REGISTERED Co￿￿PANy NUMBER: 10085412 {England Wales)
REGISTLRED CHARITY NUMBER: 1106298
REPOR'I. OTr THE TRUSTEES AND
ITl4o&lTDITF.D FINANCIAL STATEMENTS
F()R THF. Y
AR ENDED 31 DECEMBER2023
HAIR AND BEAUTY CHARITY
RatYin8¢rs LLP
Chartered Certified Ac¢ounthnts
19-20 Bourne c.ourt
Stsuthend Road
W(K)dford Green
Essex
IG8 8HD

HAIR AND BEAUTY CHARITY
ONTENTS OF THE FINAIY
IAL
TATEMENTS
frjr th¢
ear ¢thdtd 31 D¢c¢mb¢r 2023
Page
Report of the Trusteeg
IndepeTrdent Examiner's Report
Statement of Flnattelal Aetlvities
B#l#nce Skne¢t
Cash Flow S¢•tement
10
Notes to the C8$h Flow Statement
Notu to the Financial St8temeDts
12 to 20
Detgiled Statement of Fin8ncial Activities
21 to 22

HAIR AND BEAUTY CHARITY
REPORT OFTHE TRUSTEES
for the
ear ended 31 December 2023
The trust¢¢s who ar¢ also dIre￿or$ of th¢ ¢harity for the purpos¢5 of the Companies Ac¢ 2006, preseni their report with the financial
s&rements of the charity for the year ended 31 December 2023. The trustees have adtspted the PTOVi5ions of Accounthn8 and Reporting
by Charities.. Statement of Recommended Practice applicable to charities preparing their aceounts in accordance with the Finan¢ial
Reporting Standard appli¢able in the UK and Republi¢ of Irelartd (FRS 102} (effective l January 2019).
PUBLIC BENEFIT STATEMEiYr
The board have referred to the guidance contained in the Charity Commission's general guidance on public benefit when reviewing the
aim and objectives and in planning th¢ charity's future a¢tivitie& In particular, the trustees consider how planned a¢iivities will
contribute to ihe aims and objectives set.
OWEcfivES AI¥D AcrtVlTIES
Objectives aim$
The charity wa5 founded for the followin8 charhtsble purpose5'.
Renderin8 assistance in Cases ofneed by way of annuities andlor grnnts to past and present membets of the hairdTes5Lng. barber
and beauty industry. their 5pouse5 andlor children. Such awards are granted by the committee in accordance with the charity's rules.
Granting reli¢f cases by way of grants to non-members ¢onne¢ied with the hairdressin& barber and beauty industries of arky
nationality and resident in the UK.
Grantmakithg
The mana8etnent committee reviews all applications and decides who to help and what kind of help would be mos¢ appropriate. Our
Buiding principle is th￿ we help professiollal hahrdre5sers, barbers and beauticians in need and all applications will be considered
against the said principle.
To ensure we 5UPPOrt those in the most need, priority is given to indivtduals who have savings of less than £500 and whose in¢ome is
l¢ss or not stgnifi¢antly higher than their expenditure to help as many hairdresser& barbers and beauticians and their young children.
ACHIEVEMEP4T AND PERFORMANCE
Charitable activities
We continue to attract generous levels of funds from our s￿nSorS and our regular ev¢nts $u¢h as raffle ti¢kety bik¢ rid¢s and golf days.
During the year the society made grants of £142.610 {2022- £110.418) to a wide rdnge of adults and children and aims to ¢ontinue and
where possible expand its grani programme in th¢ n¢xi twelve monihg.
Po8¢ 1

