Charity registration number 1162395
CoM￿nY fegistration number 08082245 (England and Wales}
AISKEW UNDER FIVES PRE￿cHOoL
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 4 APRIL 2024
*ADIFTY9N
2111212024
COMPANIES HOUSE
A18

AISKEW UNDER FIVES PRE-SCHOOL
LEGAL AND ADMINISTRATIVE INFORMATION
Con*))lttee MembÈrn
Miss H Hustwi¢k
Ms E Dunwell
Ms CARamsbottom
Ms G Selemvn
(Appointed 26 Seplember
20231
(Appointed 20 October 20231
(Appointed 28 November
20231
(Appointed 6 June 2024)
Ms J Brown
M5 H Fawcett
MS E Hu9he$
Charity number
1162395
Company number
08082245
R•glstsred office
Scout Hvl
Emgale
Bedale
North Yorkshire
DL8 1AH
Independent examiner
Deborah Fletcher-mcvay FCA
Xeinadin
Oak House
Market Place
Bedale
North Yorkshirè
DL8 1AQ
Bankern
8ardays Bank Pk
18A Norih End
Bedale
North Yorkshire
DL8 1AD

AISKEW UNDER FIVES PRE-SCHOOL
CONTENTS
P•gÈ
Committee M8mber5 reporl
Independent èxaminerfs report
Statement of finantsal actiwiies
Balan¢e sheet
Note5 to the finantyal statements
6-13

AISKEW UNDER FIVES PRE-SCHOOL
COMMITTEE MEMBERS REPORT (INCLUDING DIRECTORS, REPORT)
FOR THE YEAR ENDED 4 APRIL 2024
The Committee rnernbers present their annual report and financaal statements for Ihe year ended 4 April 2024.
The financAal sl*emènts have been prepared in aGcordxnce with the a¢¢ounting policies sel oul in note 1 to the
financial statements and comply wth the chantys memorandum and articles of assoeialion, the Companies Act
2006 and "Accounting and Reporting by Charities-. Statement of Recommended Practice applicable to charities
preparing their accounts in accordance with the Finanaal Reportbng Standard applicable in the UK and Republic ol
Ireland IFRS 1021" (effective 1 January 2019).
Obl•etlves and aetlvities
The chaiity's obje¢ts art to enhance thè development and education of children primarily untlèr statutory seho)I
age. by encouraging ￿8￿nts to under5t8n(J an￿ prowde for the need5 of theii children through community groups
and by." offering appropriate play. educAtion and (Xre laolities and Iraining courses. iogether with the righl of
parents to take responsibility for and become involved in Ihe acliwlies ol such groups, ensuring that such groups
offer opportunities for all children whalever their race, cvlture. religion. means or ability,. encouraging the study ol
the needs ol such children and Iheir families and promoling p¢Jblic interest in and recognition of such needs,.
instigating and adhering to and furthenng the aims and objècts of the pre.sthtsol learning alliance. There has been
change in thèsè objectNes durin9 the year.
The Committee members have paid due regard to gvklance issued by Ihe Charity Commission in deciding what
Bctsvities the charity should undèrtake.
Achievements and perforniance
This year the pre-school are delightèd to still remaN) an Outstanding rating by Ofsted This fecognrtion of all the hard
work and support that Ihe staff in the setting have PTOM(Jed for the ch11¢Jren, their families an(J Ihe exten(Jed
community. Thè team continues to adapt and develop the offering Wlthin the setlin9S to prowde an excellenl early
years environmenl lor the children to Ibrive and begin their learning joumey.
This year the Pre 5th001 have re¢èived £500 from Neighboudy and also been in receipt 01 £565 from the 'Go
Getting" grant. Thè funding has been put to use tu*ards a holiday dub for last Summer.
We are always grateful to Ihe support provided by the parents and wider communrty lor our fundraising aclimlies
throughout the year from the Easler toddle lo the Christrra5 raffle. all money raised goe5 back lo Ihe Pre-school lo
enhance thè experience of Ihe children. The setting were able lo purrhase a new waier (ray. as well as bikes for Ihe
children lo develop their physical devdopmenl wth.
The children conlinue to explore Ihe local area, with ￿7￿15 to Ihe l¢)Gal thu¥ch, bookshop and local parks. We have
expanded the Pfogramme of ad1V￿eS within the 5eth.ng as well, alongside the popular singin9 sessions, we have
been able to offer love science and have had animals come into the setting to be pelted by the children. We were
also pleased that we could opèn up the Holiday dub to a wder group of 2-8 year objs providing ex1ra options for
parents to entertain their children for 3 weeks over the long sumrner break.
Over thi$ year. the￿ have been no staffing changes. Stsff have used courses to upskn.ll current qualifications and
Helen Is now Qualified as SENCO. We thank everyone for their support over iheir lime with us and look lolward lo
working with our new members to deliver the charty's objectives over the coming year.
The pre-school continues lo be a key ￿SOurCe lor Ihe community and ¢ontTnues to expand rt$ offering for the
children and their f8milie5 to ensure the best e3rty year5 experience lor everyone in the setling. There has been no
need lo build in"mother and toddler 5ession5 due lo nvrnber5 in the seth.ng being almost al caparyly.
Financial revS•w
The Statement of Finanoal Actiwties shows an overall increase in funds in Ihe period 01 £16.76212023 - £20,632).
Total income amounted to £103.41812023- £99.837).
As at 4 April 2024 Ihe ¢harity had unrestricled fvnds of £85,12712023 £67,704). and restricted funds of £2,521
12023- £3,182).

