SARA UK 2018-19 INCOME  EXPENCES DATE DISCRIPTION WAGE 560 ACCOUNT 4/9/2018 LOAN REPAYMENT ALL RENT INCOME IS FROM SARA LTD TO 4/11/2018 RENT INCOME PAY RENT FOR BENNET ABD RICHFIELD. 4/18/2018 RENT INCOME DONATION ARE FROM CAR PARKING, 4/24/2018 DONATION FOOTBAL PARKING, FESTIVAL TOILET, 4/25/2018 RENT INCOME OR INDEVIUAL OF THE PUBLIC. 5/2/2018 RENT INCOME 5/9/2018 RENT INCOME 5/16/2018 RENT INCOME 5/23/2018 RENT INCOME 5/30/2018 RENT INCOME 6/4/2018 6/6/2018 RENT INCOME 6/13/2018 RENT INCOME STOCK PURCHASES ARE FOR THE CHARITY 6/19/2018 STOCK PURCHASE TO HELP IN ITS CHARITABLE WORKS. 6/20/2018 RENT INCOME 6/26/2018 RENT INCOME 6/27/2018 RENT INCOME 7/4/2018 RENT INCOME 7/11/2018 RENT INCOME 7/19/2018 RENT INCOME 1/25/1900 RENT INCOME 8/3/2018 RENT INCOME 8/8/2018 RENT INCOME 8/15/2018 RENT INCOME 8/22/2018 RENT INCOME 8/28/2018 TOBBY FUND RAISONG CAR PARKING FESTIVAL STOCK SOFAS LOAN REPAYMENT 8/29/2018 RENT INCOME 9/3/2018 VAT REFUND 9/5/2018 RENT INCOME 9/12/2018 RENT INCOME FESTIVAL & FOOTBALL PARKING 9/17/2019 NEW SOFA STOCK 9/19/2019 RENT INCOME 9/20/2018 NEW STOCK 9/26/2019 RENT INCOME 10/3/2018 RENT INCOME 10/10/2018 RENT INCOME 10/15/2018 NEW SOFAS 10/17/2018 RENT INCOME 10/24/2018 RENT INCOME 10/31/2018 DONATION RENT INCOME 11/7/2018 RENT INCOME 11/12/2018 LOAN REPAYMENT 11/14/2018 RENT INCOME 11/16/2018 DONATION 



11/17/2018 DONATION 11/21/2018 RENT INCOME 11/28/2018 RENT INCOME 12/3/2018 LOAN REPAYMENT 12/4/2018 LOAN REPAYMENT 12/12/2018 RENT INCOME 12/19/2018 RENT INCOME RENT INCOME DONATION we have to pay through this to claim VAT 12/20/2018 RENT 12/27/2018 RENT INCOME 1/2/2019 RENT INCOME 1/4/2019 LOAN REPAYMENT 1/8/2019 RENT INCOME STOCK SOFAS STOCK SOFAS 1/9/2019 RENT INCOME 1/14/2019 RENT INCOME 1/16/2019 RENT INCOME 1/17/2019 RENT INCOME RENT 1/23/2019 RENT INCOME 1/30/2019 RENT INCOME 2/6/2019 RENT INCOME STOCK 2/12/2018 RENT INCOME 2/13/2019 RENT INCOME RENT INCOME 2/14/2019 RENT INCOME 2/15/2019 RENT INCOME RENT INCOME RENT 3/6/2019 RENT INCOME LOAN REPAYMENT 3/18/2019 RENT INCOME 3/20/2019 RENT INCOME 3/21/2019 RENT 4/1/2019 RENT INCOME we have to pay through this to claim VAT RENT BENNET 



