a Hortle,yFoujler° Digitally Signed Document Documeni ID= 49134(JC622925F Document Details Filcnamc: SAMS accounts 2025.pdf Hartley Fowler LLP Signature Details N#inc'. Mich¢le Pizzey F.Inail: michele Jiu¢y@y&hoo.co.uk D,.IEI, & I'iinL': 0111012025 18..24..08 PM (BST) IP ,Idilr¢'s¥: 86.15.8.249 Mich¢l¢ Piz7cy confLrm5 thai thc infomiation is correct and complete to the best oftheir knowledge and belier. ¢il¥nliiki St4leincnt'. Digital Certificate lanipcrid wiih. On bLhall' of: Hartlcy Fowler LLP PDF digital li riifica¢¢'. IRIS Software Group Limitcd Digital cvrtifilthte issiild bi.: Globalsign PloaK kcep a copy of this document for your rccords. Hartley Fowler LLP is powered by IRIS OpenSpac¢.
REGISTERED CHARITY NUMBKR: 1165049 RTOFTHE EE FINANCIAL. ATEMETr4TS FOR THF. YF.AR F.NDF,D 31 MAR FOR TH WF. AMARITAN Harlley Fowler LLP Chartered Arcoukntants 4 Floor, Tuition Hou5C 27137 St George's Eio&d Wimbledon London SW19 4EU TEI.. 020 8946 1212- 020 8947 0998 Websit¢.' www.Iwll¢yfi)wl¢r.com
IP4fr.R SOUTH WF.ST i.ofiDON AMARITAN CO)TF.NTS OFTHE FIPIANCIAL, STATE Ts FI)R THE YEAR F.NDF.I) 31 MARCH 2025 Page OryanlBatIon Inforrnatlon Report of the Truitc Statemellt of Flll•D¢lal Aerfvltl StAtemeTrt of FlnanclAI Po0 N•t¢i to the Fin8nd81 Statementi Independent Exrnlner'i Report 10
INP4F.R SOUTH WEST LO)1 DOTr4' SA RITANS RCANISATIOIYAL lFoRlATION, FOR THL YEAR ENDED 31 MARCH 202 OFFICERS AIYD TRUSTEES M Pizzey A BuLkland R Binny FCA L C den Hartv T Longdert N Scot15 A Sh&nf P MUaY D McGuinn¢56 H Lisle S Pcart RT&nch Diwtor S¥¢r¢igry Treasurer REGISTF.RED OFFICE: 14 Prin¢¢lon Court, 53-55 Fclsham Road, Puiney London SW15 IAZ INDEPFNDENT F.XAMINER: Jonaihatk Askew FCA Harilcy Fowler LLP Churtered Accountants 4, Floor Tuiiion House 27137 St Gcorge's Road Wimbledon London SW194EU BANKERS: CAF Bank Ltd 25 King5 Hill Avenu¢ Kings Hill Wcsl Malling Kent ME194JQ Pa¥¢ I
IYPIER SOL'TH WEST LOliDON SAMARITANS REPORT OF THE TR TEES R THE YEAR EN'DED 31 IMARCH 2025 The Trustees present their repDrt with lh¢ financial staterncnls ol th¢ Branch for the Ye cnded 31 March 2025. Th¢ financial $tatement5 have been pr¢pJr¢d in a¥cordancc with the accounling pulibies sel oui in notc I to the accounts an(1 romply iviih the chaTily's ¢onstiiution. the ChaTiiJes ALI 2011 and Accounlingi and Reporting by Charitics.. Stal¢mBni vf Recommended Pra¢tir¢ applicable to charitics preparing their ¥counlS Jn aLcordance with thc Financial Reporiing Stsndord ipplicabl¢ in the UK and Republic of TrBloHd IFRS 102) {¢ffective l January 20151. STRUCTURE AND GOVERNANCE Inncr Svuth Wcsi London Sam&ritans I'the Ch&rily"l 1$ a brdnch of the Samarit8ns and is consitiuted as ¥ ChaTii&bl¢ In¢orporatcd Organisation ICIOI. rcgislered charity number I165U4Y and 15 8ov¢rn¢d by ils eon5lituiiVn dated 27 Septcmber 