Charlty No: l 164227
THE EDITH MARY CLARK FOUNDATION
TRUSTEES. REPORT AND
STATEMENT OF ACCOUMTS
FOR THE YEAR ENDED 5 APRIL 2025

THE EDITH MARY CLARK FOUNDATION
CONTENTS OF THE FINANCIAL sTATEmE￿rs
FOR THE YEAR ENDED 5 APRIL 2025
Page
Trustees. Roport
Indopond•nt Examlnors Rgport
Sl•temftt of Flnanclal A¢tlvEtles
Balance Sheet
Notes to the Flnancial Statements

THE EDITH MARY CLARK FOUNDATION
TRUSTEES. REPORT
FOR THE YEAR ENDED S APRIL 2025
LEGAL AND ADMINISTRATIVE INFORMATION
Address of
the Charity
21-23 Park Street
Lylham
Lancashire
FY8 SLU
Tmstees
John David George Hinchliffe
Christopher Neil Calvert
Charity Number
1164227
SolECttors
Vincents Solicitors
21-23 Park Street
Lylham
Lancashlre
FY8 SLU
Investment
Cana¢¢ord Genulty
10B Clifford GoLFrt
C¢K)per Way
Parkhouse
Cadisle
Cumbria
CA3 OJG
Managers
Independent Examiner
Accountants
Debbie Thorn FCA
Champion Accountants LLP
Unil 2, Olympic Court
Boardmans Way
itehills Business Park
BkckrK)ol
FY4 5GU

THE EDrrH MARY CLARK FOUNDATION
TRUSTEES. REPORT
FOR THE YEAR ENDED 5 APRIL 2025
STRUCTURE. GOVERNANCE AND MANAGEMENT
Governlng documgnt
The charity was established by a Trust Deed dated 17 Ociob8r q996.
The Trust was registered wrth the Charty Commission for England and Wales on 2 November 2015,
Registered Number 1164227.
AppolntmÈnt of trusteés and thetr Induction and tralnlng
The Trustees appointed by the Deed were Edith Mary Clark and Ri¢hard Newell Hardy. Edith Mary
Clatk was rgplared by John David George Hinchliffe and subSequen￿Y died on 3 September 2014.
On 10 March 2017, Richard Newell Hardy was replaced by Christopher Neil Calvert.
The Trustees have the power to appoint nèw trustees.
Rlsk management
Th? Truslees have considered possible risks lo the charity and concluded that by the nature of the
activitY&s no significant exlemal risks exist The Trustees review their Risk Management Policy
regularty.
OBJECTIVES AND ACTIVITIES
The object of the Trust is to pronM)te and support any exclusivety charitable purposes or charitable
objects Sn the United Kingdom or in any other part of the wortd as the Tnjstees in their discretion think
fit, but with the Lancashire area beino given preference in accordance with the selllols wtshes.
PUBLIC BENEFYf DELIVERY
As a grant making Charity. the Trustees make grants to other legalty constituted charities. The grants
we make are not restrlcted in any way and all beneficiaiies are considered with a view to benefit
charities wh￿h themselves deliver publk benefi'L
The Trustees have referred lo the guidan￿ wntained in the Charity Commission's general guidance
on public benefit when reviewing the charity's aims and objectives and in planning future objectives.
ACHIEVEMENTS AND PERFORMANCE
Grants totalling £38,49012024.' £28,850) havè been made during the period. with all of these gTants
being made from incL¥ne. The resmdue of in¢omo has been added lo reserves.
FINANCIAL REVIEW
Reserves Pollcy
11 Is the policy ol the charity to maintain unrestrtcled fijnds, which arè free reserves of the eharty, at a
vel ihal provides suificiènt funds lo cover grants payable and administration costs and to respond to
emergency applutions for grants which arisg from time lo time. Unrestricted funds were maintained
at similar levels throughout the year.