HAIR AND BEAUTY CHARITY
REPORT Off THE TRUSTEES
ftsr the
ear ended 31 Deeem
ACHIEVEMENT AND PERbORMANCE
Fundraising activitie$
We are pleased to Say that we managed to generate £105,444 from fundraising ad]viti￿ during the year.
ChAirmau'5 Statement
Thankfully, in 2023 many businesses and individuals managed to get back on their feet and the Charity was not having to help $0 many
on a short-term basi5. bLtt we did nOii¢e a substantial in¢r¢ase in enquiries and requests from kauticians. in Febnw 2023 Susan
Routled8e & Sara Shoemark joined the committee represenling the beauty industry.
The year started with Jayne LeWi5-0￿ and Hellen Ward goirkg into their second year as President and Viee President r¢spectively.
However. at the end of (he year the Tn]stees agreed on some Charkty restructuring. It was decided to make the President and Vice
President Roles permanent for continuity PUTpose& whth Jayne and He51en agreeing to remain in these roles for the foreseeable future.
I will remain as Chairtnan. and Lynn Hi¢key ag Treasurer. Curr¢ni Directors and Trust¢¢s will be asked to resign and re-stand for
r¢-election as usual ¢a¢h year at the AGM.
Sponsor representation on th¢ committee remains by invitation at Silver level. All current and new sponsors to be asked to nominate
their representative for the SPOllSOTship period.
Independent committee memb¢rs will be asked annually to resign at year end. with effect from 3 1st December 2023 and put thefflselves
forward for re-election for the following 12 months and these will be reviewed and voied on by the Trust¢es.
Individual bespoke ambassador role5 to be created for those who have done ¢xtratsrdinary things for the Charity over th¢ year and will
be for l y¢ar.
Once again, our resolv¢ wos to organise and concentrate on events and with conlinued thanks to our President Jayne I*wis-Orr, our
golf day was combined with that of the HBSA again which proved to be benefJ¢ial for both partie5.
In April. we launched our first Spring party at a London nightclub and hop¢ to make this an annu81 event.
In Scplrmbcr, Vithr Pajak again su¢¢e$sfully ho$t¢d our annual bike ride, this time in Ibiza.
Our raffle continues to be ever more successful thanks to our President and Mark Moloney of the Professional Beauty Group allowing
tickets to be sold at all of their award events and at their trade shows where great su¢c¢ss was also a¢hi¢ved from selling donated,
end-of-line produ¢ts from many hair and beauty manufacturers.
We were fortunate again to receive £35,000 in donation5 from voluntary fundraisers iTrcluding individuals. other hairdressing
organisations, whole5aler& various salon$ and produ¢t Companies.
Thankfully, because of our resetves inlerest and dividends received through COIFFICCLA. we were able to continue to SUPPOrt our
admilli5tratKon team without dipping into raised funds and dortations. Our Charity MAnager and Company Secretary Natslie Merola.
along with our Beneficiaries Exe¢utiv¢ Sardh Hashim, continue to do a fJrst-cl&8s job not only in adrnini5trntiv¢ roles. but also at hair
events.
In fact, in April SaTrh Hashim won the 'My Saviouv Award at the Lions Barber Collective Pride Awards for 8iving ￿aY more than
expected. on80ing care. compassion and kindness at a time when rnost needed,.
Lastly. but by no Tneans least. l tske this opportunity to thank our Presidtnt Jayne Lewis-orr and our Vt¢e Pre5ideni H¢ll¢n Ward, all
our valued Sponsors. Donor& TtiJste¢5 and Committee members for their continued support. and our adminis(ration team. for their
ongoingT resolve and dedication.
Pa8¢ 2

HAIR AND BEAUTY CHARITY
REPORT OF TH
USTEE
l December 2023
eur ended
ACHIEVEMENT AND PERFORMANCE
Phillip Rogers, Chaimwi
Investment performance
Net profit on investment amounted to £220.028. Total investment income from listed investments was £74,291.
FINANCIAL REVIEW
Fittantial position
The financial results for the year to 31 De¢ernber 2023 are shown in th¢ attsched financial 5tatem¢nts.
Total income decreased from £288,857 ￿ £267,058.
Total expenditure increased from £250,498 to £289.877.
There was a net increase in funds of £197,209 with totsl unrestricted funds carried forward of £2.689.56012022- £2.492.351).
INve$tm¢nt policy objectives
Thc charity aims to achieve a certain return of both income and capithl gr0￿h with no more than a moderat¢ level ofrisk.
Reserves policy
Th¢ trustees have established the level of reserve5 (that is those fund5 that are freely available) that the chartty oughi to have. Reserves
are needed to bridge the fundill￿ gaps between spending on a¢tiviti¢4 and re¢eiving resources through voluntary income. 'fiie truslecs
C4)nsider that the ideal level of reserve5 a5 at 31 Dec£mber 2023 would be three months of re50UT¢es expended whi¢h is abou¢ £62,62.S.
However, the charity 15 PTin¢ipally operated as a grant giving ¢h8rity, and the trustees, policy is to seek to distribute the bulk of the
income arising in each financial year as it becomes available.
The free reserve5 a5 at 31 DeceTnber 2023 were £74,642. In calculating the reserves, the tmstees hav¢ excluded from total funds fixed
assets, inv¢sim¢nts and any restricied ineome funds.
Going tontern
The tru5tee5, having made appropriate enquiries, considei that adequate r¢sour¢es exists for the charity to continue in operdtional
¢xisten¢e for th¢ foresee8ble fu￿re and that. therefore. it l5 appropriate to adopt goin% concem basis in preparing the financial
statements as at and for the period ended 31 December 2023. The trustees h3v¢ made this assessment in respect to a period of one year
from the date of approval of these accounts.
Undoubtedly there will be challenges ahead but th¢ trusters do not expe¢t material ¢on¢erns to arise ov¢r the charity's fjnaiicial or
going concern position.
FUTURE PLANS
The charity plans to continue assisting the past present members of th¢ hairdr¢ssing and beauty industy.
STRIICTURE, GOVERNANCE AND MANAGEMENT
Governing document
Hair aiid Beauiy Charity i$ a ¢ompony limited by guarantee without share capital, incorporated on 25 March 2016 and registered with
the C'.harity commission on 31 March 2016.
The company wa5 esthblished under a Memorandum of Asso¢ia(ion whi¢h established the obje¢ts and powers of the charitable
company and is govemed under its Articles of A&sociation.
Page 3