AISKEW UNDER FIVES PRE￿cHOoL
COMMITTEE MEMBERS REPORT (INCLUDING DIRECTORS. REPORTI (CONTINUED)
FOR THE YEAR ENDED 4 APRIL 2024
11 is the policy of the charity Ihat unrestrided funds which have not teen deS￿nated lor a Specif￿ vse should be
maintained al a level equivalent to be￿een threè and 51x month's expendrturè. The Committee rnembÈrs considers
that reserves al this level will ensure that. in the event ol a 5ignifirant drop in funding. they will be able to continue
the chanty's eurienl adiwties while con&deiation is given to ways in which additional funds may be raised. This
level of ieserves ha$ been maintained throughoul the year.
Structurè, gov•rnanc• and management
The charity is a company limitèd by guarantee. and is thereforè govemed by a memorandum 2tNI artides of
8ssouation. The charity was incorporated on 13 May 2014 and amended special resoluti¢ns were issued on 29 May
2015.
Th¥ Comrnittee members, who are also the directors for the purpose of company law. and who seryed during the
year and up to the date of signature of the finanaal statements were.
Miss H Hustwick
Mrs N Oavey
Ms E Dunwell
Ms Emma Raw
Ms Jelena Alenkomc
Ms CA Ramsbottom
Ms L Mildren
Ms A Gilbertson
Ms G Selemun
M5 J Brown
Ms H Fawcett
Ms E Hughès
IRe%gned 1 March 20241
(Resigned 20 Juty 20231
IResi9ned 18 Juty 20231
(Resigned 13 May 2024)
(Appointed 20 May 2023 and resigned 6 July 20231
(Appointed 26 September 20231
(Appointed 20 o￿Ober 20231
(Appointed 28 November 20231
(Appointed 6 June 2024)
The Cornrnittee mÈrnbers Shall be elected for a temi ol one year at the Annual General Meebng. Rètiring CommirtÈe
Officers and Committee members are eligible for re-election unless they have already served on the Comrnittee in
any r2paeity for six consecutive years. Commitlee Officers and Committee members, so elected, shall serve until
the end of the next following Annual General Meeling at whith they were elected.
Two of the Cornmittee member5 are employed by the charity and therefore have a beneficial interest in the charity.
All of the Cornrnittee members are members ol the company and guarantee lo contribute £1 in the evenl ol a
winding up.
The Commtttee members report was approved by the 8oard of Commiltee Members.
Ms H Fawcelt
16 December 2024

