Cheshcre"s
CHILDREN
TABLE OF CONTENTS
ANNUAL
REPORT


**Overview .......................................................................... 3 Future Plans ..................................................................... 3 Governance and Management............................................ 4 Financial Summary ........................................................... 5 Financial Statements ........................................................ 6** 



**3** 

## **Overview** 

## **Aims and Objectives** 

The charity’s aim is to provide education, guidance and support to children and young people from disadvantaged areas across Cheshire. 

## **Activities and Performance** 

Cheshire’s Children did not undertake any charitable activities during the reporting period. Accordingly, there was no income or expenditure, and the funds held by the charity remained unchanged from the previous year. 

## **Future Plans** 

The trustees intend to re-engage with partners and explore opportunities to deliver charitable activities during 2026, in line with the charity’s objectives. 

## **Structure and Governance** 

Cheshire’s Children is a Charitable Incorporated Organisation (CIO), registered on 22 June 2015, and governed by a Board of four trustees. 



**4** 

## **Governance and Management** 

The charity is governed by a Board of Trustees who are responsible for the strategic direction and oversight of the charity. 

The trustees serving during the reporting period were: 

- Mr Arran Coghlan (Chair) — no other trusteeships declared 

- Mr Anthony Frankland — no other trusteeships declared 

- Mr Roger Jordan — no other trusteeships declared 

- Mr Shane Barry — no other trusteeships declared 

The charity had no volunteers during the reporting period. 

The charity operates within East Cheshire and the surrounding areas. 




**5** 

## **FINANCIAL SUMMARY** 

There has been no other activity up to January 2026 Bank Account: 


Cat 3: 2017/18 

Cat 4: 2018/19 

Cat 4: 2019/20 Cat 4: 2020/21 Cat 4: 2021/22 Cat 4: 2022/23 Cat 4: 2023/24 Cat 4:2024/25 



**6** 

## **FINANCIAL STATEMENTS** 

Statement of Financial Position as at March 2025 

At 31 March 2025, the charity held cash at bank of £10,810.90. 

There were no income or expenditure transactions during the reporting period and no liabilities outstanding at the year end. 

The funds held are unrestricted and are carried forward to support the charity’s objectives in future period 