2016. The I¥tee8 ofthL Charity rponSIbl¢ for ils gencral rn8na&y¢menl. ThL trusiees lonsuli with all branch m¢mbcr5 a5 to who ¥hould be appointed as Ejranch Direcior for 8 pLrii)d of thrL¢ y¢ars. The Branch Director rcpTe5ents Ihc brAn¢h &1 ihc twiLe yearly Sarn8rilan5 Cvun¢il of Managcrncn¢ Meetin and ovLrsces 811 a$peLl& ofbranch work in relation Lo thL scrvice it provides to callers. Thc Trusi¢¢s who 5ekved durin th¢ ycar are shown on p&¥e l. PRINCIPAL ACTIVITIES AND ACHIEVEMENTS The objects of thc Lhhrity llrc.. l.Tv enoble p¢rsut)s in Souih We5( Londvn and thL surrounding area As w¢ll as ¢lsewhere who ir¢ cxpcrienlinu f¢¢lin85 of dislrcss or dL5Palf, tTh¢ludin¥ 11105¢ who may b¢ al risk of Suicide, ¢0 rccbive confjdrnlial emotional support 11 Any lime of the day or night in order lo tmprove IhLir ¢motional health And to reduLe the incidcncc ofsuicid¢', 2. Tu proTnole a bL'U¥r undersianding in soLicty of sui£id¢, suicidal behaviour and th¢ value or expressing fcclings which may oihcrwise lead 10 Suicide or impaired Cmoiional heulih.. And 3. To Lollaboralc with and support SaTnarittttLS Ccniral Charity und its al[LA[¢d brAnche5 in fulfilling Ihc5c objec¢s. Samari18ns otYLr emotional supporl ¢0 anyone in dislre55 or dcspair, in¢ludin¥ ih05c who may bi thinkin8 of Lnding Ih¢ir lifL. Support from our Inncr South Wcst London br8n¢h is ¢urrenily giv¢n by OUnd 190 volunteers who help our call¢rs by giving ¢a¢h one & safb and LonfTd¢niial spacL 10 lalk on ihe phone. by Cttbail or in person. We work wilh Ihc other 2(4) SarnarIrt bran¥hes lo cnsurg 24-hvur availability ofthL servicc aeros8 Lhe wholc ufihe UK. Our branch r¢sponded to over 24,(X)O contacts la51 year. in line wsth the prior yLar. The majurily ofour contacts ar¢ still by t¢l¢phon¢ but we aTC scerng An incrL'ase in wLbch#t and we are still dra11n wilh ¥m2ils, notwiih5tanding a n&ional initiative to move ¢mails io a ¢¢ntral hub. W¥ ¢onlinufy to focu5 on incr¢a5ing our volunt¢er numb¢r$ whi¢h will help lo offer more help to C8ll¢rs, p4rti¢ularly during the un50¢1 hour5 whcn dcm4nd for our $ervL¢C5 15 at a pcak. Outr¥8¢h ailivitlC5 continucd during ihL Ye whcrc WE have both virtual and face tu f)¢e pr¢s¢nce at various Cornmunity and school events io raise awareness and provid¢ emolional 5uppurt. Pag¢ 2
H WEST LODOW AIMARITAIY RF.PORT OF THE TRS1..F.s FOR THE EAR EDED31 M H 2025 DonHlions r¢main a vilal source of revenue for lh¢ branch. DurinK lh¢ year we benefjied from the rc¢¢ipl of signifiLanl legacie5. donalions from corpornlc bodies, local community lld$ and individuals. This inLluded £8,000 from Ihc Wimblcdon Foundation Communily Fund. We continu¢ to be particularly appreciative of those who donate r¢¥ularly by standing OTd¢r. as th¢se donations T¢preseni our mosl PT¢dict2bl¢ source of in¢ome. Fund-ra151llB ¢VenlS Lontinued during the year with eur rnosi signifi¢8nt fund-Tai5ing ¥venls being Ihc London Mataihon, 70 Mile Walk, London to Brighton Walk, Swim Seentir. ond the Freshmind5 Charily London Walk W¢ ar¢ ¢xlrcmely grdteful to all our supptsrters for their greal ¢tTorts in raisin& monty for us. Th¢ TNsiee5 have Gompli¥d with the duly s61 oul in S¢¢lion 4 of th¢ ChariliLs Act 2011 io hav¢ paid due r¢8¥d 10 ihL public bcDrfi( MuidanLe published by the Charity Cornmi5sivn in planning thlif 8btiviiies. FINANCIAL REVIEW AND RISK LNAGEMENT A Summary uf lh¢ finanLial posi¢i¢)n and income and Lipenditure for the year arc given on pa8os 5 and 6. wilh noi¢s io ihe finanLial slalcmrnts on pages 7 to 9. The Truslc¢s h4v¢ CDnsid¢r¢d the principAI risk8 lo which thL organisalion 1$ expos¢d and havc developcd Slrale8ies iu miligalc the eifects of ihese wh¢r¢ possiblo. RECRUITMF.NT AND APPOINTMENT OF TRUSTEES Trust.$ are clcct¥xi by lh¢ members at ihe Annual G¢n¥ral Meetin¥ and up lo two Trusiees May be appoinlcd by Ihc Cxisiing Trusiees in order to fill id¢niified gdps in cxpcrtise on the Charity's BoArd of Tru51ccs. alihouyh such TSte¢S are re4ULrcd lo r¢tir¢ and s¢Lk re-clcction 81 thc next AGM. FUNDRAISINC ACTIVITIF.S Fundraising activities Arl munilored by ¢he Trn¥l¢¢S and the Charity do¢s nol employ professional fundrais¢r5 or oihrr cornm¢r¢ial paniLip&lors io raise funds. Thc Charity IS Dot bound by any wolwilary 5LhLme or standard for fundraisin¥ but secks to ¢Dsure this i5 carti¢d oul in an cthi¢o1 m8nn¢T and in 8LLordanLc wilh Cha(iiy Commission guid8n¢e. In particular ihe Charity seLks to prot¢Lt vulncrable people and other mLmbers ofihe publi¢ from th¢ folluwing* UllrtA$onablc inlN8ion on privacy, unrea5unably p¢rsi$l¢ni approachc5 or pl8¢in8 undue prcs5ure on a p¢rsgn to givc mvney or other PTOP¢rty. No complaints atx>ul its fundraisin¥ aclivltics weri rcceivLYl in the yiar. RESERVES POLICY The Charity 5Lck¥ mainlain a Icvel of rrs¥rvcs su(fiLicnt lo allow il lo mainlain th¢ infrgstructure n¢¢¢ssary for it to carry on Its opcrlltions. to provide a buffer a¥&inst v2rialions in Lash flow and lo allow for such conlin¥encies as might TeagonAbly be expcLle(l io arise. A separatt capital rerve wa5 set up to renect the LOS¢ olth¢ fr¢ehold propcrty other fjxed asscls. PREMISLS The freehold property 8llows the BrdnLh to op¢rat¢ without having to pay ¢ommercial rents 3$ well a5 represer)iing a possible source of iDGome for the fuiurc. Page 3
