
3 Warren Yard, Wolverton Mill, Milton Keynes, MK12 5NW 01908 968640 / 07791 662308 martin@samuelscharity.co.uk 

## **Trustees’ Annual Report for the period** 

**From 01/01/2020 Period start date to 31/12/2020 Period end date** 

**Charity name: Samuel’s Charity** 

**Charity registration number: 1164034** 

## **Objectives and Activities** 

## **1. Summary of the Purposes of the Charity** 

The relief of sickness amongst children and of those in need by reason of ill health, through injury or abuse, by the provision of auxiliary services aimed at increasing patients’ welfare and providing support to patients’ families, including, but not limited to the provision of equipment, amenities for patients, their families and medical staff. 

## **2. Summary of the main activities in relation to those purposes for the public benefit, in particular, the activities, projects or services identified in the accounts** 

The main activities of the Charity are broken down in to two sections – the fundraising activities and the provision of items and services relevant to the recipients defined in the Summary of the Purposes of the Charity. 

- A) Fundraising activities. The Charity raised the funds for the charity to further the charity’s Purposes through the Trustees participating in challenge events such as obstacle courses, 10K runs, Skydives and similar events. The charity also had many members of the public take part in similar events, as well as donations from members of the public. 

- B) The charity provided entertainment equipment including computer consoles, IPads and Android Tablets, DVD players, TV’s, games and various other items for entertainment which was otherwise unavailable due to its cost to the children’s wards at St George’s Hospital in London and Milton Keynes hospital. 

- C) The charity provided individual items to individual children that were going through treatment for serious and terminal conditions in the UK. Such items included IPads and PS Vita hand held game console and games. 

Samuel's Charity is a Registered Charity with the Charities Commission of England and Wales. Registered number - 1164034 



The Trustees confirm they had regard to the guidance issued by the Charity Commission on public benefit when making decisions and running the charity. 

## **Achievements and Performance** 

Summary of the main achievements of the charity, identifying the difference the charity’s work has made to the circumstances of its beneficiaries and any wider benefits to society as a whole. 

The charity has helped improve the quality of life for many sick and terminally ill children. This has been done through the provision of medical and non-medical equipment and entertainment equipment. The primary recipient for this benefit are the children in the children’s wards at St George’s Hospital in London. An estimated 13,000+ children visit or stay at the children’s wards at St George’s Hospital each year and the items provided bring desperately needed relief from the awful time many of those children suffer. 

This year we have also supported various children’s wards at St Peter’s Hospital, Kings College London, Bath RUH and Milton Keynes University Hospital. 

Bringing some respite to the constant fear, worry and pain makes each day that little bit more acceptable and, with a more positive feeling, the children have a stronger and more resilient outlook. Reducing stress may help recovery as well and the provision of the items the charity provides help to reduce stress. 

There have been some individual children that have received items wholly for their own private use. These children are referred to the charity by health care professionals working with the ill children. 

The charity raised £26,987 through its fundraising activities and this is down 41% due to the impact of Covid 19. Covid 19 ruduced our ability to have fundraisers take part in events to almost nil and the support from 3 companies has been a major part of the income for the year. All our overheads were reduced as well as the Fundraising Manager costs removed for a period and reduced on return. Support to the wards and individual children was monitored and reduced in line with reduced income to continue our goals and to stay viable and able to continue as a charity. 

## **Financial Review** 

## **1. Review of the charity’s financial position at the end of the period:** 

Total amount raised by the Charity: £26,987 

Charitable Activity costs: £22,095 

Governance costs: £7,463 

Cash in Bank: £20,961 

## **2. Statement explaining the policy for holding reserves stating why they are held** 

Samuel's Charity is a Registered Charity with the Charities Commission of England and Wales. Registered number - 1164034 



The policy for holding reserves states that the charity will hold a minimum of £5,000 for Charitable Activities and Governance costs. 