|NAME /BUSINESS|AMOUNT IN|AMOUNT OUT|
|---|---|---|
|SARA LTD||500|
|SARA LTD|440||
|SARA LTD|440||
|PUBLIC|50||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|||1500|
|SARA LTD|440||
|SARA LTD|193.5||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|DONATION|881||
|DONATION|2565||
|||4000|
|TRUSTEE LOAN||2000|
|SARA LTD|440||
|HMRC|5000||
|SARA LTD|440||
|SARA LTD|440||
||2344.55||
|||5000|
|SARA LTD|440||
|||2344.55|
|SARA LTD|440||
|SARA LTD|440||
|SARA LTD|440||
|||3000|
|SARA LTD|440||
|SARA LTD|440||
||415||
|SARA LTD|440||
|SARA LTD|440||
|TRUSTEE LOAN||2000|
|SARA LTD|440||
||40||





||300||||
|---|---|---|---|---|
|SARA LTD|440||||
|SARA LTD|440||||
|||600|||
|BRIXHAM LOAN||1400|||
|SARA LTD|440||||
|SARA LTD|7500||||
|SARA LTD|440||||
||70||||
|THAMES PROPRTY||7500|||
|SARA LTD|440||||
|SARA LTD|440||||
|BRIXHAM LOAN||1400|||
|SARA LTD|775||||
|||775|||
|||775|||
|SARA LTD|440||||
|SARA LTD|5530||||
|SARA LTD|440||||
|SARA LTD|1000||||
|||7000|||
|SARA LTD|440||||
|SARA LTD|440||||
|SARA LTD|440||||
|||330|x||
|SARA LTD|1100||x||
|SARA LTD|2000||x||
|SARA LTD|440||x||
|SARA LTD|800||x||
|SARA LTD|2000||x||
|SARA LTD|500||x||
|||7000|x||
|SARA LTD|1500||x||
|||1400|x||
|SARA LTD|6500||x||
|SARA LTD|400||x||
|||7000|x||
|SARA LTD|4000||x||
|||4000|x||
||64824.05|59524.55||statements say £59568|
||64824.05||||
||59524.55||||





## Strathaven Asthmatc Relief Acton UK 

Annual Report and Financial Statements 

## Year Ending 5 April 2023 

Registered Charity Number: 1159285 



## Strathaven Asthmatc Relief Acton UK 

Contents for the Financial Statements for year ending 5 April 2023 

Page Report of the Trustees                                              P 3 Independent Examiner’s Report                             P5 Statement of Financial Actvites                            P 7 Balance Sheet                                                             P 9 Statement of Cash Flows                                          P 10 Notes                                                                             P11 

## Strathaven Asthmatc Relief Acton UK 

Report of the Trustees for the year ending 2023 



## 1. Establishments and Purposes 

Strathaven Asthmatc Relief Acton UK  was incorporated as a Charity Incorporated Organisaton (CIO) on the 19 November 2014 and is governed by its CIO consttuton. It was set up for the relief of persons sufering from Asthma and its related disorders throughout the United Kingdom by the provision of support, and educaton and practcal advice, and other such purposes as are charitable according to the laws of England and Wales for the beneft of the public. 

## 2. Trustees and Ofcers 

During this year the following served as trustees: Thomas McCann          Chairman Mrs Margot McCann 

## 3. Address 

The principal address of the charity is The English Barn Chapel Street Thatcham Berkshire RG184QL 

## 4. Structure, Governance and Management 

The charity trustees manage the afairs of the CIO and for that purpose exercise their powers to perform their functons in the way each decides in good faith would be most likely to further the purposes of the CIO. 

## Strathaven Asthmatc Relief Acton UK 



Any decision taken by the trustees is made either at a meetng of the trustees; or by resoluton in writng or electronic form agreed by all of the charity trustees, which may comprise either a single document or several documents containing the text of the resoluton in like form to each of which one or more charity trustees has signifed their agreement. 

## 5. Reserves 

The trustees do not currently consider it necessary to hold reserves due to the nature of the charity which is to disburse funds to causes which further its charitable objectves. 

## Strathaven Asthmatc Relief Acton UK 

## Independent Examiner Report to the Trustees of Strathaven Asthmatc Relief Acton UK 

I report on the accounts of the charity for the year end 5 April 2022 which are set out on the pages below. 