INPIER SOUTH WEST LOTriDOP4 SAMARITAN REPORT OFTHF. TRbSTEES FOR THE YEAR b.Ii'DED 311 ARCH 2V25 TRUSTELS? RESPOIYSIBILITY sTATEmET Thc Trustre5 are re5ponsibl¢ for prcp&ring the Report of the Tntslees and the fJn3n¢iai statements in accordanL¢ Wjth appli¢able law and Unitcd Kingdom A¢¢ountin8 Standards (Uniled Kingdom Generally Aceepled Accounting PTa¢ti¢¢l, The law applTvabl¢ lo ¢haritlC5 in F.ngland and Wal¢s, the Charities Aci 2011. Charity (AlLU and Reports) R¥¥ulations 2008 and the provLSLons of thL Irusi deed requiT¢S the TtusiLcs lo prepaTC rin#nLial slaiemenis for each financial year which xive a tNe and 18ir view ofthe slate of affairs of th¢ ¥haiily and ofihe inLoming rcsour¢es 8nd appliLation ofresouitycs, in¢ludtng the income and expLndilure. of the chArily for ihal period. In preparing those financi81 stalements, th¢ TNst¢¢S 8r¢ required 10: select sui¢abl¢ a¢¢ountiny policie5 and ihen apply them consisienily obscrve th¢ meihods and principlcs in ihc Charity SORP. rnake jud¥vm¢Dls 8nd estimal¥s thai 8r¢ reasonable an¢J prudenl; iv. siste whether appliLablL aLLY)uthLin8 stsndard5 havc been followed, subjeLI tv any mJt¢rial d¢panurL$ disL105ed and ¢xplain¥d in ihe financial slaiemenis.. and prepare thc finAnLial 51ai¢m¢nis on the 8oiThg coDc¢Th basi¥ unless It is in&ppropri#l¢ Lo pr¢yume Ihal Ihc charily will continue in businc8S. The Trustee8 are responsible for keeping propLY acLountin rLGords whiLh disLlo¥c with r#awn2ble a¢LuraLy al any timr lh¢ finanLi&l positioTh uf Ihe Lharity and to enablc Ihetn lo ensur¢ that ihc flnancial 5tatement5 Lumply wi¢h Ih¢ Charities Acl 2011, thr Chariiy (Accoun15 and Reports) Re8ulalions 2008 Bnd Ihc provisions of thc tnjsi decd. They are &lso r¢¥p0Th5iblc for safeguarding th¢ asse15 of thc Lhurity and hence for iakin¥ r¢awn8blc sleps for thc pr¥v¢niion and detcction offraud and oihcr irrcgulllriti. ON HF.HALF OF THE TRUSTEES: 30 September 2025 M Pizz¢y- Branch Directur Date Pa£ 4
IINNER SOUTH WEST LOSIDON'.SANIARIT.4INS Sl'A TTr.II IF'.NI- OF FIliAN IAI. ACTIVII-IF. RATIING THF. INCOMF. A.%D EXPEINDITURE ACCObNT FOR THE YEAR E.NDED 31 MARCH 2(b25 INCORP 2025 2024 INCOME IncoTDC fTvm don81ions and l¢¥ubi¢s InLY>me from events Gift Aid r¢¢ovcred un doDalioHs Gran¢s r¢c¢iv¢d 63.587 33.653 3.246 31.253 51,607 2,404 17.500 102.764 100.487 Income from Investments Inier¢51 feL¢iv¢d 3.180 1.003 Totil In¢oming reiourcei 103667 103,767 EXPENDITURE Coit of geNeratlNg fvndl Fundraisiny expenscs 5.613 Charltable expendlture Volunteer ¢xpcnses Propeny costs Li¥ht. hcat and water Telephonc and IT costs Cleuning olle and kitchen supplies Insuran(¢ Bk charges Sundry exp¢nJes 18.333 8.779 5,575 4.770 5,452 5,391 1,250 173 359 50.082 18.242 6.7Y5 4.493 5.415 4.103 3,592 180 428 44.639 Man4%emeht 8nd #dmlnlstr8tlon costs Indcpendvnt examiner's fce5 Br&nch coniributitsn payable 10 Gert¢t81 Office 1,484 1,320 6.734 4,546 TotAI r¢sourreJ expended 62.123 54.798 iY¢t Ineome befor¢ deprvlAth)n and unrefill$¢d profi¢ on Invutment 41.544 48.969 Deprcciation UnTcalisrd Iprofii)11055 on inv¢stm¢n¢ 21,593 687 21,593 1257) NET INCOME/{EXPE'DITURE) 19.264 27.633 RECONCILIATION OF FUIYDS Reservc8 br¢)ught foJw8rd ai l April 558,769 531.136 Reserves ¢arrled foTward at 31 Mrth 57R033 558.769 Page 5