## **Structure, Governance and Management** 

## **1. Type of Governing Document and how the Charity is constituted** 

The Charity is a Company Limited by Guarantee. The Governing document is Memorandum and Articles of Association 

## **2. Trustee selection methods.** 

There are no constitutional provisions for Trustee selection. The Member Trustee is entitled to appoint Trustees as is a majority Quorum vote from the Board of Trustees. 

## **Reference and Administrative details** 

## **1. Charity Name** 

Samuel’s Charity. 

No other names are used by the Charity. 

## **2.  Registered Charity Number and Company Registered Number** 

Registered Charity Number – 1164034 Company Registered Number - 09829049 

## **3. Principal and Registered Addresses** 

Principal office address – 19 Haldene, Two Mile Ash, Milton Keynes, MK8 8HS 

Registered address – 3 Warren Yard, Warren Park, Stratford Road, Wolverton Mill, Milton Keynes, MK12 5NW 

## **Names of the charity trustees who manage the charity** 

|**Trustee name**|**Office (if any)**|**Dates acted if not for whole**<br>**year**|**Name of person (or body) entitled**<br>**to appoint trustee(if any)**|
|---|---|---|---|
|Martin Leib|Principal Address|Whole Year|-|
|Karen G Jefferies|-|Whole Year|-|
|Laura E May|-|Whole Year|-|
|Peter J May|-|Whole Year|-|
|Tillie L Mortier-Young|-|Whole Year|-|



Samuel's Charity is a Registered Charity with the Charities Commission of England and Wales. Registered number - 1164034 



**Declarations** 

**The trustees declare that they have approved the trustees’ report above.** 

**Signed on behalf of the charity’s trustees** 

Name:  Martin Leib Signature 

Position:  Member Trustee Date:  08[th] October 2021 

Samuel's Charity is a Registered Charity with the Charities Commission of England and Wales. Registered number - 1164034 



REGISIEREDC&MPANYNUMBEL.09829049IENGWDANDW
J•
REGJ5TEREDCk14RITYNUMBEIL' 1164(I34
OFTrIE
FINANCIAL
EL

S4MUEL'SCHARITY
P38e
Trustees'Annual Report
Ito3
Indepe￿ent Examlner's Report
Statement of FinancialActivities
Balance Sheet
Notes tothe Financial Statements
7t08
Detailed Ststement of Financi21 Artivities

TRu￿EESANNuAL REPORT
EYEAR ENDED 31 D
ThetruSteeswthoarealsodirectotsofthecharityforihepJrpos￿0f*heC0MpanieSAct2oO6,pre5e￿tthÈ￿r reptrrtWttht￿f1Than¢lal
statements of thethariry for the year end2d 31 DecembEf 2020. The trustees have adopted the provisions of the Statement of
Rec¢)mmended Practice150RPI'Affountin8 and Reportln8 by Ch*rftles' IFRS 1021 In weparlng the anroJ31 report and flnanclal
ststefflent50fthecharity.
REFERENCEANDhDMINisfpATWE DEfAI
st8redCownywmbBr
098290491En8laThJandWalesl
ReWstEredCForftyNmber
1164034
Companyre8bts3tlon nwnber
09829049
Reglstereddft
3WarrenYard
Warren Pa
Stratltsrd Road
w0￿ertOn Mill
Mitton Keynes
MK12 5NW
Trustees
The dirertcfs of the Charitsb￿ coTpanYarethe trusteesfor thepurpose of charlty l¥w. ¢Nstee$whohave sèrved durinathe
yearand 5incetheyearendwEre8sfdlow5'.
M Leib
K Jeffrie5
Lmay
Pmèy
T Nfy)rtier-Youn8
lth*enderrteXan￿ner
EssendonAccLwnt5andTaxLim¢ted
3WarrenYard
Warren P3rk
StratlordRoad
w0￿ertOn Mill
Millon Kevnes
MK125NW