HAIR AND BEAUTY CHARITY
REPORT OFTHE TRUSTEES
ear ended 31 December 2023
STRUCTURE. GOVERNANCE AND MANAGEMENT
Rtcruitment and #ppolntment ofnew trustees
New tN5tees aTe appoknt¢d due tts their inter¢st in the work of the charity and their recognised experience in spe¢ifJ¢ fields whi¢h will
furth¢r support the work of Hair and BeaLrty Charity. Trustees can retire when they do not serve under a fixed temi of tenure.
Organisational $truetur¢
The board of trustees administers the charity. The ￿ard meets p¢riodi¢ally.
Induttion #ttd trAittitsg of t)ew trustees
New trustees are given a full irkduction by the other trustees of the ¢harity. T￿￿tee$ ean retire when they wish as they do not serve
under a fixed ￿rnI of tenure.
Risk m#nagement
The tTUStces have a duty to identify and miew ihe risks to which the ¢h8rity is exposed and to ensure appropriate controls are in place
io provide reasonable a&8urance against fraud and error.
The trustees have a risk mana8¢m¢nt strate&v whtch compri5es.'
ali annual review of the risk5 the rharity may face;
the establishment of systems and procedures lo mitigate those risks identified in the plan;
the iMpl¢mentstion of procedure$ design¢d to mintmise any potential impact on the charity should those risks mAterialise.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Comp8ny number
10085412 (England and Wales)
R¢gistered ChArity number
1166298 (England aiJd Wales)
Registered Charity number
SC05129318cotland>
Registered offiee
First Floor. One Abbey Court
l.raser Road
Priory Business Pork
Bedford
Bedfordshire
MK44 3WH
Pa8¢ 4

HAIR AND BEAirrY CHAR
REPORT OFTHE TRUSTEES
for the
eAr ended 31 December 2
Trustees
Mrs J A Lewis-orr
Ms P Mabey
R M Rogers
Mr5 H Ward
Mrs L J Hick¢y
Mrs S Grocutt-Davies
Fundraising Committee
Amy Woolner
David Drew
Eniily Davis (Maternity leave 20.10.23)
Gaynor Hodge
Janine Jennings
Lorenzo Colatlgelo
Paul Brooks
Philip Sharp (Resigned 01.01.2.31
Rachael Gibson (Restgned 18.04.23)
Richard Lambert {Resigrted 31.09.231
Robbie Aiherton
Samantha Sweet
Sharoii Bri8den
Wendy Frame
Susan Routledge (Joined 08.02.23}
Sara Shoemark {Joined 08.O2.23)
Fern Sayer- covering Emily DAVIS maternity leave (Joined 20.10.23)
Company Steretary
Mrs N Merola
Independent Examiner
Raffingers LLP
Chartcred Certified Accountants
19-20 Boume Court
Southend Road
Woodford Green
Esstx
IG8 8EID
Approved by order
the boanl of trustees on 20 August 2024 and signed on its behalf by:
R M Rogers- Tru
te¢
Page 5

