Company Registratlon Number: 05412834
Charity Reglstration Number: 1160786
Reeth & Distrlct Community Transport Ltd
(A company1Smlted by guarantee)
Annual Report and Financlal Statements
For the Year Ended 31 March 2024

Reeth & District Community Transport Ltd
Contents
Reference and Administrative Detsils
Trustees, Report
2to3
Statement of Trustees. Responsibilities
Independent Examinerfs Report
Statement of Finanual Activltles
Balance Sheet
Notes to the Flnanclal Statements
8t014
Detailed Statement of Financial Activitie5
15to16

Reeth & District Community Transport Ltd
Reference and Admlnistrative Details
Dlrectors/Trustees
Mr Andrew Bedford
Mrs Gail Hall
Mrsjill May
Mr Rlchard Kimma8e
Mrs Susan Turner
Mrs Jill Burdis
Secretary
Mr Andrew Bedford
Prfndple Place of Buslness Hudson House
and Re8lstered Offlce
Anvll Square
Reeth
Rlchmond
North Yorkshlre
DLII 6TB
Company Reg No.
05412834
Charlty Reg No.
1160786
Independent Examlner
Clarksons
Thornborou8h Hall
Moor Road
Leyburn
North Yorkshlre
DL8 SAB

Reeth & District Community Transport Ltd
Trustee￿ Report
The trustees, who are directors for the purposes of company law, present the annual report
together wlth the financial statements and independent examinerfs report of the charitable
company for the year ended 31 March 2024.
Objectlves and artlvltles
Publlc benefft
The Charlty Trustees durln8 the year to the 31 of March 2024 were the Dlrectors of the
Company namely:
Mr Andrew Bedford
Mrs Gall Hall
Mrsjill May
Mr Rlchard Klmmage - reslgned 5 Aprll 2023
Mrs Susan Turner
Mrs Jlll 8urdls- reslgned 30 March 2024
The charftles objectlves are to provlde transport facllltles In Rlchmondshire for people who
have special need of such facilitles because they are elderly. poor or dlsabled, people wlth
youn8 children or those livin8 In Isolated areas where there are no adequate transport
facilitles,
Durlng 2023124 we recelved Income from North Yorkshire County Council to support residents
In Swaledale, Arkengarthdale and the surroundlng area In a variety of ways. Our group of
volunteers also provided a network/buddy system to help those in Isolatlon.
The Trustees confimi that they have complied wlth the requlrements of Sectlon 4 of the
Charltles Act 2011 to have due regard to the public benefft guidance published by the
Charities Commission for England and Wales.

Structurep governance, and management
Flnanclal Instruments
Objertlves andpollcles
The charities objertives are to provide transport facilities In Rlchmondshlre for people who
have special need of such facilities because they are elderly, poor or disabled, people with
young children or those living in isolated areas where there are no adequate transport
facilities.
Credft rtsk
The charitys prlnclpal financial assets are bank balances and cash. trade and other
receivables, and investments. The charl￿S credit risk is primarily attributable to its trade
receivables. The amounts presented in balance sheet are net of allowances for doubtful
receivables. An allowance for impairnient is made where there is an identifiable loss event
which, based on previous experience. is evidence of a reduction in the recoverability of the
cashflows.
The credit rlsk on Ilquld fvnds and derivative financial instruments is limited because the
counterparties are banks with high credit-ratin8s assigned by international credit-rating
agencies.
The charity has no S5gnlf￿ant concentration of credit risk, with exposure spread over a large
number of counterparties and customers.
Reserves Pollcy
As at 31 March 2024 the charitable company's reserves of £74,544 were unrestricted. The
trustees periodically review the level of reserves. The review takes into account income and
expendlture streams. The trustees, objertNe is to build up reserves to fund a replacement
bus and to help fund the seNice we provide for the resldents in Richmondshlre for future
years once local government funding sources deplete.
The annual report was approved by the trustees of the charity on 19 November 2024 and
Signed on Its behalf by:
Mr Andrew Bedford
Director and Trustee