AISKEW UNDER FIVES PRE￿cHOoL
INDEPENDENT EXAMINER'S REPORT
TO THE COMMITTEE MEMBERS OF AISKEW UNDER FIVES PRE-SCHOOL
I report to the Committee members on rny examination of the finanoal statements ol Aiskew Under Fi¥e5 Pre-
School {the ¢harity) for the year ended 4 April 2024.
Respon8ibrliti•s and basts olreport
As the Committee members ol the charty lan¢J also its direclors foi the purposes ol company lawl you ale
responsiblè lor the prepafation ol Ihe finan¢ial statements in accordan¢e with the Te4uirements ol the Companies
Act 20C6 (the 2006 Acti.
Having satisfied mysev that the finanri* stalemenis of the chanty arÈ not requirèd to be audiled under Part 18 of
the 2006 Act and a￿ e11giblÈ for indepÈndenl examination. I rèport in respect of my examinaiion of the eharrty's
finanryal statèments carried out undèr section 145 of the Challlies Ad 2011 (the 2011 A¢tl. In carrying out my
examination I have followed all the applicawe Diredions given by the Charity Cornrnission under section 1451Sllbl
ol the 2011 Acl.
Independent èxaminerfs ststemtnt
I have completed my examination. I confinn that nts matters have ¢orne to my attention in connection with Ihe
examinalion giving me cav5e lo believe that in any malenal respe￿".
ac¢gun￿.n9 records were not kepl in fe5pecl of ihe charity as required by section 386 01 ihe 2006 A¢t". or
the financial staternents do not accord wth those ￿¢Ords.. or
.the finanaal statemenis do not comply vAlh the accounting requirements ol seciion 396 of the 2006 Acl other
than any requirement that Ihe accounts give a true and far wew which is not a matter considered as part of an
independent examination., or
lh8 finanoal statements have not been prepared in accordan￿ wth Ihe methods and princAples of the
Staternent ol RecommeThded Practice lor accounling and reporting by tharilies applicable lo charities
preparin9 thwr a¢¢ounts in accordance with the Finanoal Reporting Stsndard applicable In the UK and
Republic ol Ireland IFRS 1021.
I have no con¢eTns and havÈ o)me ¥ttoss no other m8lters in connedion vrith the examination to which attention
shoul
e drawn in this report in order lo enable a proper under5tandirt9 of the finanaal statements lo be re8chÈd.
Deborah Fletcher4*lcVa
FCA
Xeinadin
Oak House
Market Place
BedalÈ
North Yorkshire
DL8 1AQ
Dated." 16 Oe¢ember 2024

AISKEW UNDER FIVES PRE4CHOOL
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 4 APRIL 2024
Unrnstricted R•strietèd
funds
fvnd*
2024
2024
Totsl Unrestricted Restricted
lunrls
funds
2023
2023
Total
2024
2023
Notes
Income from:
Donations and l•gaLies
Chariiable activilies
Other trading activities
Investments
78.696
19.363
2,077
316
78.696
22.329
2.077
316
76.603
13.727
2.550
57
76,603
20,627
2,550
57
8,900
Total in¢ome
100,452
103.418
92,937
6,900
99,837
Expenditure on:
Charitable adivibes
83,029
3.627
86.656
73,970
5.235
79,205
Totsl expenditu
83.029
3,627
86.656
73.970
5,235
79.205
Net ineomell*xpÈnditur•l and
movement in funds
17,423
16611
16.762
18,￿7
1,665
20,632
Reconciliation of funds..
Fund balances at 5 April 2023
67.704
3.182
70,886
48,737
1,517
50,254
Fund balances at 4 Apiil 2024
85.127
2.521
87.648
67,704
3.182
70.886
The statement of financial actmties incfudes 811 gains and losses Tecognised in the year. All incorne and expenditu
derive from continuing activities.