INDEPENDEf4T EXAMINER'S REPORT TO THE TRUSTEES OF
HAIR AND BEAUTY CHARITY
I report on th¢ a￿o￿nIS for the year ended 31 December 2023 set out on pages seven to twenty.
Respective responsibilities oftrustees examiner
'rhe charity's trustee5 are responsible for the preparation of the accounts in accordance with the terms of the Charities and frustee
Investment {Scotlandl A¢t 2005 and th¢ Chariti¢s A¢¢ounts (Scoiland) RegulAtions 2006 (as amended). The ¢hariiy'8 trustees consider
that the audtt requirement of Regulation l 011 }la) to (c) of the Accounts Regulations does not apply. It 15 my respoT15Lbility to examine
the accounts as required under Section 44(11(¢l of the Act and to state wh¢ther parti¢ular matters have ¢ome to my attention.
Basi5 of the independellt examinees report
My examination was carrsed out in accordatlce with Re8ulation I l of the Charities Accounts {Scotland) Regulations 2006. An
examinatioi) includes a review of the accounting records kept by the chority and a Comparison of the accounts presented with those
re¢ords. It also includes ctsnsideratitsn of any unusual iletns or disclosures in the accounts, and 5eekiThg explanatlons frotn you a5
trustees concerning any such matters. The procedures undertaken do not provide all the evid¢nce that would be required in an audiL
and consequently I do nor express an audit opinion on the view given by the ac￿unts.
Independtllt exatyRDer's $t#tement
In connection with my examination. no matter ha5 come to my attention .'
{ l ) which give5 me reasonable cause to believe that. in any materÉal respect. the rquirements
to keep accounting records in aecordance with Section 44(1)la) of the 2005 Ad and Regulation 4 of the 2006 Accounts
Regulations: and
to prepare a¢¢ounts which accord with the accounting record5 aTMI to comply with Regulation 8 Of the 2006 Accounts
Re8ulations
have noi been rnet- or
{2) to which. in my opinion. attention should be drawn in order to enable a prop￿ under51anding of the accounts to be rcached.
Mr Thurairatnam Sudar5han FCCA
The Instituie L)f Chartered A¢¢ountants in England and Wales
Raffin8er5 LLP
C.h3r¢ered c.ertified Accountants
19-20 Bourne Court
Southend Road
Woodford Green
Essex
IG8 8HD
20 August 2024
Page 6

HAIR AND BEAUTY
HARITY
STATEMENT OF FINANCIAL ACTIVITIES
for the
ear ended 3J D¢¢¢mb¢r 202
2023
Total
funds
2022
Total
nds
Unrestricted
fund
Restricted
fund
Notes
INCOME AND ENDOWMENTS FROM
Donations and lega¢ies
87.323
87,323
102.434
Fundraising
Investment income
105.444
74.291
105,444
74,291
114.336
72,087
Totgl
267 058
267.058
288,857
EXPENDJTIIRE ON
Raisins funds
31389
32.389
34.702
Chgritable aetfftvities
Chariiable activities
257 488
257,488
215.796
Total
289 877
250 498
Net 8ainsl{Iosse5) on investments
220 028
220.028
315,071)
NET INCOME/(EXPENDITURE)
197,209
197.209
(276,712)
RECONCILIATION OF FUNDS
Total funds brought forward
2.492.351
2,492,351
2,769,063
TOTAL FUNDS CARRIED FORWARD
2 689,560
2 689 560
2492351
CONTif4UING OPERATIONS
All in¢ome and expenditur¢ has aris¢n from eontinuing activities.
The notes forni part of the¢t financial ststements
Page 7