114NF.R SO TH WEST LONDON S MARITA Tris STATEMENT OF FIIYAIYCIAL POSITIOY 31 MARCH 2025 Notcs 2025 2024 FIXED ASSETS Tan¥ibl¢ asseis 433.218 454.811 CURRENT AFAETS C&sh al bank Invesiments Prepaymcnts 128,601 22.972 86,308 23,659 152,929 I,967 CREDITORS Amounts falling du¢ within one year 6.009 NET CURREf4T ASSETS 144,815 103.958 TOTAL ASSETS I,F,SS CURRF.NT LIABILITIES 578.Q33 558,769 578.033 558 769 RESF,RVES RF.STRICTF.D 6,667 UNRESTRICTED GencrAI r¢seTVCS Capilal reserv¢ 144.815 433.218 97.291 454,811 578 033 558 769 Approved by th¢ Irustees on 30 Septcmbcr 2025 and signcd on their bchalf by M Pizz¢y- Brancb Director Pag¢ 6
IINIIER SOUTH WEST LOI AIMARITAN 'OTES TO THE FINI AIN CIAI. STATEIMENTS FOR THE YEAR EINDb:D 31 IMARCH 2025 I. ACCOUNTING POI.ICIES Accountin% conventlon ThL finmcial 51alctnenlS of thc chariiy. which LS A publi¢ b¢n¢fii cntity under FRS 102, have been prepar¢d in accordance wilh the ChaTlti¢s SORP IFRS 1021 A¢counling and ReporlJn¥ by Charilie5'. Siat¢menl of Recornmendcd Prn¥ti¢¢ applicable to charili¢s prL'parin¥ their aLcoun15 in atcordance with ihc Financial RLpotling Slandard applicable in lh¢ UK and Republic of Ireland IFRS 1021 (effective I january 20151,. Financial Rcpofling Standard 102 Thc Financial Reporting Stsndard appliLable in the UK and R¢publiL of Ircland, and the Charilics Act 2011. Thc financial Statements have beeo prepared under Ihe hisiuijLal coyt ¢onv¢nlion with iiem5 recognised ai Cost or transaction value unless oih¢rwise staled in thg relevant notels) to th¢s¥ aL¢ounls. Fund •¢countlng UnT¢sirict¢d fund5 arL avuilabl¢ for usc li ih¢ di5crelion orth¢ trustees in fih¢ranGE tsf the objeLlives of thE chariiy. R¢sLTj¢tcd funds are subjrcied to rc8triL(ion5 on their ¢xpcndilur¢ irnpo5ed by the donor or IhTou¥h thc Icrms oran appcal. In¢on)In¥ resourcei All inLom¢ is rccognised in Ihc Si&i¢meni of Financial Activilies on¢¢ th¢ ¢h2rily has enti¢lcm¢nl to the funds. li is probablc that (hr inLOm¢ will b¢ r¢elved and the amount Lan be MLaSUr reliAbly. DU¢d 5¥Trice5 and facililic& ore In¢liidLd al IhL v#lue lo ihb Lhariiy wh¥rc this Lan bc quantifi¢d. The value of serviccs providLd by volunlcLrs ha5 not b¥en included in Ihese accounts. Re50ur¢e$ ¢xptnded F.xpenditur¥ is reLtsgni¥Ld on an acLrual ba$15 as a Iihbilily is incurrd. Expenditure inLludc5 any VAT whiLh ¢annoi be fully rccov¢r¢d and this LS reportLd AS PArt of Ihe exp¢nditure io whiLh li r¢latLb. Chariiablc ¢xpendiiur¢ lomprises thosc cvsis incurred by ihe Lharily in lh¢ d¢livLry of it5 arlivili¢s and 5CTviLes. It inLludes boih c0515 Ihal can b¥ 8llo¥atLd diTeLtly to su¢h Activities and those Costs of an indirL1 rtalur¢ n¢¢essary 10 support thcrn. Cosls of 8cneralin8 fund5 rompris4 lh¢ wsls a550Liaied wilh aitra¢liny voluntary inGome. Management and administration losls include ihosc co$ 8sso¥i&tLd with rnL¢ling lh¢ cuTh51ilutional and statutory rcquii¢m¢nis of ihc Lharity and in¥ludc indepcndrni ex8min¢rs f¢¢s and cos15 link¢d to the siraiegic man3¥¢m¢ni orth¢ ¢vmp&ny. T*nglble Ilx¢d as¢¥ Drpreriation is provid¢d at the following annual rate5 in ordLr lo write off ¢aLh &5sei over lis esiim8ied useful life. Minor additions costin¥ l¢ss than £l,(JX> ar¢ nol capitslisLd. Frc¢hold 12nd Frechvld propcrty Improvements to property 20&h un cosi InvestrnentS Investyents are initially rccv¥nis¢d at their Iran58cliotL value and subsequLntly rnca5w¢d at Ih¥ir market value as ai Ihe balanLe 5he¢i dalc using the c105iThg quotcd matk¢i price. The slatemczLI of fin8n¢ial &¢tivities includes th¢ net 8ain5 and losses ari81n& on revaluaiion And dispusals throughout ¢h¢ y¢ar. The noLES fomi part of thcsc fii)ancial siitements Pag¢ 7
INNERS H WEST LONDON SAMARITAfS NOTES TO THE bliYANCIAL STATEMEN1'8 FOR THE YEAR LNDED 31 MARCII 2025 corLti GRAfTS RECEIVABI,E GranL8 received fro insuiutions in the ycar were a5 follow$ 2025 2024 Foyle Foundation Natii>nal Lottery 7,51)0 10,000 2024.. Both grdnt5 Wtrc awarded to allow for an increase in volullt¥¢T hows on oveTnighi shifts. NET If4COMING RESOURCES These are slatcd after char¥ing'. 2025 2024 Independen¢ examincr's fces lincludin8 VATI 1,484 1,320 TANGIBLE FIXED ASSETS Frcchold PTOPCTty Impmw¢m¢nl$ io property Total COST At l April 2024 445,000 96.840 541.840 Ai 31 March 2025 445 000 96.840 541.840 DEPRECIATION: Ai l April 2024 Char¥e for thc ycar At 31 March 2025 2R,925 2.225 58.104 19.368 87.029 108,622 NET BOOK VALUE: At l April 2024 416.075 454 811 AL 31 March 2025 413,850 433 218 CREDITORS: AMOUNTS FALLIIYG DUE WITHIN ONE YEAR 2025 2024 AcGrucd cxpens¢s Net Branch Contribution due to Samaritans Cenlraj Charity 2.864 5.250 2,783 3.226 TtL¢ notes forni pari ofthe5e fLnatLcial slatcmcntS Pag¢ 8
IriNI ER SOUT WEST LONDON SAIMARIT NOTES TO THE FINANCIAL STATEMEIYTS FOR THL YEAR ENDED 31 MARCH 2025 Continued RF.SERVES ReStriCd UlstTl¢I¢d Capital reserve To¢al At l ApTiI 2024 6.667 97.291 454,811 558.769 Surylu51ldeficil} foT thc y¢ar (6.667) 25.931 19,264 Depreciation transfer 21.593 (21.593) At 31 March 2025 144.815 433218 578.033 Thc rcstricied resery¢ was in r¢lation to the r¢$tri¥ted grant inbom¢ receiv¥d during thc year ended 3 1 March 2024 of£17,500. Costs in the year of£6,66712024.. £10,833) in s&lisfA¢¢ion of Lh# purpose or lh¢ grani Are allocated a8ainsl the rcserve in¢uffLd. Th¢ r¢mainin¥ fund5 uf nil12024.. £6.667) art h¢ld as cash ai bank. The capital r¢serve is a de8iiinAted reserve 1 up Io T¢fle¢t Ihe funds tied up in fixed ASS¢ts. REMUNERATION