Reeth & Dlstrlrt Community Transport Ltd
ststement of Trustees. Responslbllltles
The trustees (who are also the directors of Reeth & Dlstrlct Community Transport Ltd
for the purposes of company law) are responsible for preparing the trustees, report and the financlal
statements In accordance with the Unlted Klngdom Accounting Standards (United Kingdom
Generally Accepted Accountin8 Practice) and appllcable law and regulations.
Company law requlres the trustees to prepare flnanclal statements for each financlal year. Under
company law the trustees must not approve the financial statements unles5 they are satlsfied that
they give a true and falr vlew of the state of affalrs of the charltable company and of Its incomlng
resources and appllcation of resources, Includlng Its Income and expendlture, for that perlod, In
preparln8 these flnanclal ststements, the trustees are requlred to:
Select sultable accountlng pollcles and apply them conslstentlvi
Observe the methods and prlnclples In the Charltles SORP;
Make Judgements and estlmates that are reasonable and prudent,.
State whether appllcable UK Accountlng Standards have been followed, subject to any
materfal departures dlsclosed and explalned In the flnanclal statement5: and
Prepare the flnanclal statements on the golng concern basls unless It Is Inapproprlate to
presume that the charltsble company wlll contlnue In buslness.
The trustees are responslble for keeping adequate accountln8 records that are sufflclent to show
and explaln the charltable companvs transactlons and dlsclose wlth reasonable accuracy at any tlme
the financlal posltlon of the charitable company and enable them to ensure that the flnanclal
statements comply wlth the Companles Act 2006. They are also responsible for safe8uardln8 the
assets of the charltable company and hence for taklng reasonable Steps for the prevention and
detectlon of fraud and other irregularltles.
Approved by the trustees of the charlty on 19 November 2024 and sl8ned on Its behalf by:
Mr Andrew Bedford
Director and Trustee

Reeth & Distrirt Community Transport Ltd
Independent Examlnerfs Report to the trustees of Reeth & District Community
Transport Ltd
I report to the charity tnjstees on my examination of the accounts of charity for the year ended
31 March 2024 which are set out on pages 6 to 16.
Respective responsibilities of trustees and examlner
As the chariV5 trustees of Reeth & District Community Transport Ltd (and also. ivs directors for the
purposes of company law) you are responsible for the preparation of the accounts in accordance
with the requirements of the Companies Act 2(MJ6 ('the 2006 ACV).
Having satisfied myself that the accounts of Reeth & District Community Transport Ltd are not
required to be audited under Part 16 of the 2006 Act and are eligible for independent examination, I
report in respect of my examination of your charitvs accounts as carried out under section 145 of
the Charltles Art 2011 ('the 2011 ACV). In carrying out my examination I have followed the Direttions
given by the Charty Commission under Section 145{5)(b) of the 2011 Act.
Independent examlnerfs statsment
I have completed my examlnation. I confimi that no matters have come to my attentlon In
connection with the examination 8ivinE me cause to believe:
l. Accounting records were rK)t kept in respect of Reeth & District Community Transport Ltd as
required by section 386 of the 2006 Act: or
2. The accounts do not accord with those ￿ords. or
3. The accounts do not comply with the accounting requirements of sertion 396 of the 2006
Act other than any ￿qUirement that the accounts give a 'true and fair view which is not a
matter considered as part of an independent examination; or
4. The accounts have not been prepared in accordance with the methods and principles of the
Statement of Recommended Practice for accountlng and reportlng by charitles (appllcable to
charltles preparlng their accounts in accordance with the Financial Reporting Standard
appllcable In the UK and Republic of Ireland (FRS 102)).
I have no concerns and have come across no other matters in connection with the examination to
which attention should be drawn in this report In order to enable a proper understandin8 of the
accounts to be reached.
Ll..L_
19 November 2024
Dawn Clarkson
Clarksons
Thornborou8h Hall
Leyburn
North Yorkshlre. DL8 SAB