THE EDrrH PIARYCLARK FOUNDATIO
TRUSTEES. REPQRT
FOR THE YEAR ENDED 5APRIL 2026
IN￿&1M￿nts
The InvesfmÈnt policy adoptedls b provlde & bdan¢tsd Tetum ol Incoma and capltal whlbt acceplkng
mod8rnt8 ￿81 ol r15k. R8gulaf rgports are Tecelved fmm Canaccord Genuity Webth Managomnt
whlch keep the TFusl98s Infom)gd on Ihe PTOBFQSS o(Ihese investu*nts. Th8 invest1r￿1 weld was
3.22% a¢eordlng io the stockbrok8P5 Yaluauon at S April 2025.
STATEMENT OF TRik8TEES' RESPONSIBILMES
Th8 Tru$tses Bro TrEponsllAe for prepartng th¢ TfuBlegs' AnNal Roport 8nd lh8 fftnanclal 8tstsments
In accordance with Bppl*cabl¢ Iw and Unmed Kitigthm ACCO￿￿￿ SIAndard6 {Urbllgd Kkngdom
Genwèlty Accepted Accountlng Pfxll59).
Tho law appllcablè lo ¢hg1iti98 In En9lend & Wales requires Tr￿te6S to wepwe ffnenclal
ststemBnts for B8ch flnanclal year whbh gwe a Iwè and f8lr vlew of tho stal6 of affa￿8 of ¢hortty
and d Ihe Incomlnu rtsourceB awlcatbn of roSOUTce8 Of thè chaiity at that perSod. In preparin9
these flnanclal stalEmEnts, thè Tru5Lges are Tequlrod to'.- sek¢l SUItab￿ Accounllng and thgn
apply them eoDSi%teftty: ob5èNè thè m6thod8 ond prfnclple5 In Ihe CharlttBS SORP. make
Sudgements aml estlmales that are rnasongbla and pwd6n( Slate whether applleable accounfing
standgrd$ hav8 been folk)wed. 8ublect to any rllatCTial depgrture$ dls¢losed axpLqlned k7 th8
fknancw 8talemt8: Prepare th8 financlal Slate[￿entS on th8 goSng concem ba51s unless 11 is
aPp￿p￿al8 to Presume Ihallhe i*arily WWI eon11n￿ In operallon.
Thè Trustees rasponslble for ke8pfng proper accouTrtuw records that dt8cksB wllh reasonable
Ac¢urgw, &t any thn8, the Ilnanc121 wsitl(In of Iho ¢horfty and enable them to ensLrrn that thè finafttial
$iatèm&nts COm￿Y wilh the CharfitBs Act 2011 and Accounling and Repcffting by Charitles.. Slalement
pf Recomm8ndad Pra(Ibg ¥pplIcab￿ lo ehatltla8 prep8$1n9 thek acuunts In acwdane& wth th&
FSr*anclal RepDrthg Standard appkabte In Ihe UK And Republk ol Ireland IFR81021 las èm¢nded for
8ceouftting pertod5 convn9nong 1 January 2019), and the provL5iQll6 Ottht Irustdead. Thw aTe
ak? re¥ponsllA8 for safeguarding Ike as$ots ol th? cha￿ty and hence for to￿rVJ reawn8ble steps for
Ihe wevénuon and deioctl)n of fra￿d and other trrÈgularftl&s.
Thls report haE baan p￿Per9d In 4CcUrda￿ w4th fhe Slat•m*nt of RecoTrtsmend8d Pra¢llGO -
counung and RepoTUng ty GhaTitss.
Thls ￿polI￿al approved by the Thslees of Ihe chaHty on 8&ned on Its tehaLI.
J D G Hlnchhff6
Dalè,.

THE EDITH MARY CLARK FOVNDATK)N
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES
FOR THE YEAR ENDED 5 APRIL 2025
I report on the 8¢counts ot the chaiity for Ihe period ended 5 April 2025 which are set out on the
pages that loll()w.
Respectlve responslbllltles of thg trustees and the Independènt éxamlnèr
The charity's trustees are Tesponsibje for the the prepaiatiDn of the a¢counts. The charity's trustees
consider that an audit is not required for this period under section 144{21 of the Chaiilies Act 2011
(the 2011 Act). and that an independerit examination is needed.
.It Is my responsibility lo..
examine the ac¢ounls LFnder section 145 of the 2011 Act,. follow the procedu￿5 laid down in Ihe
general directions given by the Charity Commission under section 14515}Ibl of the 2011 Act., and
state whether partictElar matters have come to my attention.
Ba$ls of Independent examinerf$ report
My examination wa5 carried out in accordan￿ with the general direcb.ons given by the Chafity
Corrwnission. An indepèndent examinalKkn includes a review of the accounting i@cords kept by the
charity and a comparison of the accounts presented with those rvords. It also incfudes consideration
of any unusual items or disclosures in the accounts, and seeking the Trustees eonceming any such
mattels. The procedures undertaken do not provide all the evidence that would be required in an
audi( and consequendy no opinion is given as to whether the aocounts present a "true and frair vievl,
and Ihe report is limited lo those malters set out in the statement below.
Independent examlnerfs statement
In the COLtrse of my examination, no matter has come to my attention"
11 whKh gives me reasonabl¢ Cause lo believe that, in any material respect, the requlremenls.. to
keep ￿COuntIng records in accordance with section 130 of the 2011 ACL and lo prepare accounts
whÉch accord with the ￿COunting records and comply with the accounting requiren￿nts of the 2011
Act have not been mel., or
2} which, in my opinion. attention should be drawn in order to enable 2 proper U￿JerStandlng of the
accounts to be reached.
D L TkL(>rn1
Debbie Thorn FCA
Champion Accountants LLP
Blackpool
Date..