HAIR AND BEAUTY CHARITY
BALANCE
HEET
31D
mber 202
2022
Total
funds
Unrestricted
fund
Restri¢t¢d
fund
Total
funds
Notes
FIXKD ASSETS
Tangible assets
Investments
13
14
424
2.614 494
424
2614494
271
2 394.466
2.614,918
2.614,918
2J94.737
CURRENT ASSETS
Debtors
Cash at bank
5,050
5.050
83.610
5,950
105.282
88.660
88,660
1.232
.REDITORS
Amouiits falling due withit) one year
16
(14.018)
{14,018)
{13,618)
P4ET CURRENT ASSETS
97.614
TOTAL ASSETS LESS CURRENT LIABILITIES
2,689,560
2,689.560
2.492.351
NET A&SETS
2 689.560
2.689,560
2.492 351
FUNDS
Unr¢stricted funds
17
2 689,560
2.492,351
TOTAL FUNDS
2 689.560
2,492,351
The charitable comp8ny is entitled to ex¢mption from audit under Section 477 of the Companies A¢t 2006 for the year ended
31 December 2023.
The meinbers have not re9uirrd the company to obtsin an audit of its financial $taiements for the year ended 3 1 December 2023 in
accordance with sectio￿ 476 of the Companies Act 2006.
The tTU5ttes acknowledge their responsibilities for
(al
ensuring thai the charitable company keeps ac¢ountin8 records that comply with Sections 386 and 387 of the c.ompanies Act
2006 and
preparing financial statements which give a trye and fair Yiew of the stat¢ of affairs of the charitable company as at the end of
each flnancial year and of its surplus or d¢ficit for each fjnancial year in accordance with the requirements of Sections 394 and
395 and which otherwise comply with the requirements of the Companies Act 2006 relating to financial 5tatem¢nts, so far as
applicable to th¢ charitable cornpany.
Ib)
The notes fom part ofthese financial ststeTn¢nts
Page 8
¢ontinu¢d...

HAIR AND BEAUTY CHARITY
BALANCE SHEET- cotttiDued
31 Dee¢mb¢r 2023
These firkincial Statements have been prepared in a¢¢ordan¢e with the provisions applicable to charitable companies subject to the
sfftall cotnpanies regitne.
The financial statements w¢re approved by the Board of Trustees and authoris¢d for issu¢ on 20 August 2024 and were signed on its
i)ehalf by..
RMRo8e
Tustee
The notes form part of these financial statement5
Page 9

HAIR AND BEAUTY CHARrrY
CASH FLOW STATEMEP4T
lor ¢h¢
r ended 31 DeceJDber 2023
2023
2022
Notes
C.Ash flows from operating attivities
Cash generated from operd¢ions
Net e&sh u￿d in operating activities
95,59n
30.547
Cash flows from InveSti￿g •<tivltie$
Purchase of tan8ible ftxed assets
Dividends rtteived
(366)
74.291
72,087
Net c&sh provided by Investin￿ activities
72.087
Chang¢ in cash and cgsh equiY*leDtS ID the
reporting period
C.¥sh And cAsh equivfilents &* the beginnirtg of
the reporting period
(21,672)
41.540
105 282
Cash And £Ash equiv#lethts #t the end of tht
r¢wbrting period
83.610
105 282
The note5 forni part of these financial statements
Page 10

HAIR Af4D BEAUTY CHARITY
NOTES TO THE CASH FLOW STATEMENT
for the
ear ended 31 December 2023
RECONCILIATION OF NET INCOMEI(EXPENDITURE} TO NET CASH FLOW FROM OPERATING
ACTlVI'fiES
2023
2022
Not incomel(expeDditure) for the reporting period (As per the Statement or
Firt#neial Actlvltles)
Adjustrnents for:
Deprwiati(>n Charges
(Gainlllosses on investments
Dividertds received
Decreasel(irtcreast) in debtors
In¢r¢as¢ in creditors
197,209
(276,712)
212
(220.028)
(74.291)
315.071
172,087)
(2.0051
401
Net Cash used in operntion$
95 597)
ANALYSIS OF CHANCES IN NET FUNDS
At 1.1.23
Cash flow
At31.12.23
Net cash
Cash ai bank
105,282
105.282
21.672
83.610
To¢AI
105.282
The notes form part of these financial statements
Page I I