Rèeth & Dlstrlrt CommunltyTransport Ltd
SL*ement of Ananclal Actlvltles forthe Year Ended 31 March 2024
(Includln8 Income and Expendlture Account and Ststsment of Total Re¢o8nlsed
Galns and losses)
Unrestrlcted Restrfcted
funds
funds
Totsl
2024
Not•
Income and Endowments from:
Donatlons Grants and Legacies
Charltable Actlvltles
Investment Income
3,242
3,685
1,839
17,774
21,016
3,685
1,839
Total Income
8,766
17,774
26,540
Expendlture on:
Ralsln8 funds
Charltable Actlvltles
11,939
4,106
14,278
2,677
26,217
6,782
Total Expendlture
16,044
16,955
32,999
Net lexpenditure)￿ncOme
Tran5fer5 between funds
Net movement in funds
-7,278
-25,936
-33,214
819
25,936
26.755
,459
-6,459
Recondllatlon of funds
Total funds brought forward
107,758
33,685
141.443
Total funds carrled foThvard
14
74,544
Unrestrlrted
funds
60,440
Restrlcted
funds
134,984
Total
Income and Endowments from:
Donations Grants and Legacies
Charltable Artivities
Investment Income
50.500
2,532
336
31,594
82.094
2.532
336
Totsl Income
53.368
31,594
84,962
Expendlture on..
Ralslna funds
Charltsble Actlvtties
5,164
5,309
16,464
2,707
21.628
8,016
Total Expenditure
10,473
19.171
29,644
Net (expenditure)fincome
42WJ5
12,423
55,318
Net movement In funds
30,033
25,286
55.318
Reconclllatlon of fund$
Total funds brought forward
77,725
8.399
86,124
Total funds carried forward
107,758
33,685
141.443
All of the charity's actlvltles derlve from contlnuing operatlons durlng the above two perfods.
The funds breakdown for 2023 is shown in note 16.

Reeth & Dlstrlct Community Transport Ltd
(Registratlon Number 05412834)
Balan￿ Sheet as at 31 March 2024
2024
2023
Note
Flxed Assets
Tangible assets
10
65,708
16,603
Current assets
Debtors
Cash at bank and In hand
11
16
336
130,532
130,868
-I,IS3
129,715
195,423
.60,440
134,984
2.424
192,137
194,561
-924
193,638
210.240
-68,797
141.442
Credltors: Amounts falllng due withln one year
Net current assets (liabllitles
Total assets less current Ilabllltles
rJedltors: Amounts falllng due after more than one year
Net assets
12
15
13
Funds of the charlty:
Restricted funds
Unrestricted funds
Totsl funds
60,440
74,544
134,984
33,685
107,758
141,442
14
For the flnanclal year ending 31 March 2024 the charity was entltled to exemption from
audlt under section 477 of the Companies Act 2006 relating to small companles.
Directors, responslbilities
The members have not requlred the charity to obtain an audit of its accounts for the
the year in question In accordance with section 476; and
The directors acknowledge thelr responsibilities for complyln8 With the requirements
of the Act with respect to accounting record5 and the preparation of accounts.
These accounts have been prepared in accordance with the provisions applicable to
companies subject to the small companles ￿gime.
The financial ststements on pages 6 to 14 were approved by the trustees, and authori5ed
for issue on 12 November 2024 and slgned on their behalf by:
Mr Andrew Bedford
Director and Trustee