SAMUEL'SCHARIT
REPORT
FTHETRUSfEES
FOR TrIEYE4R ENDED31 DECEMBER2020
STRUCTIJRE,GOVERNANCEANDPaANAGEME
Gryernlngd¢wient
The Charitab￿companY iscontrolled by itSEoverningdocument.adeed of trust,3nd constitutes a limited campany, limrted
byguarantte.asdefined by thecompanies Ad 2006.
RefyultmentaThlappolrtMent￿newtn1steeS
ArEWtru5teeor newtrusteesmay be appolnted at anytlmelelthErbywayof repla¢¢ment oraddltlonl.
A trustee may be appolfited or distharged by a resolrtlon of 3 meeting of the Trustees. provSded that a rnemorandurn
declaring such apwntment ￿ dlschar8e by 5hJll be slgned a5 a deed, either at meetin8 by the person weskIl￿ or in
someothermamerdirected bythemeetinzandattested bythetwo other per501￿ presentattheTneetin8.
Ind￿￿Ona[￿ttra1n1r￿0f newtru5tees
chair of the trustees is responsible for the induction of any r*w trustee. which invcfves zwarene55 of a tVU5tee'5
responsibilities. ttr￿ Memorandum Micles of Associatlon, admlni5tratlve procedures, the hlstory ph11050phical
approach of theCharItab￿ cThDpany. Anew trustee would receive cDpipsofthe previou5year'sannual report and financi21
stotements and a copy ol the Chèrltyctynmlsslon leaflet'The Essential Trustee.. What you Need to Kntyk. New trustee5
would a150beenc¢ur3ged torevlewotherlealletsafftd public4tlQn5 155ued bythe CharityCommi5sign.
RlskMan•gement
The trustees have 3 duty to identfy and review the rlsks to whkh the charltsble COTDpany Is exposed arKJ to ens￿re
approwlaleccffitrolsareiThplaceto provlde reasonabk assurance a8ain5t fraud and errw.
OBJEcfivEsANDACT￿TnEs
Oblectwand alms
Thecharitablecompany 5rnainxtfvltlesare'.
The relief of chIfvJrenw￿ are in hospital 3$ a result of sickness Injury or abuse, sn particular by the provision of such items
or equipment and support of their families. carers and medical staff with a view to supporting the child'swelfare bvhilst in
h05Pitalorrecewing medical care as thetrusteesshall thinkliL
ACHIEVEMENT AND PERFORMANfE
Charl￿￿ext￿lIIes
Fwdraisingthrough SPDnsord event$3Thllanationsfrom 1ndividualsandor4anisatlons.
Supportofst GecrBe's Hospital'5 Paedlatrlcwardswlth equipment,EafftE5.tOV5. electroThc entertaiTwnentequipment,ward
redecoration and irnprovement.
5upportof Indlvidual thlldrenthrou8hdonationsof entertslnment equipment or 5UPWrt.

DECEM
AcHIE*￿mENT ANDPERFORMANCE
FINANCIALREVIEW
Re5erwesPoJicy
Thetrusteeshavethepowerto establi5hfund$ forpartlcularpurposes ortomalntainthere5erves.
Jrlng the yearthe Charitab￿ company haTKJled Intome of £26.987 ard exFense payments of £2109S. Cash reserves at
theendoftheperi(O are£20,961 wNch are judged reasonable by thètrustee
The resetve5 pdicyof tFEcharrty istomaintaln reserves of É5,OCK)tocoveranyunfcfje5een ￿tgOing
DISCLOSURECf INF¢ji￿TI0NToTHE INDEPENDENTEWINER
We,thed1rect￿S of the cornpanywho heldoffittat the dateof the approval oltheseFinancial statements)s$et0￿0bOve
each confirm. sofara5weareaware.that..
Thereis m relevant informationof whiththe indepeThJent examinersare unawarw, a￿1
We h8¥e taken all the step5 that we ouBht to love tsken as éirectors in order to m8kÈ wrselves aware of any
relev*ft Inf(matIona￿ toestsbllsh that thecompany'$iTMlependentexarnlnersareawareofthat Inforrn3tiorn
ON BEHALFOFTHE BOARTr.
M Leib-Trustee
Date..
28flq/
Page3