AISKEW UNDER FIVES PRE-SCHOOL
BALANCE SHEET
AS AT 4 APRIL 2024
2024
2023
Notes
Fixed 4$sèts
Tangible assets
10
66
Current as$ets
Debtors
Cash al bank and in hand
11
2.156
87.29) .
595
71,823
89.446
72.418
Creditors: amounts falling due within
one year
12
{1.798}
11,5981
Net ¢urr¢nt a88•ts
87,648
70,820
Total assets less cufftnt liabiliti¢$
87.648
70',886
Net assets
87.648
70,886
The funds ofthe ch¥rity
Rèstricted income funds
Unrè5trided funds
14
2,521
85,127
3,182
67.704
87.648
70.886
The company is entitled lo Ihe exemption frorn the audit requrernenl conlained in 5ecbtsn 477 of the Companies Act
20Cfj, for the year ended 4 April 2024.
The directors acknowledge thèir respMsiLy"lrfies foi COM￿￿'ng with the requirements of the Companiès Act 2006
with respect to accounting records and the Preparation of fjnanoal slalemenls.
The members have not required the ￿rnpanY lo obtain an audit of its finantyal stalemenls for the year in question in
aco)rdance with section 476.
These financial sialements have been prepared in accordance with the provisions applicable to companies subject
lo the small companies regime.
The fingneial slaiemerts were approved by the CINnmittee members on 16 December 2024
Ms H Fawcett
Cornpany registrati￿ number 08082245 (England and Wales)

AISKEW UNDER FIVES PRE-SCHOOL
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 4 APRIL 2024
Aecounting policie¥
Charlty Infomiatlon
Aiskew Under Fives Pre-school is a private company lirnited by guarantee incorporated in England and
Wales. The registered office is Scoul Hul, Emgate, Bedale, North Yorkshire. OL8 1AH.
1.1 Accountlng convention
The finanual $talemÈnls have been prèpared In accordance with the charity's memorandum and articles of
association. the Companies Act 2006. FRS 102 The Finanryal Reportin9 Stanijard applicable in the UK and
Republic of Ireland. fFRS 102) and the Chaiitie$ SORP -Arxounltng and Reporling by Chanlie5". Slaternenl
ol Recomlnended Practice applicable to tharities preparing Iheir a¢eounts in accordance with the Finan?al
Reporting Standard applicable in the UK and Republic of I￿land IFRS 1021" leffeciive 1 January 20191. The
chaiily is a Public Benefrt Entity a5 defined by FRS 102.
The ¢harily has taken a¢Jvantage of Ihe pmmsions in the SORP for charib'es not to prepare a Stalernenl ol
Cash Flows.
The finan¢ial stalements are prepared in Sterling, which is the lunct*)nal currency ol the ¢hari(y. Monetary
amounts in Ihese financial statements are rounded to the nearesl £.
The accounts have been p￿Pared under the historical cosl ryJn¥ention. The prinapal accounting policies
adopted are sei Out below.
1.2 Going concem
At the lime of approving the finanual ststemenis. the Commitlee membets have a reasonablè èxpe¢iation that
the charity has adequate resources to ￿n￿nue in operational existence for the foreseeable fvture. Thus the
Committee members continue lo adopt ihe going concem basis of accovnting in weparing the financ4al
stslemenls.
1.3 Charitsble lunds
Unrestricted funds are availablè for use at thÈ disueb.on of the Committee membe¥s in furthÈrance of their
¢haritable obJ'e¢tNe$.
1.4 In¢ome
Income is recognised when the charity 15 legalty entitled to it after any performance con(Jilions have been met,
the amounts can be measured reliabty. and It 15 probable that income will bÈ received.
Early years funding is received frorn North YDrkshire County Council for those children allending session5
under funding guidelines. The fiJTrding is rerjognised on a rnonlhly basis according lo pupil numbers and
forecast f￿Vre5.
Cash donations are recognised on receipt. Other donations are recognised once the charity has been notified
of the donation, unless perfolmance ¢onditions ieqvire delerral of the amount. Income lax recoverabk in
rtrlatson to donations received under Gift Aid or deeds of covenant 15 re¢ogniseé a¢ the time of the donation.
Income from pre-sehotsl sessions and stay and play sessions is reeognised when recÈivablÉ by the charity.
Other trading income rep￿Sents fundraising income whith is r￿e1ved by way of events held by Ihe pre
School. these indude sponso￿￿ events, craft and cake sales. lombola, bag packing at U)e local supermarkel
an¢J charity collection bags. This income is recognised when receivable by the charity.