Reeth & Dlstrkt Communlty Tran5Wt Ltd
Nots5 to the Rnandal Stateffleiits for the Year Ended 31 March 2024
I Charlty ststU5
The charlty Is Ilmited by guarantee. incorporated in England. and consequentty does not have share capital.
Each of the trustees Is Ilable to contribute an amount not exceeding £NII towards the assets of the charlty
In the event of Ilquidation.
The address of the reglstered offKe is:
Hudson House
Anvll Square
Reeth
North Yorkshlre
DLII 6TB
The prlnclpal place of buslness Is:
Hudson House
Anvll Square
Reeth
North Yorkshlre
DLII 6TB
These flnanclal statements were authorlsed for15sue by the trustees on 19 November 2024
2 Attountlng polkles
Summary of $18nlfi¢ant a¢¢ountlng polldes and key accountlng estlmatss
The prlncSpal accounting pollcies applied In the preparatlon of these financlal statements are set out below.
These poll¢les have been conslsterttly applled to all the years presented, unless otherwlse stated.
Statement of ¢ompllan
The ftnanclal statements have been prepared In accordance wlth Accountlng and Reportlng by Charltle5;
Statement of Recommended Prartke appllcable to charltles preparln8 thelr accounts In accordance wlth the
Flnanclal Reportln8 Standard appllcable In the UK and Republk of Ireland (FRS1021 (effectfve i January 2015)
- {Charltles) SORP {FRS102}). the Flnanclal Reportlng Standard applkable In the UK and Republlc of Ireland
(FRS102). They also comply wlth the Companles Art 2(XJ6 and Charlties Act 2011.
8asls of preparatlon
Reeth & Dlstrirt Communlty Transport Ltd meets the deftnltlon of a publlc benefft entlty under FRS102. Assets
and Ilabllltles are Inltlally recognlsed at hlstorlcal cost or transactlon value unless otherwlse stated In the relevant
accovnting policy notes.
Goln8 concem
The trustees conslder that there are no materlal uncertalntles about the charlty's ablllty to contlnue as a goln8
concern nor any s18nfficant areas of uncertalnty that affect the carrying value of assets held by the charlty.
Exemptlon from preparlng a cash flow statement
The charity opted to earty adopt Bulletin I published on 2 February 2016 and have therefore not Included a cash
flow ststement in these financial ststements.
Income and endowments
All Income Is recogntsed once the charlty has entltlement to the Income. Itls probable that the Income wlll be
recelved and the amount of the Income receivable can be measured ￿lIablY.

Reeth & Dlstrkt Community Transport Ltd
Note5 to the Ananclal Statem•ts for the Year Ended 31 Matth 2024
atlon5 and legacies
Donations are recognised when the charity has been notffied in wrftlng of both the amount and
settlement date. In the event that a donation is sublect to conditions that require a level of
perf0rrnan￿ by the charity before the charity is entitled to the funds. the income is deferred and
not recognised until elther those conditions are fully met. or the fulfilment of thos conditions is
wholly within the control of the charity and it is probable that these conditions will be fulfilled
Sn the reporting period.
Grants recelvable
Grants are recognlsed when the chartty has an entltlement to the funds and any corKlitions
linked to the grants have t￿en meL Where perfornian￿ corKlltlons are attached to the grant and
are yet to be met. the income is recognised as a liability and included on the balan￿ sheet as
deferred Sncome to be released.
Expendlture
All expenditu￿ Is recognlsed once there ts a legal or constructlve obllgatlon to that expendlture,
it is pmbable settlement Is required and the amount can be measured rellably. All costs are
allocated to the applicable expenditure heading that aggregate similar costs to that category.
Where costs cannot be dlrettty attributed to particular headings thay have been allocated on a
basis consistent with the use of resouros, with ￿ntral staff costs allocated on the basis of time
spen( and depreclatlon charges allocated on the porth)n of the asset's use. Other support costs
are allocated based on the spread of staff costs.
Ralslng fvnds
These are costs incurred in attractlng voluntsry Income, the management of Investments and
those incurred in tradlng activities that raise funds
Support costs
Support costs include central functlons and have been allocated to artNity cost categories on a
basls conslstent with the use of resources. for example. allocating property costs by floor areas
or per caplta, staff costs by the time spent and other costs by thelr usage.
Governance costs
These Include the costs attributable to the charity's compISan￿ with constitutional and statutory
requirements. Induding audlt. strategic management and trusteè's meetings and reimbursed
expenses.
Government 8rants
Government grants are reco8ni5ed based on the accrual model and are measured at the falr value
of the asset re￿IVed or receivable. Grants are classified as relating elther to revenue or to assets.
Grants relatlng to revenue are recognised in income over the period in which the related are
recognised. Grants relatlng to assets are recognised over the expected useful life of the asseL
Where part of a grant relating to an asset is deferred. It is recogntsed as deferred Income.