AND EXPF.NSES Durin¥ lh¢ y¢ar, non¢ of the Trustees wcrc paid any r¢muneralion or received any oth¢r benefi from a cmplvyment with the Charity or a rclaied entity12024.' nil). No Trusffts were paid any ¢xpLnses during the y¢ar12024: nill. There were no rLl&i¢d p8rty Iransaetions with any Tru$i¢¥ during the year (2024.. nil). LJiYKED CHARITY As part of a rrstNciur1n of th¢ tional Sam8rilans organisation, thc assels liabilitics and &ctivities or The Pulno Samarilan5 ("th¢ old ChariLy"I WCTC IrBm$f¥rred on l April 2016 10 a new Chariiablc IncorpurAied Orgartisalion, Putney Sllmariians, giSt¢l¢d numb¢r 1165049 I'%he new Chariry.) which was 5ubscqucntly renarn¢d As "The Inner South We51 Lvndon Samuriians" Thc vld Charity b¢¢ame a domllni charity. Lalled The Pulney SamaiitBYl$, whi¢h is linked lo thc ncw charity and h&s a new rcgi$l¢rEd nvmb¢r, 1165049-1. Th¢ only aitiviiy of the old ChLty is io collect donations madc by standing orders which are re8ularly paid over to the new Charity. Ai 31 March 2025, the old Charily had as5¢1S of £207, represented by cash i bank. The nolcs forni p( ofthcsc finanrial sthtementS Page 9
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTF.ES OF Iyr4ER SOUTH WEST LOIYDOIY SAMARITANS I rEPDrt 10 the Charity tNslee5 on my examinaiion of the &ccounts of the I¢tr Swth Wcsi IA>ndon Ssrn&ritÉns Iihe Charity) for thc yeHr endcd 31 Mar¢h2025. R¢swShilbSlltSe& ind hasii of rDrt As Ihe charity Inlet5 of ihe Charity you are re5gx)nsiblc for th¢preparniion of the Jccounts in ¢ordg with the tequirements ofthe ChIll¢S kn 2Ql I Cthc A¢t'l. I report in rupectof my exAminHlion ofthc ChArity¥ accountscarrd out under section 145 ofthe Ad and in carryin¥ out my examination I h&ve followedall opplicablc Dirtciions gjven by the Charity Commission undcr tIon 14515Xbl of the ACL Indopondcnt examlner's 8tstÈrneTht I hav¢ cornpl0d my examinaiion. l eonfitm Ihai no materiil rn<ets have com¢ lo my &tlI0n in ConDlI0n wilh Ihe exAminaiion givin¥ rr)E cause 10 belitve thal in pny rnaiciial respeci.. ounling re¢ordy wcr¢ not kept in r¢s¢t frf the Chlty a8 required by Kction 130 of the Aci: QT Ihc llccollrtts do noi cOrd wilh Lhose rccurds,. or Ihc 4crounl8 do not cumply wilh Ihc applicable rcquir¢men15 concetning the form gnd conieni of ouTrlS let oui in Ihc Charilies (Acctsunis and R¢F¥)nsl Re¥ul&lions 2008 Liiher than any requiremeni Ihai th¢ accoun Bive i Irue and fllir vi¢w which is noi a miii¢r con¥idcred a8 P8rt of an indeptrtd¢ni ¢xamiDaLIOIi I confim Ih&i Ihere arc no other InlllLCJS lo which your att¢niion &kollld be drawn 10 eniblt s proper llndcrytmndinu ulihL' accounlx to be rcachcd. Jun¥1 an Askew ICAEW Hllrtlry Fowler LLP Chnrtered Accountanls 4ih FIOOT Tuiliun Huusc 27137 51 G¢oTg¥s Ro#d Wimbledon L()ndon SW19 4EU Dated 21,49•2r Page 10