Respectve responsibilites of the trustees and the examiner 

The charity’s trustees are responsible for the preparaton of the accounts. The charity trustees consider that an audit is not required for this year under secton 144 of the charites Act 2011 (the charites act) and that a independent examinaton is needed. 

: examine the accounts under secton 145 of the charites act; 

: to follow the procedures laid down in the general directons given by the charity Commission under secton 145(5)(b) of the charites act and 

: to state whether partcular maters have come to our atenton 

## Basis of independent examiners report 



Our examinaton was carried out in accordance with the general Directon given by the charity commission. An examinaton includes a review of the accountng records kept by the charity and a comparison of the accounts presented with those records. It also includes consideraton of any unusual items or disclosures in the accounts, and seeking explanatons from you as trustees concerning any such maters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a true and fair view and the report is limited to those maters set out in the statement below. 

## Independent examiner< statement 

In connecton with my examinaton, no maters have come to my atenton: 

1. Which gives me reasonable cause to believe that in any material respect, the requirements 

: to keep accountng records in accordance with secton 130 of the Charites Act 

## Strathaven Asthmatc Relief Acton UK 

: to prepare accounts which accord with the accountng records and comply with the accountng requirements of the Charites Act have not been met or 

: to which, in my opinion, atenton should be drawn in order to enable a proper understanding of the accounts to be reached. 

Andrew Stuart FCA 

AS and Accountants Ltd 137 Wellington Street Slough Berkshire SL11XW 

## Strathaven Asthmatc Relief Acton UK 

Statement of Financial Actvites for the year ended 5 April 2023 



Year ended 5 April 2023               2023                2022 .                                                                  Unrestricted                    Total                 Total Funds                          Funds               Funds £                              £                        £ INCOMING RESOURCES Voluntary income Sales                                                               105,681                  105,681               87,109 Donaton                                                          42,771                   42,771               36,782 -----------                   -----------           -----------148,452                   148,452             123,891 ----------                    ------------          -----------Total Income Resources                           148,452                     148,452           123,891 ----------                     -----------           -----------RESOURCES EXPENDED Cost of generatng funds Cost of goods sold                                        74,220                    74,220                 63,289 Wages                                                             12,209                     12,209                  8,908 Fund-raising costs and administraton   14,473                      14,473                12,003 Governance                                                    4,210                          4,210                  3,742 Total Resources Expended                      105,112                      105,112               87,942 -----------                  -----------               ---------NET INCOMING RESOURCES                     43,340                      43,340                35,949 Total funds brought forward                    11,070                      11,070                10,806 Total funds carried forward                 - ----------                     -----------              ----------54,410                      54,410                46,755 =======                   =======             ======== 

Strathaven Asthmatc Relief Acton UK 

Balance sheet at 5 April 2023 



||2023                2022|
|---|---|
||-----------                   -----------|
||Note                                        funds                        funds|
||£                                £|
|Current Assets|27,200                    10,267|
||3,394                        4,280|
||-- ---------                    ----------|
||30,594                     14,555|
|Current Liabilites||
|Accruals|-                               -|
|Other creditors|-                                -|
||----------                     ----------|
||-<br>-|
|Total assets less current|liabilites                                        30,594                      14,555|
||----------                     ------------|
|Funds||
|Unrestricted funds|30,594                     14,555|
||-----------                  ------------|
||30,594                      14,555|
||===========                       ===========|



The fnancial statements were approved by the board of trustees on    Wed 19[th] June    2023 and were signed on its behalf by chairman THOMAS MCCANN Chairman 

