.
Page 12

The I<ln fisher Trust 2014
Detalled Ststem
nt f Flnanci*l A tivltles
r Ende
31.3.25
31.3.24
INCOME AND ENDOWMENTS
Donatlons and legacies
Donations
Grants
15.157
9,060
13,053
24.217
13,053
IDvestn)ent Income
Deposit account interest
3J48
3228
Charltable actlvltles
Client fees
Lunch income
HCC contract scrvice8
145,635
2,417
75,464
114,946
1,771
62.117
223.516
178.834
Totsl IncomlDg regouree$
251,281
195,115
EXPENDITURE
Charltable actlvltles
Wages
Vehicle ¢08ts
Travel costs
Calering costs
Kitcben sundries
Client sundri¢s
Insurancc
Property costs
Repairs and renewals
Cleaning aThl laundry
Adminlstration Costs
Staff training
Replacement equipment
Recruitnwut fees
Depreciation: long le￿ehOld
Dcpreciation: motor vehicles
185,739
6,465
28
11256
412
1,239
4.669
13,022
5,665
1,305
4,108
693
2,060
4200
6,860
11.170
159,296
5,940
425
8,911
2,041
2.526
12,246
3,045
2,097
2,337
1,060
6,860
11,170
258,891
218,642
Support tosts
Flnance
Bank charges
25
60
Totsl r¢80urce3 expended
258,916
218,702
Net expeDdltyre
(7,635)
(23,587)
This pag¢ d(￿ not forni part of the ststutory financial statar
Page 13