Reeth & Dlstrlrt Communlty Transport Ltd
Notes to the Financlal Statements for the Year Ended 31 March 2024
Taxatlon
The charlty is considered to pass the tests set out in Paragraph I Schedule 6 of the Finance Act 2010
and therefore it meets the definltlon of a charitsble company for UK corporation tax purposes.
Accordingly, the charity is potentially exempt frpm taxation in respect of income or capltal gains
ceived within categories covered by Chapter 3 Part 11 of the Corporation Tax Act 2010 or
Sectlon 256 of the Taxation of Chargeable Gains Act 1992, to the extent that such income or gains
are applled exclusNely to charitable purposes.
Tanglble Flxed Assets
Individual Fixed Assets costing £IOO.I)O or more are initialty recorded at cost, less any subsequent
accumulated depreciation and subsequent accumulated impairment losses.
Depreclatlon and Amortlsatlon
Depreciation 15 provided on tangible fixed assets so as to write off the cost or valuation, less any
estimated residual value, over their expected useful economic life as follow5:
Motor vehicles
Plant and machinery
25% reducing balance
25% reducing balance
Trade debtors
Trade debtors are amounts due from customers for merchandise sold or services performed in the
ordinary course of business.
Trade debtors are recognised initially at the transaction price. They are subsequently measured
at amortlsed cost using the effective interest method, less provision for imaimient. A provision
for the impairment of trade debtors is e5tabllshed when there is objectlve evidence that the
charity will not be able to collect all amounts due according to the original tems of the receivables.
Cash and cash equlvalents
Cash and cash equivalents comprise cash on hand and call deposits, and other short term highty
liquid inbestments that are readily convertible to a known amount of cash and are subject to an
insignificant risk of change In value.
Trade credltors
Trade creditors are obligations to pay for goods or services that have been acquired in the
ordinary course of business from suppliers. Accounts payable are classified as current liabilities
if the charity does not have an unconditional right, at the end of the reporting period. to defer
settlement of the creditor for at least twelve months after the reporting date. If there is an
unconditional right to defer settlement for at least twefve months after the reportlng date, they
are presented as non-current liabilities.
Trade creditors are recognised initially at the transaction price and subsequently measured at
amortised cost using the effective interest method.
Fund structure
Unrestrlcted income funds are general funds that are avallable for use at the trustee's discretion in
furtherance of the objertives of the charity.
Restrirted income funds a￿ those donated for use In a particular area or for specific purposes, the
use of which is restricted to that area or purpose.
10

Reeth & Dlstrirt Communlty Transport Ltd
Notes to the Flnanclal Statements for the Year Ended 31 March 2024
3 Income from donatlons and legacles
Unrestrlrted
funds
Restrlcted
funds
Total
2024
Total
2023
Donations and legacies;
Regular giving and capltal donations
Gifts aid reclalmed
Grants, including capltal 8rants;:
Grants from other charltles
Grants from Local Authoritles
3,242
3,242
3,556
632
1,924
75,983
82,095
17,774
17,774
17,774
21,016
3,242
4 Income from charltable actlvltles
Unrestrlcted
funds
Restrlct•d
funds
Total
2024
Total
2023
Charftable actlvltles
3,685
3,685
2,532
5 Investment Income
Unrestrfcted
funds
Restrfrted
funds
Total
2024
Totsl
2023
Interest recelvable
1,839
1839
336
11

Reeth & Dlstrlct Community Transport Ltd
Notes to the Financlal Statements lor the Year Ended 31 Marth 2024
6 Expendlture on raislng funds
Unrestrkted
funds
Restrlcted
funds
Total
2024
Total
2023
Cost of Raising Funds
11,939
11,939
14,278
14,278
26,217
26,217
21,628
21,628
7 Expendlture on charftable actlvftle5
Unrestrkted
fvnds
Restrlcted
funds
Totsl
2024
Totsl
2023
Governance costs
4,106
2,677
6,782
8,016
8 Analysls of governance and support costs
Unrestrlcted
funds
Restrfcted
funds
Total
2024
Total
2023
Audlt fees
Legal fees
Marketing and publlclty
Other governan￿ costs
1,140
13
1,140
13
924
13
2,953
4,106
2,677
2,677
5,629
6.782
7,079
8,016
9 Taxatlon
The charity Is a reglstered charity and is therefore exempt from taxation
12