SIGNED 

## Strathaven Asthmatc Relief Acton UK 

Statements of Cash Flows 



For the year ended 5 April 2023 2023                             2022 ---------------------------------------------------------------Unrestricted      Restricted            Total Total Funds                 Funds                 Funds Funds £                          £                          £ £ Cash fows from operatng actvites Net income/ (expenditure) per sofas                   6,201                    -                        2,680 8,047 Less investment income                                          -                            -                             - - Increase/decrease in debtors                                -                             -                             - - Decrease/increase in creditors                             -                              -                            - - ---------------          ------------               --------------       ------------6,201                      -                         2,680 - Cash fows from investng actvites Investment income                                                   -                            -                               - - -------------           -------------               --------------         -----------Net increase/decrease in cash: 4,425                     -                               3,578 - 



Total cash as at 6 April 2021                              6,201                     -                               3,578 

--------------         --------------               -------------10,676                      -                              3,578 =========        =========              ======== 

## Strathaven Asthmatc Relief Acton UK 

## Notes to the Financial Statements For the year ended 5 April 2023 

## 1) ACCOUNTING POLICIES 

Basis of preparaton 

The fnancial statements have been prepared in accordance with accountng and reportng by Charites: Statement of recommended Accountng applicable to charites preparing their accounts in accordance with the Financial Reportng Standards for Small Enttes (efectve January 2015). 

## Incoming resources 

All incoming resources are recognised once the charity has enttlement to the resources, it is certain that the resources will be received and the monetary value of the incoming resources can be measured with sufcient reliability. 

## Resources expended 

Liabilites are recognised as resources expended as soon as there is a legal or constructve obligaton commitng the charity to the expenditure. All expenditure is accountable for on an accruals basis and has been classifed under headings that aggregate all cost relatng to the category. 

## Taxaton 

The charity is exempt from Corporaton Tax on its charitable actvites. 

Funds structure 

Unrestricted income funds comprise those funds which the trustees are free to use for any purpose in furtherance of the charites objectves. 

Restricted funds are funds which are to be used in accordance with specifc restricton imposed by the donor or trust deed. 



Further explanaton of the nature and purpose of each fund, where material, is included in the notes to the fnancial statement. 

## 2) Trustees 

None of the trustees (or any person connected with them) received any remuneraton or reimbursed expenses during the year. 

## 3) Employees 

There were an average of 5 employees during the year. 

## Strathaven Asthmatc Relief Acton UK 

Notes to the fnancial statements for the year 5 April 2023 


**----- Start of picture text -----**<br>
4) Debtors                                                                                         2023                         2022<br>Receivable from associated companies                                     -                                 -<br>                                                                                                   -----------                    ----------<br>                                                                                                            -                                 -<br>                                                                                                                ========                 ========<br>5) Creditors                                                                                           -                                 -<br>Accruals                                                                                   -------------                 -------------<br>                                                                                                  ========                 =========<br>6) Movements in funds        on 5 April 2023       income    resources    on  5 April 2022<br>                                                            £                          £                    £                     £<br>Unrestricted funds                     54,410              148,452         10,210            46,755<br>                                                     ========            =======      =======      ========<br>**----- End of picture text -----**<br>




## Strathaven Asthmatc Relief Acton UK 

Annual Report and Financial Statements 

## Year Ending 5 April 2023 

Registered Charity Number: 1159285 



## Strathaven Asthmatc Relief Acton UK 

Contents for the Financial Statements for year ending 5 April 2023 

Page Report of the Trustees                                              P 3 Independent Examiner’s Report                             P5 Statement of Financial Actvites                            P 7 Balance Sheet                                                             P 9 Statement of Cash Flows                                          P 10 Notes                                                                             P11 

## Strathaven Asthmatc Relief Acton UK 

Report of the Trustees for the year ending 2023 



## 1. Establishments and Purposes 

Strathaven Asthmatc Relief Acton UK  was incorporated as a Charity Incorporated Organisaton (CIO) on the 19 November 2014 and is governed by its CIO consttuton. It was set up for the relief of persons sufering from Asthma and its related disorders throughout the United Kingdom by the provision of support, and educaton and practcal advice, and other such purposes as are charitable according to the laws of England and Wales for the beneft of the public. 