HAIR AND BEAUTY CEIARITY
NOTES TO TFIE FINANCIAL STATEMENTS
ren
l December 2023
ACcoU￿rING POLICIES
Ba$l$ of preparlng the fingn¢i*l st8tements
The fjnancial statements of the ¢haritsbl¢ company, which is a public benefit entity under FRS 102. have been prepared in
accordance with the Charities SORP (FRS 102)'Aceounting and Reporting by Charities.. Statement of Recommended Practice
applicable to ¢haTlties preparing iheir ac¢ounts in accordance with the Financial Reporting Standard applscablc in the UK and
ReptJbli¢ of Ireland (FRS 102) (effective l January 2019),. Financial Reporting Standard 102 The Financial Reporting
Standard applicable in the UK and Republi¢ of Ireland. and the Companies Act 2006. The financial statejnents have been
prepared under the historical e05t convention. with the exeeption of investments which are included at market value.
Ass¢ssment of gofftDg concern
The tru5t¢es, having made appropriate enquiries, Consider that adequatc re50urce5 exists for the charity to continue in
operational existence for the foreseeable future and thaL therefore. it is appropriate to adopt going ¢on¢em ba51$ in prqjaring
the financial Statements as at and for the period ended 31 De¢¢mb¢r 2023. The tru$t¢¢s have made this assessment in respect to
a period of one year from the date of approval of these accounts.
Tlie trustee5 of the charity have concluded that there are no material un¢ertainties related to ev¢nts or conditions that may ¢ast
siBnifi¢ant doubt on the ability of the charity to continue as a going eoncem. The trustees are of the opinion that the charity
will have sufficient resource5 to Imeet its liabilities as they fall duc.
With regard to the next accounting period, the year ending 31 De¢ember 2023, the most signifi¢ant are&8 that may afftct th¢
charity are potent181 loss of income due to reduction in fundraising activitie5 and investment retum and the Carrying Value of
Ihe assets held by the charity due ¢0 the perfornian¢e of the investment markets.
Undoubtedly there will be challenges ahead but the truste¢s do not expect material concerns to arise over the charity's fjnancial
position or 80in8 conccrn.
Critic818¢eouoting judgements 8nd key SoU￿eS of estim8tioD uneertAiDty
Preparation of the financial statements requires the trustees and management to mak¢ signifi¢ant judg¢m¢nts and ¢stimaies.
The items in the accounts where these judgements and estimate$ have be¢n made in¢lude.'
the useful e¢onomi¢ lives attributed to thngible fixed assets used to d¢t¢miine the annual dePr￿latIon charge.
Ineome
Income is recognised when the charitable cornpany is legally entitled to it after any perfornian¢e ￿nditiOnS have been m¢ the
amounis Can be mfdsured reliably. and it is probable that in¢om¢ will be received.
Cash donations ar¢ r¢cognised on rece2pt. Other donations are recognised once the charitable company ha5 been notified of the
donation. unles5 performance conditions requi￿ def¢Tral of thr amoutkt.
Dividend$ and interest on se¢urities are credited in the ftnan¢ial statements when the ¢haritable eompany is entttled to receive
the funds.
Gift IN kind
Gifts in kind are recognised at their open market value at the date of tfdnsfer.
Page 12
¢ontinued...

HAIR AND BEAUTY CHARITY
NOTES TO THE FINANCIAL STATEMENT
fort
r ended 31 December 2023
continued
ACCOUNTING POLICIES- contlDu¢d
Expenditure
Liabilities are Tecogll15¢d as exp¢nditur¢ 8$ soon as there is a legal or constTU¢tive obligation committing the charity to that
expenditure. it is probabl¢ that a transfer of economic benefits will be required in settlemeTrt and the amtsunt of the obligaiion
C8n be measured reliably. Expenditure is accounted for on an accrua15 basis and has b¢en elassified uiider heading5 that
aggT¢gatt all Cost relat¢d to the cate80ry. Wherc Losts cannot b¢ dir¢¢tly attribuied to particular headin¥s thry have been
ollocated to activities on a basis ¢onsisien¢ with the Lise of resources.
Grants offertd subject to conditions which have not been mct at ihe year end date are noted &s a commitment but not accrued
as eX￿ndIt￿re.
Tangible fixed sssets
Depreciation is provided ai the following annual rates in order to write off each ass¢t over its estimated useful life.
Comput¢r eqllipm¢nt
330/0 on cost
Ta%#tlort
The company 15 considered to pass the tests set out in Sch. 6. para. l of the Finance Aci 2010 and therefore it meets the
definition of a ¢harÉtable company for UK corporation tsx p￿r￿se$. Accordingly. the company 15 Potentially exerTtpt from
xation in respect of income or ¢apital gains received wtthin categori¢5 covered by Pt. I I, Ch. 3 of the Corpordtion Tax Act
2010 or s. 256 of the Taxation of Charg¢abl¢ Gains A¢t 1992, to the extent that such incotne or gains are applied rxclusively to
¢hariiable purposes.
Unrestricted funds can be used in accordan¢e with the charitable objectives at the discretion of the trusiees.
Restricted ￿ndS can only be used for particular restricted purposes within the objects of the charity. R¢strictions arise wh¢n
specified by th¢ donor or when funds are rdksed for pHrticular restricted purwses.
Further explanation of the nature and purpose of each fund is included in the notes to the financial ststements.
Hire pureh85e And ka5}￿g corNmitments
Rentals paid under operdting leases are charged lo the Statetnent of Financihl Activities on a strdight lin¢ basis over the peri¢)d
of the lease.
Penston costs other post-retirement b¢n*llt$
The charitsble company operate5 a defined contribution ￿nsiOn s¢h¢m¢. Contributions payable to the charitable company'5
pension scheme a￿ Charged to the Ststement of Financial ActLVities in the period to which they relat¢.
C#sh #t b￿￿k and in h4nd
Cash at bank and in hand represents such a¢¢ounts and instrum¢nts that are available on dernand OT have a maturity of less than
three months fomi the dat¢ of wquisitTron. Deposits for more than th￿¢ months bui less than one year have been dssclosed as
ghort temi deposits.
Creditor5 and provi$iot)
Creditors and provision are recogTri5ed when there is an obligation at the balance sheet date as a rcsult of a past event. kt is
probable that a transfer of e¢onomi¢ benefjt will be required in settlemenL and the amount of the seitlement Can be estimaied
reliably. CreditOTS and provision are recognised at the moment the charity anticipates it wÈll pay to Settle the debt. They have
been di$¢ount￿ to the present value of the future cash payments where such discounting is material.
Pa8e 13
continued...