Reeth & Dlstrkt Community Trdnsport Ltd
Notes to the Flnanclal Statements for the Year Ended 31 Marth 2024
10 Tanglble Flxed Assets
Plant and
Motor
Vehicles
Totsl
At l April 2023
Additions
Disposals
At 31 March 2024
514
47,185
54.806
47,699
54.806
514
101,991
102,505
Depreclatlon
At l April 2023
Charge for the year
Dlsposals
At 31 March 2024
392
30,704
5,670
31,096
5,701
422
36,374
36,797
Net book value
At 31 March 2024
92
122
65,617
16,481
65,708
16,603
At l April 2023
11 Debtors
Total
2024
Total
2023
Trade debtors
Other debtors
336
586
1,838
2,424
336
12 Credltors: amounts fallln8 due withln one ￿ar
Total
2024
Total
2023
Trade creditors
Other creditors
13
1.140
1.153
924
924
13 Credltor&' amounts fallong due after more than one year
Total
2024
Total
2023
Deferred income
60,440
68,797
68,797
13

Reeth & Dlstrkt CommunltyTransport Ltd
Notes to the Ananclal Statementsforthe Year Ended 31 March 2024
14 Funds
Balance at
01-Apr-23
Incomlng
Resources
Transfers
Resources
expended
Balance at
31-Mar-24
Unrestwlcted funds
Restrlcted funds
Total funds
107,758
33,685
141,443
8,766
17.774
26,540
-25,936
25.936
-16,044
-16,955
-32,999
74,544
60,440
134,984
Balance at
01-Apr-22
Incomlng
Re50ur¢es
Resources
expended
Balance at
31-Mar-23
Unrestrlcted funds
Restrlcted funds
Total funds
77,725
8,399
86,124
53.368
31.594
84,962
-12.863
12,863
-10,473
-19.172
-29,645
107.758
33.685
141.443
15 Analysls of net assets between funds
Unrestrlcted
Funds
General
Tolal funds
Tanglble fixed assets
Current assets
Current Ilabllltles
65,708
130,868
-1.153
195,423
65,708
130,868
-1.153
195,423
16 Analys1$ of net funds
At l Aprll 2023
Cash flow At 31 March 2024
Cash at bank and In hand
Net debt
192,137
192,137
-61,605
1,605
130,532
130,532
14

Reeth & District Communlty Transport Ltd
Detsiied Statement of Financlal Activlties for the Year Ended 31 March 2024
Unrestrfcted
fvnds
Restrlrted
nds
2024
Total
Total
Income and endowments from:
Donatlons and legacie5
Charltable actlvities
Investment Income
Total income
3,242
3,685
1,839
8,766
17.774
21,016
3,685
1,839
26,540
82,094
2,532
336
84,962
17,774
Expendhure on:
Ralsing funds
Charltable actlvltles
Total expendltutre
11,939
4,106
16,044
14,278
2,677
16.955
26,217
6,782
32,999
21,628
8,016
29,644
Net expendlture/lncome
-7,278
819
-6.459
55,318
Net movement In funds
-7,278
819
-6,459
55,318
Reconclllatlon of funds
Total funds brought forward
Totsi funds carrled forward
107,758
100,480
33,685
34,504
141,443
134,984
86,124
141,442
Unrestrlrted
funds
Restrfcted
fvnds
2024
Totsi
2023
Total
Donatlons and legacle$
Donatlons
Grants from other charftles
Grants from local Authorltles
Glft Ald reclalm
3,242
3,242
3,556
1,924
75,983
632
82,095
17,774
17,774
3,242
17,774
21,016
Unrestrfcted
fvnds
Restrlrted
funds
2024
Total
2023
Total
Charltable actlvltles
Charitable actlvltles
3,685
3,685
3,685
3,685
2.532
2,532