INDEPENDENTEXAMINERS REPORTTOTHETRusfEESOF
5AMVEL'5CHARITY
I rep¢)rtontheaccountsfwthe yearended 31 Detrmber2020set on pègesfive to￿efve.
Respe¢¢h*rwDr61bllltlescltrusteesandexamlner
The charfty's trustees l¥*ho are a&othe dtrectorslor the purposes ot company Lawl 3re responsible forthe preparation ol
theaccounts. Thecharity'strustee5considerthatan aL￿1t 15notrequiredforthi5yearlunderSertlon 144121ofthÈCharities
Act2011 Ithe2011 Art)l and thatan independentexamination isrequired.
14aMng satisfied myself that the charlty is ￿t yjblect to 3vdlt under crynp3ny ￿ 3nd Is ellglble for IThJepe￿ent
examinatio￿lt 15 myresponsibilityto..
exam[￿ theaccountsundersection 14S olthe2011 Act
to follow the pr¢xedures laid d¢)wn in the Gener31 Directiort8 given by the Charity Commlsslon (under Sertion
14515llbl of the 2011Actl", arml
tostatewhether partlcularmatters havecometo myattention.
Baslsof thelThJepeTrlentey2rn1nerfsrer*Yt
My examination was c3rried aut in accordance with the General Dlrectlons gwen by the Charlty CommissiorL An
examination irdudes a review of the 3ccountinE records kept by the charity and a ¢omparIs￿ of the 3ttounts presented
wlth those record5. It also Includes ccfislderathn of any unusual Items or dlsclosures In the accounts, ar￿ seeking
explanationsfromyouas trustee5concernin83ny such matter& Theprocedures Utoertaken donot prov1deallt￿eWden¢e
thatwould be required inan aLwJit. and consequently ￿ opinion is 8iveTrastowhethertheaccounts presenta'true and tslr
¥kWarK1 the report Is limited tothose mattersset out inthestaterr*nts below.
I[￿epe￿lerteXarnin￿56taternert
In(￿nectIon ￿th myÈxaminatian, nomatter hascometomy attentIC￿..
11 whlch8(ves me ￿0$OnableCl￿SetObelO￿veth3t, Inany materlal aspect,the requlrements
tokeepaccountirrfrecordsinaccordancewithsertion 386arkl 387ofthe Compan5esAct 2006., and
to prepare accwnts whlch accord wlth the accountln8 rec¢xd5. comply with the ac¢ounttrw rÈqulrements of
Section5 394 and 395 ol the Companles Act 2006 and wlth the methods and principle5 of the Statement of
RecommeTrJed Practice: knountingand RewrtiThgbyCharities
have not beenrnet',or
21 to whlch, In my oplnion, attentlon should be drawn in order to enable a proper Understandi￿ ofthe at£ixJnts to be
reachryl.
Matthew Brown FCCA
F¢xand on behalf of
EssendonActountsandTax Limited
3Warren Yard
Warren Park
Stratfr)rd Road
Wolverton Mlll
Mllton Keynes
MK125NW
Datw.

SAMUEL'S CHARITY
STATEMENTOF FINANCIALACTIVITIES
FOR THEYEAR ENDED 31 DECEMBER 2020
Uwestricteé
2020Total
Funds
2019Totsl
Funds
Mjtes
Restridedfunds
INCOMING RESOURCES
Incomln8 resourceslrom8eneratedfunds
Vokntaryirtome
26,987
26,987
57285
TotallncomlnEreswr
26.987
26.987
57285
RESOURCES EXPENDED
tsof getEratirwfvnds
CharltsFAeartlvltk$
Dlrectcostsof charrf(able3ttivitie5
15,060
7,035
1&¢)60
7XJ35
60219
19,460
TotslrewurtesexpeThJed
22,095
21095
79,679
INCOMINGIIOUTGOINGI
RESOURCES
4,892
4892
122,3941
TotallU￿br9￿Bhlfo1￿3rd
13,391
13391
35,785
TOTAL FUNDSCARRIEDFORWARD
18,283
1&283
13391
The Thotesformpartofthesefin3ncialst3tements
Pag¢5