HAIR AND BEAUTY CHARITY
NOTES TO THE FINAN
IA
TATEMENTS- contiDued
for the
ear eDded 31 Decejllber 2023
DONATIONS AND LEGACIES
2023
2022
Donaiions
Gift aid
85,646
1.677
99,984
2.450
87.323
102.434
FUNDRAISANC
2023
2022
Bike ride
Golf day
Raffle tickets
Voluntary fundraising
Charity fundraisin8
Other income
11.543
10.489
12.515
7.900
13.415
52,292
47,436
14,072
10,391
105.444
114 3.36
INVESTMENT INCOME
2023
2022
Investment in¢ome rtteived
74.291
72,087
RAISINC FUNDS
Raising don4tiDThs •nd legacies
2023
2022
Bike rides
Raffle tickets
Salons and beauty costs
Other fundraising Costs
Advertising and marketing
TTavellin&
Golf Day Costs
3.747
{133)
5,569
4,778
12.000
2,034
4.394
7.855
3.350
4,030
4.-328
11,650
1,47.3
2.016
32.389
34.702
Page 14
¢oniinued...

HAIR AND BEAUTY CHARITY
NOTES TO THE FINANCIAL STATEMENTS- continued
for the
e8r ended 31 Dece￿￿er 2023
CHARITABLE AcfiviTIES COSTS
Grant
nding or
activities
(see note
Support
costs (see
note 8)
DiT¢¢t
Costs
7)
Totals
Charitsble aetivitles
142,610
257 488
GRANTS PAYABLE
2023
2022
Charytable activities
142.610
110.418
The total grants paid to individuals during the year was as follows:
2023
2022
Grants lo individuals
142.610
SUPPORT COSTS
Governance
¢osts
Management
Finance
Other
Totals
Charitable actLVjties
10.404
2.321
232
11,364
24,321
NET INCOMEI(EXPENDITURE)
Net incomel(expenditure) 15 Statcd after charging/(credrting):
2023
2022
Depreciation- 0￿￿ed assets
Other operating leases
213
6,000
135
6,000
Page 15
continued...

HAIR AND BKAUTY CHARITY
NOTES TO THE FINANCIAL STATEMENTS- eontl
for tbe
ear end
io.
TRUSTEES, RE￿￿NERATION AND BENKFIIS
There were no trustces, remuneration or other benefits for the year ended 31 December2023 nor for the year ended
31 December 2022.
Trnstees expenses
Ther¢ were no trustee5' expetjses paid for the year ended 31 December 2023 nor for the year ended 31 December 2022.
STAFF COSTS
202.3
2022
Wages and salaries
Social security costs
Oth¢r pension costs
75.OIK)
2.839
2.718
68,000
2.254
80,557
The average monthly number of employees during the year wos as follows..
2023
2022
Administration
No employees reeeived emoluments in exeess of £60.000.
The averdge nUM￿r of employee5 during the year was 2.
12.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fund
Restricted
fund
Total
funds
INCOME AND ENI)OWMENTS FROM
Donations and1¢8aci¢s
102,434
102,434
Fundrai51r18
Investment in¢ome
114,336
72.087
114,336
Total
288,857
288,857
EXPENDITURE ON
Raising funds
34,702
34.702
Ch4rftsble #ctlvltles
ChariLqble activities
215796
Total
250,498
250 498
Page 16
¢ontinued...