AISKEW UNDER FIVES PRE4CHOOL
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED
FOR THE YEAR ENDED 4 APRIL 2024
Accounting policl•s
(Continued)
1.5 Exp•ndlturn
Resource5 expended are induded in the Statement of Finanrial Activities on an accruals basis, inclusive of
any VAT which cannot be recovered. All costs are allocated befvleen the expenditure cate9ories of the SOFA
on a basis designed to reflect ihe use ol the resource.
The charity retains certain fixtures and equipmenl for use in ils operalions. Indiwdual ileins ol equipmént
undef £250 are written off in ihe year ol purchase.
1.6 TAngible fixèd as$ets
Tangible assets are in￿alty measured at cosl and sub5equenlly measured at cosl nel ol deprecialion
and any ¥npairment losse5.
Depreciation 15 ￿cogniSed so a5 to wrile off Ihe c05t of a95et5 les5 Iheir residual value5 over their useful live5
on the following bases..
Fixtures. frtting$ & equipment
20% straight line
The gain or loss arising on the disposal of an asset is determined as the difference between the sale proceeds
and the Carrying value ()1 the a$sgt. and is re￿gniSell in the stalemenl of finan¢ial aetivitie5.
1.7 lrnpairment of fixed assets
At each reporting end date. the tharity rewews the carying amovnts of its tangible assels to determine
whether there is any indication thal those assets have suffered an irnpairmenl 1055. 11 any svch indication
exi515. th? recoverable amount of thè a$5et is esb"maled In order to detèrmine the extenl of.the irnpairmenl
loss lif any).
1.8 Retirement benefrts
Payment$ lo defined ¢ontriPwtion retirement benefit schemes ale d)arged as an expense as th$y fall due.-
1.9 L*as•s
Renta15 payable under operatin9 leases. induding any lea50 ir￿n￿¥eS received. arg charged a5 an expense
on a slrabghl line basis ovtrr the tèmi ol the rdevant lease.
Core grants and donations
Unrestricted Unrestricted
funds
funds
2024
2023
Donations and gifts
Core Grants
31
78.665
76.603
78.696
76.603

AISKEW UNDER FIVES PRE￿cHOoL
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 4 APRIL 2024
Core grants and donations
(Continuedl
Gr4nts receivable for ¢or* a¢tivitie5
NYCC eady years funding
Co•OP grants
Neighbourfy M&S svpport grant
Neighbourfy Grant
78,165
70,898
4,705
500
78,865
76.603
Charitable activities
Restsleted Unff•8*rlcted
tund5
Total
2024
- To￿1
2023
fvnds
2023
2024
2024
2023
Pre School and toddler
session income
Perforniance related
grant5
19.363
19.363
13.727
13.727
6.900
6,9()0
19,363
22.329
6.900
13.727
20,627
Analysis by fund
Unrestricted fvnds
Restricied funds
19.363
19.363
2.966
13,727
13.727
6.900
6,900
2.966
19.363
22.329
6.900
13,727
20.627
Income from other trading activitie5
Unrestricted Unrestricted
fund5
funds
2024
2023
Fundraising income
2.077
2,550

AISKEW UNDER FIVES PRE-SCHOOL
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 4 APRIL 2024
Income from investments
UnrestrTrcted Unrestricted
funds
f4tnds
2024
2023
Interest receivable
316
.57
Charitable activities
2024
2023
Staff costs
Depreciation and impairmenl
Expenditure on o¢Jtside area
Rent
Edu￿tIonal trips and experiences
Toy5 and equipment
Staff training
Insurance
Food, rnilk and consumables
Accountancy
Other expenses
69.481
66
566
8.931
860
1,519
497
648
261
2,113
1.714
61,247
2.135
8.965
267
1,802
323
630
182
1,900
1.688
86,656
79,205
Analysis by fund
Unrestricted funds
Restrided funds
83.029
3.627
73,970
5,235
86,658
79,205
Includèd within acty)untancy is an amount of £1.333 12023 - £1.2901 for lees relatsng lo the accoun15
F￿￿rab"On and indep¢nt1ent examination and £78012023- £6101 for other seNice$.
CommlttÈÈ Membeys
Two of the Committee members ie¢wved remuneration tot811ing £35.656 12023 . one commrttee member
received £22,989) as part ol their employment with the ¢*arity during Ihe year.
None of the Cotnmittee members lor any person5 connected wilh Iheml received any remuneralion or
benefits from the tharity durin9 the year in their capacity as tnjsleeslcornmittee members.
Two of thè Committee rnember5 were reimbursed a lolal of £1,16112023- £34n for expenses incurred éuring
the year on consurnables and equipment purchased on behalf of the rtharity.