THE EDITH fMRY CLARK FOUNDATION
STATEQAENT OF FINANCIAL ACThllTIES
FOR THE YEAR ENDED S APRIL 2025
Expondable
Endowmont Umrestrlcted
Fund
Fund
2025
Totsl
2024
Total
Incoming Resoufces
Investrnent income
Bank interest {gross)
Nel Rental Incom&
Profil l {Lossl on sale of
Investments
Total Incoming T•soureés
Not¢
49,798
391
49,798
391
44,992
912
116
74.231
74,231
{8621
Charitable expenditure
'Legal charges- General
Accountancy charges -Generdl
Independent Examiners fees
Grant Adverts
Bank charges
Investment management charges
NFU Mutual Insurance
Land Expenses- P Wilson
2.250
1,440
6,750
4,320
9.000
5.760
9,000
5,520
810
60
95
95
8.39LI
8,390
476
360
6.757
476
360
Charitable donations
490
Total resources expended
002
Net Incomlng resources
Other reGognised gains and 19s$e$
Realisedlunrealised gainslllossesl on
investment assets
82,151
11,1421
61,009
15,844)
103 042
105 660
140,891)
170058
{1,142)
142,0331
99,816
162809
Fund balances brought forward
Fund balances carrled forward

THE EDITH MARY CLARK FOUNDAMON
STATEMENT OF FINANCIAL ACTivrriES
FOR THE YEAR ENDED 5 APRIL 202S
2024 COMPARATIVE SPLIT
Expendable
Endowmtnt Unrestricted
Fund
Fund
2024
Total
Incomlng Rosourcès
Current period..
Inveslfflent income
Bank interest Igrossl
Net Rental Income
Profit l (Loss) on sale of
investments
44,992
912
44,992
912
116
116
{8621
{862)
Total incoming rnsourcès
Charitable
pendlturo
Legal charges- General
Accountancy charges- General
Independent Examiners fees
Grant Advorts
Bank chaiges
Investment
management charges
Char¢table donations
2,250
1,380
6,750
4,140
810
60
9,000
5,520
810
60
6,757
6,757
28,850
28,850
Totsl resources expended
Net incoming resources
Other recognised galn$ and105ses
Realisedlunrealised gainslllosses) on
investment assets
{11.2491
5.405
15,844)
105660
105
94,411
5,405
99.816
21921 LfiaL99
Fund balances brought forward
Fund balances Carried fovNard

THE EDITH MARYCLARK FOUIIDATIOM
BALANCE SHEgr
A3 AT 5APRIL 2025
E￿)endabl0
Endowm•nt Unre8trktod
Fund
Fund
2025
Total
2024
Total
Fixed assets
InvoslmEntE
land al Wr8a Gr••n
1,636.944
1,538,944
1.681,204
Currnnt 08Mts
CaBh al Balk
Cash at ID¥6Ékn))8nt Mwr
Incomg t4x repayab
reGeknbr
3.579
21,IM6
8,120
333
24,625
8.120
333
18,071
13,687
333
Crèdilors
Amounts falh.ng due ￿thIn onayeaf
Netcurrent a5￿￿1(Aab11l11trE1
Loan$ l)etwgen lunds
28.1B4
Net a￿¥18
Fund8
The ffirtanciaj 5taiemBnts were a¥wroved bythe Tru8lee& on
and slgned on Ih21r behalf by:
J D G H£nohllffè
C N Calvert