SAMUEL'S CHARirY
BALANCESHE
AT31DECEMBER2020
Vnrestricted
fvnd
2020Totsl
Funds
2019Total
Funds
Notes
ReStrlrtedf￿dl
CURRENT ASSETS
Debtors
Cash atbank
922
20,961
922
20,961
LIOS
14,086
21083
21,883
15.191
CREDITORS
Amountsf3llln8duewithin oneyear
13bL
13hQ)I
N￿CURRENT ASSEtSIILIABILITIES)
18283
1&283
13,391
TOTALASSEfs LESSCURRENT
LIABILITIES
18283
18283
11391
NET ASSErs
18,283
18283
13.391
FUNDS
Unrestrlcted funds
Restri(tedfvnds
io
18283
18283
13,391
TOTALFUNDS
18283
11391
Thecharitable compan¥i5entitledtoexemption fvoTriauditurwJerSectiLm477 olthe CompaniesAct 2(ts5fortheyearended
31 ()ecernber202
Themembers havenot yet reqUI￿d thecharitablecompanytoobtain3nauditof itsfinancial statementsforthoyearonded
31 Decetnber20201nactordancewithSectlon476of theCompanie5Ad 2(X)O.
Thetrustee53cknowledgetheirresponsibilitiesfor
al ensurlngthatthe charitable company keepsaccountinE recordsth3tc0mply￿1th Sertion5386ark4 387of thE c￿￿PanieS
21Y)6 and
bl pre￿rIn￿ri￿antI#I statementswhi¢h glveatrueandfalrvlewofthe statsof arfalrsof the charltable company35 at the e
of eachfinatKialyearand of its surplu5 or defi¢itft>r eachfin4ncialyearinactordar*ewiththe reouirtsnentsofsectlons
394and395 andwhichotherwisecomply￿ththe requirementsof t￿Compl￿1esAct2LM)Ore18t]n8toflnaIXlaI
statements, sof¥ * i5applicable tothecharitablecompany.
Thesefinancialstaternentshave been prepared inxcordartcewiththe swclal provis1or￿OfPart 15oftheCompanie5Art
2006 re13ttngto$rnallch3ritable companitt and with theSt3tementof RecorT*nended PratticelSORPI Acwjntlngand
Reportln8byCharities iThpreparlngtheannualreportandflnancia15tatement5of theclwity.
Thefinancial 5tstemen
on its behalfby.
treapproved bythe Board ofTru5teeson.....-.....-.
._3ndweresi#ned
ntstéÈ
The rw)tesform p¥tof IhesefinarKi4statements
Page 6