## 2. Trustees and Ofcers 

During this year the following served as trustees: Thomas McCann          Chairman Mrs Margot McCann 

## 3. Address 

The principal address of the charity is The English Barn Chapel Street Thatcham Berkshire RG184QL 

## 4. Structure, Governance and Management 

The charity trustees manage the afairs of the CIO and for that purpose exercise their powers to perform their functons in the way each decides in good faith would be most likely to further the purposes of the CIO. 

## Strathaven Asthmatc Relief Acton UK 



Any decision taken by the trustees is made either at a meetng of the trustees; or by resoluton in writng or electronic form agreed by all of the charity trustees, which may comprise either a single document or several documents containing the text of the resoluton in like form to each of which one or more charity trustees has signifed their agreement. 

## 5. Reserves 

The trustees do not currently consider it necessary to hold reserves due to the nature of the charity which is to disburse funds to causes which further its charitable objectves. 

## Strathaven Asthmatc Relief Acton UK 

## Independent Examiner Report to the Trustees of Strathaven Asthmatc Relief Acton UK 

I report on the accounts of the charity for the year end 5 April 2022 which are set out on the pages below. 

Respectve responsibilites of the trustees and the examiner 

The charity’s trustees are responsible for the preparaton of the accounts. The charity trustees consider that an audit is not required for this year under secton 144 of the charites Act 2011 (the charites act) and that a independent examinaton is needed. 

: examine the accounts under secton 145 of the charites act; 

: to follow the procedures laid down in the general directons given by the charity Commission under secton 145(5)(b) of the charites act and 

: to state whether partcular maters have come to our atenton 

## Basis of independent examiners report 



Our examinaton was carried out in accordance with the general Directon given by the charity commission. An examinaton includes a review of the accountng records kept by the charity and a comparison of the accounts presented with those records. It also includes consideraton of any unusual items or disclosures in the accounts, and seeking explanatons from you as trustees concerning any such maters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a true and fair view and the report is limited to those maters set out in the statement below. 

## Independent examiner< statement 

In connecton with my examinaton, no maters have come to my atenton: 

1. Which gives me reasonable cause to believe that in any material respect, the requirements 

: to keep accountng records in accordance with secton 130 of the Charites Act 

## Strathaven Asthmatc Relief Acton UK 

: to prepare accounts which accord with the accountng records and comply with the accountng requirements of the Charites Act have not been met or 

: to which, in my opinion, atenton should be drawn in order to enable a proper understanding of the accounts to be reached. 

Andrew Stuart FCA 

AS and Accountants Ltd 137 Wellington Street Slough Berkshire SL11XW 

## Strathaven Asthmatc Relief Acton UK 

Statement of Financial Actvites for the year ended 5 April 2023 



Year ended 5 April 2023               2023                2022 .                                                                  Unrestricted                    Total                 Total Funds                          Funds               Funds £                              £                        £ INCOMING RESOURCES Voluntary income Sales                                                               105,681                  105,681               87,109 Donaton                                                          42,771                   42,771               36,782 -----------                   -----------           -----------148,452                   148,452             123,891 ----------                    ------------          -----------Total Income Resources                           148,452                     148,452           123,891 ----------                     -----------           -----------RESOURCES EXPENDED Cost of generatng funds Cost of goods sold                                        74,220                    74,220                 63,289 Wages                                                             12,209                     12,209                  8,908 Fund-raising costs and administraton   14,473                      14,473                12,003 Governance                                                    4,210                          4,210                  3,742 Total Resources Expended                      105,112                      105,112               87,942 -----------                  -----------               ---------NET INCOMING RESOURCES                     43,340                      43,340                35,949 Total funds brought forward                    11,070                      11,070                10,806 Total funds carried forward                 - ----------                     -----------              ----------54,410                      54,410                46,755 =======                   =======             ======== 