HAIR AND BEAUTY CHARITY
NOTES TO THE FINANCIAL STATEMENTS- c
for the
eare
r 2023
12.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES- continued
Unrestricted
fund
Restricted
fund
Total
funds
Net gainsl(losses) on investments
315.071)
315,0711
NET INCOMEI(EXPENDITURE)
(276.712)
(276,7121
RECONCILIATION OF FUNDS
Total fund5 brought forward
2.769.063
2,769,063
TOTAL Fuf4DS CARRIED FORWARD
2,492 351
2 492.351
TANGIBLE FIXED ASSETS
Ftxture5
Comput¢r
equipm¢nt
fittings
Totals
COST
At l January 2023
Additions
2.233
1,333
-366
3,566
A¢ 31 Dec¢mb¢r 2023
2.233
1.699
DEPRF.C.IATION
At l January 2023
Charge for ye8r
2,23J
1.062
213
3,295
213
At 31 De¢ember 2023
2.233
1.275
3.508
NET BOOK VALUE
At 31 December 2023
424
424
At 31 December 2022
271
271
Page 17
continued...

HAIR AND BEAUTY CHARITY
NOTES TO THE FINANCIAL STATEMEwr
l December 2(125
inue
FIXED ASSET INVESTMEwrs
Listed
investments
MARKET VALUE
At l January 2023
Revaluation
2.394.466
220.028
At 31 December 2023
2.614.494
NET BOOK VALUE
At 31 December 2023
2614494
At 31 December 2022
2.394.466
There were no investtnent assets outside the UK.
15.
DEBT01￿. AMOUNTS FALLING DUE WITHIN ONE YEAR
2023
2022
Trade debtors
Other debtors
3,750
1.300
4,500
5.050
16.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2023
2022
Other ¢reditors
A¢¢ru¢d txpenses
6.368
5.968
14.018
Page 18
continued...

HA
Airry CHARITY
NCI
rthe
17.
MOVKMENf IN FUNDS
N¢t
movement
ID funds
At
31.12.23
At 1.1.23
UDreJtrlcted funds
Gen¢rnl fund
2.492,351
197,209
2.689,560
TOTAL VUNDS
2.492 351
197.209
2 689.560
Net movement in fund& included in the abov¢ are as follows:
Incomin8
resources
Rcsources
expended
Gahns and
losses
Movement
in funds
unrestrict￿ funds
General fund
267.058
(289,877)
220.028
197.209
TOTAL FUNDS
267.058
289,8771
220 028
197.209
Cornp4rntives for rntsvement In funds
Net
movement
in fvnds
At
31.12.22
At 1.1.22
unrestrict￿ funds
General fund
2.769,063
(276.712)
2,492,351
TOTAL FUNDS
2 769 063
276712)
2.492 351
Comparative net movement in funds. included ID the above are as follows..
In¢oming
re50ur¢es
Resources
exp¢ndcd
Gains and
losses
Movement
in funds
Unrestricted fund$
General fund
288.857
(250.498)
{315.071)
(276,712}
TOTAL FUNDS
288.857
250.498)
315.071)
276.712)
Pa8e 19
continucd...

HAIR AND BEAUTY CHARr
NOTES TO THE
IAL
TATEM￿Tr￿S- continued
T eTrded 31 DectJDber 21123
17.
MOVEMENT IN FUNDS- tontiThued
Leonard L¢wis Fund
The Leonard Lewis Fund was established to provide finan¢ial wistance lo Mr Lconard Lewis who was an eligible beneficiary
of th¢ Hair & Beauty B¢nevolent Society. at the direction of the trustees. Leonard Lewis died on 30 November 2016. During
the previous ytar. it was decided that ihe r¢siri¢t¢d funds brought forward of £13.815 is to ￿ transferTed to ihe w)restri¢ted
fund until it is d¢¢ided where to sPe￿d the money.
18.
RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 31 December 2023.
19.
INDEPENDENT EXAMINERS FEES
The Independent Examiners fees for th¢ p¢ri¢)d were £5.364.
Page 20