AISKEW UNDER FIVES PRE-SCHOOL
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 4 APRIL 2024
Employees
The average MOnt￿Y nymbèr of employee$ during the year was."
2024
Number
2023
Number
Employrnent costs
2024
.2023
Wages and salaries
Other pension costs
67.413
2.068
59.334
69,481
81.247
There wert no èmployees whose annual remunerathm was more than £60.000.
Taxation
The charity is exempt from ¢axats"on ￿ tts aGb"￿th"e$ because 811 11$ income is applied for chartlable purposes.
10 Tangible fixed as$•ts
FIMtvre9,
rittln9$ &
eoulpmeni
Cogt
At S April 2023
330
Al 4 Awil 2024
330
Depreciation and impaimi•nt
Al S April 2023
Depreaation charged in the year
264
66
At 4 April 2024
330
Carrying •mount
At 4 April 2023
10-

AISKEW UNDER FIVES PRE-SCHOOL
NOTES TO THE FINANCIAL STATEMENTS ICONTINUED)
FOR THE YEAR ENDED 4 APRIL 2024
11
Debtors
2024
2023
Amounts falling due within one year:
Other debtors
Prapaymenls and a¢crned income
883
1,273
595
2,158
-.595
12 Crndltors: amounts falling duè within one year
2024
2023
Other taxation an¢ social security
Accruals and deferred income
335
1,463
178
1,420
1,798
1,598
13 Rètirem•nt bentfit seh•m
2024
2023
Defined contrfbU￿on schern¢8
Charge lo profit or loss in respeci of defined contribulion schemes
2,068
1.913
The charity operates a defined contribulion pension scheme for all qualifying employees. The assets of the
stheme are held separalely from Ihose of the charity in an independently administered lun¢.
14 ReSt￿cted funds
The rèstricted funds ol the charity comprise the unexpended balances of donations and grants held.on Irusl
subject to speafic conditions by donors as to how Ihey may be used.
Movement in funds
Incomlng
Resou￿•5
8alance at
9xp￿ded S Apr]12023
Movement in funtts
In¢orning
Resourc05
84lanc• at
sour￿$
¢XP8nded 4 Aprfl 2024
SWI 2022
Eady Years
Element 2
other
rastrietad
funds re extr•
sessions
1.517
6,IKJO
{4.380)
3,137
2,4C(J
13,0611
2.476
{855)
45
15661
45
1,517
6.900
(5,235)
3.182
2.966
13.6271
2,521
Earfy Years Element 2 Iformerty Inclusion Fvrlding) 15 airned al 5upporbng the indu510n of those 2. 3 and 4
year olds wilh SENO (children with Speual Education Needs and Oisabililie51 in earty years provision IPVI
and maintained) receiwng fvnded education.
11

AISKEW UNDER FIVES PRE-SCHOOL
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 4 APRIL 2024
14 R•stricted funds
Icontinuèdl
15 Analy¥i8 of net assets between fund$
Unr•stricted
fund$
2024
Rèstricted
funds
2024
Total
2024
At 4 April 2024:
Current asset￿lI1a￿lIitles1
85,127
2,521
87.648
8S.127
2,521
67.648
Unrestricted
funds
2023
Restricted
funds
2023
Total
2023
At4April 2023:
Tangible assets
Current asselsloiabilitiesl
66
67.638
3.182
70.820
67.704
3.182
70,886
12-

AISKEW UNDER FIVES PRE-SCHOOL
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 4 APRIL 2024
16 Opèratlng lèasè eommltmènts
At ihe reporting end date the charity had outstanding commilments for future minimum lea5¥payments under
non-cancellabl• operating leases, which fall due as f01h￿S."
2024
2023
thin one year
2,852
17 Relatsd party transactions
There were no disdosable related party tran58¢tions durÈng the year12023- none) other than as reported in
Note 7. Committee members.
13-