BE
3ndW
SAMUEL'SCHARITY
NOTESTO THE FINANCIAL STATEMENTS
FOR THEYEAR ENDED 31 DECEMBER 2020
I. ACCOu￿1NG POLICIES
Accountingconvetttlon
These financial 5tatemEntshave been prepared inaccordancewlththe 5pecialprovlslonsof part150ft￿cQmpa[￿eSArt
2006reLatirwto small charitablectsmpanies and wlththe Statempntof Retornmended Prartice ISORPI'Ac(ountin¥aThl
Reportin8byCharit*s" in weparingthe annual reportandlinancial stèterrtntsofthecharity.
Incomi￿re5￿rCeS
All incomin8 resources areirKluded onthe Statementof Nnanclal Actilthies whenthe charty 15 k811￿entIt1ed tothe
incomeandthe aM￿ntC8Th be quantifledwithrea50nable *tur*ry.
Resowces expended
Expendltureis attountedforon an accrualsbasis and ha5 been classrf1edunder￿￿In￿ thèt888re8tyteallcostrelated
tothe iate80ry. Wherec05tscannot bEdirertly8ttributed to parbcularheading5theyhave been allocated tQ 2Ctiwties
ona b351stc￿SSstentWIththe useof resource
TaxatioTh
Th? chaTltyis ex￿p¢frOMCor￿rd￿￿ taxon it5charltablextivities.
FuDd•ccountlng
Unre5trictedfvndscan be used inaccordance wIththec￿T1tsbleobj￿ct1ve5atthedl5￿et•un0fthetn￿teeS.
RestriCtedfundscanon￿be￿SedforPartIcU1arreStr￿d purposes within theoblectsofthecharlty. Restrirtlons
arise¥thenspÈtthed bythedonororwhenfundsare rais￿￿0rp2rtICU1arrestrlCted wrky)ses.
I VOWNfARYINCOME
2020
2019
DoTratlons
26.987
57.285
26.987
57.285
3. CHARITABLEACTivifYcosrs
2020
2019
RtndTaislnE,events3nd re8fstrètSon costs
Pro¥islon of eouik¥nent&serv*es
Postage &c3rri4e
Tra¥elliree¥pen5es
bscriptlons
ComputÈrcosts
Insurance
4Jvertysiry¢
311
9,074
180
L683
178
665
526
2.015
27204
17.498
350
6,560
87S
585
14632
60,219
4. GOvERNA￿E¢0STs
2020
2019
Attountancy
Consu￿1n8
Bank fees
stora8efees
Virtualofficecosts
l.BJ8
4,392
108
S.125
1,838
14,597
658
L218
1,149
7,463
19.460
The ntstesformpthoftheselinarKialstatements
Pase7

SAMUEL'SCHARITY
NOTESTOThE FINANCIALSTATEMENTS- CONTINUED
FOR THE YEAR ENDED 31 DECEMBER2020
5. TRUSfEES' REMUNEFiATICWANDBENEFITS
Therewere rK)tru5te*i'reffMJneration orotherbenefitsfortheye2renLkd 31 Clecember2020
TnJ5tees'experbses
2020
2019
Trustees'expenses
6.07S
21157
Trusteesexp¢nsÈs r¢￿tet￿eXp¢nSQspaidta alltrustees inrespÈctoftrave13nd consultinEcostsinoJrred.
6. STAFFco¥rs
Therewerenostaff costsfortheyeareThYed 31December2020
Noemployee5 received emolument5 inexce550f £60,(YJO.
The average numberofenwloyeesdurirgtheyearwa5fi11.
7. DEBTOR&.AMOUNTSFALLI￿DUÉWITH1N ONEYEAR
2020
2019
Domtlons recoverable
CASHATBANK
922
I,ios
2020
Generalfund
2019
Totalf￿}
Bank currertactwnt
Paypalaccount
19,353
1.608
13,970
116
Total
20,961
14,086
9. CREDITORS..AMOUNTSFALUNG DUEWITHINONEYFAR
2020
2019
Tradecreditors
Ac£Tuedexppn5e5
10. MOVEMENTIN FUNDS
movements In
fu￿d$
OIIOL12020
At31112120
Unrestrictedfunds
Ge￿ralfurKl
11391
4B92
18283
TOTALFUNDS
13,391
4,892
18283
IL MOVEMENT IN FUNDS-C￿ln￿d
Netmoyementinfvnds, irKluded inthe above3re￿foll0ws'.
Incomin8
re5aurces
Resources
expEnded
Movement in
funds
Unrestrictedfund5
Generalfund
26.987
22.095
4892
TOTALFUNDS
26,987
21095
4,892
11 ULTIMATE CONTROLLING PARTY
Theultlmatscontrolllrvdparty 1$t￿trUstee$.
Thtrnotesfom)partofthesetinarKialststements
P3ge8