Strathaven Asthmatc Relief Acton UK 

Balance sheet at 5 April 2023 



||2023                2022|
|---|---|
||-----------                   -----------|
||Note                                        funds                        funds|
||£                                £|
|Current Assets|27,200                    10,267|
||3,394                        4,280|
||-- ---------                    ----------|
||30,594                     14,555|
|Current Liabilites||
|Accruals|-                               -|
|Other creditors|-                                -|
||----------                     ----------|
||-<br>-|
|Total assets less current|liabilites                                        30,594                      14,555|
||----------                     ------------|
|Funds||
|Unrestricted funds|30,594                     14,555|
||-----------                  ------------|
||30,594                      14,555|
||===========                       ===========|



The fnancial statements were approved by the board of trustees on    Wed 19[th] June    2023 and were signed on its behalf by chairman THOMAS MCCANN Chairman 

SIGNED 

## Strathaven Asthmatc Relief Acton UK 

Statements of Cash Flows 



For the year ended 5 April 2023 2023                             2022 ---------------------------------------------------------------Unrestricted      Restricted            Total Total Funds                 Funds                 Funds Funds £                          £                          £ £ Cash fows from operatng actvites Net income/ (expenditure) per sofas                   6,201                    -                        2,680 8,047 Less investment income                                          -                            -                             - - Increase/decrease in debtors                                -                             -                             - - Decrease/increase in creditors                             -                              -                            - - ---------------          ------------               --------------       ------------6,201                      -                         2,680 - Cash fows from investng actvites Investment income                                                   -                            -                               - - -------------           -------------               --------------         -----------Net increase/decrease in cash: 4,425                     -                               3,578 - 



Total cash as at 6 April 2021                              6,201                     -                               3,578 

--------------         --------------               -------------10,676                      -                              3,578 =========        =========              ======== 

## Strathaven Asthmatc Relief Acton UK 

## Notes to the Financial Statements For the year ended 5 April 2023 

## 1) ACCOUNTING POLICIES 

Basis of preparaton 

The fnancial statements have been prepared in accordance with accountng and reportng by Charites: Statement of recommended Accountng applicable to charites preparing their accounts in accordance with the Financial Reportng Standards for Small Enttes (efectve January 2015). 

## Incoming resources 

All incoming resources are recognised once the charity has enttlement to the resources, it is certain that the resources will be received and the monetary value of the incoming resources can be measured with sufcient reliability. 

## Resources expended 

Liabilites are recognised as resources expended as soon as there is a legal or constructve obligaton commitng the charity to the expenditure. All expenditure is accountable for on an accruals basis and has been classifed under headings that aggregate all cost relatng to the category. 

## Taxaton 

The charity is exempt from Corporaton Tax on its charitable actvites. 

Funds structure 

Unrestricted income funds comprise those funds which the trustees are free to use for any purpose in furtherance of the charites objectves. 

Restricted funds are funds which are to be used in accordance with specifc restricton imposed by the donor or trust deed. 



Further explanaton of the nature and purpose of each fund, where material, is included in the notes to the fnancial statement. 

## 2) Trustees 

None of the trustees (or any person connected with them) received any remuneraton or reimbursed expenses during the year. 

## 3) Employees 

There were an average of 5 employees during the year. 

## Strathaven Asthmatc Relief Acton UK 

Notes to the fnancial statements for the year 5 April 2023 


**----- Start of picture text -----**<br>
4) Debtors                                                                                         2023                         2022<br>Receivable from associated companies                                     -                                 -<br>                                                                                                   -----------                    ----------<br>                                                                                                            -                                 -<br>                                                                                                                ========                 ========<br>5) Creditors                                                                                           -                                 -<br>Accruals                                                                                   -------------                 -------------<br>                                                                                                  ========                 =========<br>6) Movements in funds        on 5 April 2023       income    resources    on  5 April 2022<br>                                                            £                          £                    £                     £<br>Unrestricted funds                     54,410              148,452         10,210            46,755<br>                                                     ========            =======      =======      ========<br>**----- End of picture text -----**<br>