Reeth & Dlstrlct Communlty Transport Ltd
Detalled Statement of Flnanclal Actlvltles for the Year Ended 31 March 2024
Income contln
Unrestrlcted ftestrlcted
funds
fvnds
2024
Total
2023
Total
Investment Income
Interest recelvable
1,839
1,839
1,839
1,839
336
336
Ex ndlture
Unrestrlrted
funds
Restrlcted
funds
2024
Total
2023
Total
Ralslng funds
Bus Costs
Wages and salarfes
Penslon scheme {Defined contrlbutlon)
Computer 50ftware and malntenance
Depreclatlon
2,755
5,822
2,7S5
17,185
512
63
5,701
26,217
3,253
15,016
1,095
63
2,201
21,629
11,363
512
63
S,701
14,278
11,939
Unrestrfrted
funds
Re5trfrted
funds
2024
Total
2023
Totsl
Charltable actlvltles
Rent
Room Hlre
Insurance
Telephone and Internet
Printing, postage and ststlonery
Sundry Expenses
Legal fees
Independent examiner fees
Bank charges
1,424
130
979
273
45
1,424
2,848
130
1,958
547
45
2,685
176
2,035
695
51
1,354
13
924
979
273
13
1,140
101
4,106
13
1,140
101
6,782
2,677
8,017
16

**Issuer** Clarksons **Document generated** Mon, 18th Nov 2024 15:41:03 GMT **Document fingerprint** e304f308d6db803561a59368ba21f1a3 

## **Parties involved with this document** 

## **Document processed** 

## **Party + Fingerprint** 

Mon, 18th Nov 2024 15:42:22 GMT Dawn Clarkson - Signer (62bff853458849e37fdec06c3a735b17) Mon, 18th Nov 2024 17:21:22 GMT Mr Andrew John Bedford  - Signer (3a6848d617d79a550faf624c2d93f1b9) 

## **Audit history log** 

**Date Action** Mon, 18th Nov 2024 17:21:23 GMT Mr Andrew John Bedford viewed the envelope (80.95.199.100) Mon, 18th Nov 2024 17:21:22 GMT This envelope has been signed by all parties (80.95.199.100) Mon, 18th Nov 2024 17:21:22 GMT Mr Andrew John Bedford signed the envelope (80.95.199.100) Mon, 18th Nov 2024 17:20:14 GMT Mr Andrew John Bedford viewed the envelope (80.95.199.100) Mon, 18th Nov 2024 15:42:22 GMT Dawn Clarkson viewed the envelope (51.155.4.95) Mon, 18th Nov 2024 15:42:22 GMT Document emailed to party email (18.168.201.14) Mon, 18th Nov 2024 15:42:22 GMT Sent the envelope to Mr Andrew John Bedford for signing (51.155.4.95) Mon, 18th Nov 2024 15:42:22 GMT Dawn Clarkson signed the envelope (51.155.4.95) Mon, 18th Nov 2024 15:42:08 GMT Dawn Clarkson viewed the envelope (51.155.4.95) Mon, 18th Nov 2024 15:41:58 GMT Document emailed to party email (35.177.161.40) Mon, 18th Nov 2024 15:41:58 GMT Sent the envelope to Dawn Clarkson for signing () Mon, 18th Nov 2024 15:41:58 GMT Envelope generated () Mon, 18th Nov 2024 15:41:03 GMT Envelope has been set to automatically remind the active signer every 7 day(s). (35.176.231.177) Mon, 18th Nov 2024 15:41:03 GMT Mr Andrew John Bedford has been assigned to this envelope. (35.176.231.177) Mon, 18th Nov 2024 15:41:03 GMT Dawn Clarkson has been assigned to this envelope. (35.176.231.177) Mon, 18th Nov 2024 15:41:03 GMT Document generated with fingerprint e304f308d6db803561a59368ba21f1a3. (35.176.231.177) Mon, 18th Nov 2024 15:41:03 GMT Envelope generated with fingerprint 9cef2889f26162c9cd6858014ab7edc8 (35.176.231.177) 