THE EDrrH WIRY CLARK FOUNDATION
NOTES TO THE ACCOUMTS
FOR THE YEAR ENDED 5 APRIL 2025
1 ACCOUNTING POLICIES
Basis of accounting
The Accounts have been prepared under the histDrical cost convention and in accordance with the
Accounting and Reporting by Chariiies.. Statement of Recommended Practice applkable lo charities
preparing their accounts in accordance with the Financial Reportlng Standard applicable in the
United lQngdom and Republic of Iroland {FRS 1021, the CharttÈes Act 2011 and UK Generalty
Accepted Practice as il applies from 1 January 2019.
The financial stalements of the charity, which is a public benefit entity under FRS 102. have been
prepared in accordance with the Chartties SORP IFRS 1021 'Aeeountino and Reporting by Charities-.
preparing their accoLtrnts in accordance with the Financk81 Reporting Standard applicable in the UK
and Republic of Ireland IFRS 1021 (effective 1 January 20191,, Financial Reporkn"ng Standard 102
'The Financial Reporting Standard applicable in the UK a￿1 Republic of Ireland, and the Charities
Act2011.
Income, divldend and deposft Interest
Dividend income is accounted for on the dale the dividend is payable. Deposit interest and grazing
rent is accounted fw on a re￿Ipts basi%.
Investments
Investrnents ai8 slated al market value. Investment income is credited lo the incDme fund on an
accruals basis.
Expenditure
All expenditure is aC￿LInted for on an accruals basis.
2 GRANTS PAYABLE
.Grants payab￿ are accounted for on an accruals basls. Grants this period were mainly paid in
accordance with wishes expressed privately by the selllor to the Trustees. In future, grants will be
made following an application by a registered charity.
Endowment fund5
Incoming resouTces from endowment fvnd8 are unreStr￿1ed. Income is treated as an endowment
where expenditure of income or Capital is al the discretion ol th8 Trustees. Income is recognised
when the Charity is entitled lo it.

THE EDrrH MARY CLARK FOUNDATION
NOTES TO THEACCOUNTS
FOR THE YEAR ENDED 5 APRIL 2025
3 TRUSTEES REMUNERATION AND EXPENSES
No trustees iecelved ￿Muneration or expenses.
Mr J D G Hinchliffe was an employee of Vincent Solicitors Limited. £9,000 12024.. £9,000> was
payable durSn9 the year lo the firm by the charty for services carrEd out on behalfof the trustees.
Mr C N Calvert is a director of Rushtons (NW) Limited TIA Rushtons Chartered Accountants.
£5,760 {2024: £5,520) w8s payable during the year lo the firm by the charity for seNi￿S carried out
on behalf of the tfustees. £3,300 was outslandiThJ at the year end.
4 CHARITABLE ACTIVITIES
Grants paid lo registered charities from income:
Sl Nicholas Singers Vilkge Choir
Bc>llon Lads & Girls Club
Lancashire Teaching Hospitals Chariiy
Lancaster Roman Catholic Diocesan Tru51ee
Frecklelon Village Singers
Ffiends of Lytham Railway Sialion
FI￿ndS of Newton Community Park
Newton Bluecoal CE Primary School
PCC Ki¥kham
Qrkham Town Council- Ktrkham in Bloom
St Annes Lawn Tennis & Squash Club
Lancs Wesl D of E Unit (Girtguidingl
Christ Chuich Wesham Clubday
2nd Ffeckleton Guides
2025
2024
1,ODO
1,000
1.000
1,000
600
1,txio
7.(xJo
3.000
600
soo
500
1,000
300
1,500
1,000
500
500
1.000
1.000
500
The Fylde Food Community Hub
Ki¥kham Singers Community Choir
2n& lfjrkham St Mrhaels Scout Group
NewEDn. Clifton & Salwknk Field Oay
Lytham Heritage Group
Sense
Preston Opera
Preston Arts Assoclalion
Rosemere Cancer Foundation
Smile {Presbnl
AA Dan￿ Events
Ataxia UTC
Blackpool and Fylde Street kngeis
BFa¢kpool POSA
1,400
850
500
750
1,000
1,000
750
500
1,000
2.000
8C
1,000
1,500
500
510
Balancè clfwd
11,310
21,850

THE EDITH fblARY CLARK FOUNDATION
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED S APRIL 2025
Baknee bl@Kd
Friends of St Annes Railway Station
RS Outside Catering D Day 80th Anniversary
Wrea Green Cricket Club
Wrea Green Field Day
Frèsh Food 4 Working Famllies
Connect Community Groups CIC
Freckleton Music Festival
Friènds of Treales COE School
Kirkham Gultural Consortium
Medlar Wesham Primary School
Ormskirk Communlty Partnership
Revitalise Respite HolSdays
Sl Annes Weslby Mills
Sl Nicholas Church Of England
The Breakthrough Brea51 Cancer Charity
Th& Brit15h Heart FOUnda￿On
The CounGil For The Piolection Of Rural England
The Guide Dogs for the Blind Assoclalion
The Memory Cafe
The Royal Society for the Proknlion of Birds
The Trtnity Hospital in the Fylde
Weelon Vil*e Hall
11,310
21,850
500
1,000
1,000
2,500
2,000
330
2,000
800
500
1,QOO
1,000
2,000
500
500
1,000
4,000
3,000
1.500
1.500
1,500
550
1,500
1,500
2,500
Chayiiable Donations
S CREDITORS
2025
2024
Rushtons
Champion
3,300
840
3,000
810
10