SAMUEL'S CHARITY
DETAILEDSTATEMENTOF FINANCIALACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2020
2020
2019
INCOMING RESOURCES
Voluntary 5ncom¢
DonatlOn5
26,987
57,285
Trtallncomln8resoj￿es
26,987
57,285
RESOURCES EXPENDED
Charitsbleadivities
Fundraising,eventsand re￿$tratIOn costs
ProyisKnofequyn*nt& servlces
Posta8e&carriage
TravellinBexpense5
gjbscriptions
Comwtertosts
Insurance
Atherbsiog
311
9,074
27,204
17.498
350
4560
178
665
526
2015
14,632
875
585
4.488
60.219
2020
2019
GoverThantrcosts
Accountancv
Con5ultill8
BankfÉÈs andÈxchan8e rates
Storagefees
Virtual officec05ts
1838
4.3Y2
L838
14.597
658
1,218
L149
19.460
L12S
Net lficome
This pagedoesnotform partof thestatutoryfinanti415tstemÈnt&
Page9

INDEPENDENTEXAMINERS REPORTTOTHETRusfEESOF
5AMVEL'5CHARITY
I rep¢)rtontheaccountsfwthe yearended 31 Detrmber2020set on pègesfive to￿efve.
Respe¢¢h*rwDr61bllltlescltrusteesandexamlner
The charfty's trustees l¥*ho are a&othe dtrectorslor the purposes ot company Lawl 3re responsible forthe preparation ol
theaccounts. Thecharity'strustee5considerthatan aL￿1t 15notrequiredforthi5yearlunderSertlon 144121ofthÈCharities
Act2011 Ithe2011 Art)l and thatan independentexamination isrequired.
14aMng satisfied myself that the charlty is ￿t yjblect to 3vdlt under crynp3ny ￿ 3nd Is ellglble for IThJepe￿ent
examinatio￿lt 15 myresponsibilityto..
exam[￿ theaccountsundersection 14S olthe2011 Act
to follow the pr¢xedures laid d¢)wn in the Gener31 Directiort8 given by the Charity Commlsslon (under Sertion
14515llbl of the 2011Actl", arml
tostatewhether partlcularmatters havecometo myattention.
Baslsof thelThJepeTrlentey2rn1nerfsrer*Yt
My examination was c3rried aut in accordance with the General Dlrectlons gwen by the Charlty CommissiorL An
examination irdudes a review of the 3ccountinE records kept by the charity and a ¢omparIs￿ of the 3ttounts presented
wlth those record5. It also Includes ccfislderathn of any unusual Items or dlsclosures In the accounts, ar￿ seeking
explanationsfromyouas trustee5concernin83ny such matter& Theprocedures Utoertaken donot prov1deallt￿eWden¢e
thatwould be required inan aLwJit. and consequently ￿ opinion is 8iveTrastowhethertheaccounts presenta'true and tslr
¥kWarK1 the report Is limited tothose mattersset out inthestaterr*nts below.
I[￿epe￿lerteXarnin￿56taternert
In(￿nectIon ￿th myÈxaminatian, nomatter hascometomy attentIC￿..
11 whlch8(ves me ￿0$OnableCl￿SetObelO￿veth3t, Inany materlal aspect,the requlrements
tokeepaccountirrfrecordsinaccordancewithsertion 386arkl 387ofthe Compan5esAct 2006., and
to prepare accwnts whlch accord wlth the accountln8 rec¢xd5. comply with the ac¢ounttrw rÈqulrements of
Section5 394 and 395 ol the Companles Act 2006 and wlth the methods and principle5 of the Statement of
RecommeTrJed Practice: knountingand RewrtiThgbyCharities
have not beenrnet',or
21 to whlch, In my oplnion, attentlon should be drawn in order to enable a proper Understandi￿ ofthe at£ixJnts to be
reachryl.
Matthew Brown FCCA
F¢xand on behalf of
EssendonActountsandTax Limited
3Warren Yard
Warren Park
Stratfr)rd Road
Wolverton Mlll
Mllton Keynes
MK125NW
Datw.