REGISTERED COMPANY NUMBER: 095985S8 (England and W•los1
REGISTERED CHARITY lalMBER.. 11￿55
oltho Tru
Unau
Flnanc
To Mat
McLean ReKI
Charter￿1
1 For5tal Rood
Ayl•sford
Kent
ME20 7AU

## **Making A Difrnc To Maidstone** 

**Content of the Financial Statemnts for the Year Ended 31 May 2021** 


**----- Start of picture text -----**<br>
Page<br>Report of the Truste s  1  to  2<br>Independent Examiner's Report  3<br>Statement of Financial Activities  4<br>Balance Sheet  5<br>Notes to the Financial Statements  6  to  12<br>**----- End of picture text -----**<br>





Thè Irust885 we alsLJ diredors of the charity for the purposes of the Conwanles Ad 21J06. prasent their rérAIrt wrth the
financ*al ststern￿ts of the tharity ts Ihe yew ended 31 May 2021. The trustees have adcyted the prr)v&swJns of Awjunting
ReFQrtirKJ by Charibes.. ststern￿t of Reo)mm8nded Prn￿ce 4•￿icable to tharities prep￿Tra their ac¢xJunts ￿ ac0)NIan￿ ￿1th
Ihe FSnano81 R8prMtiThJ Stsndard appltsblè in Ihe UK RepuNic of Irdand IFRS I￿2) (effed'bt 1 Janl￿ry 20191.
OBJECTIVES AND ACTMTIES
ObJ•etlv•s *KI alm8
To pron￿t9 so¢y81 indwon for tha public benefft by kv8ventrAg wple frcffi bec£Jmin9 80ci8lly exdL*Jed. rnlièvir¥J the ne&ts of
thosé vtho are &x¢hJiled thwn lo inlfrJrate Into scdety.
31gnMcant acllvltlè#
Th8 trusteeB have regwd to the gild*￿ issued by th• Charity CommiSs￿n on puL4ic benefft.
ACHIEVEIIENT AND PERFORMANCE
Charttsblp 4nd fundralslng actlvltl•¥
Llke many ot￿r orgarisalkJn& the Impad of thè COVID paThSern￿ canllnu8d to have a slgnmcant fmp8¢t on ih)th MADIA'S d￿nts
as well as the runniwJ of tha charity itsew. The Wprecéd8nt￿ I'mes tr￿Ught a yew of highs, lows c*allerrtJes but 8150 ong
which Saw great spurts of and acCoM￿lShMents.
With God's gu￿an¢￿ and the dedIcat￿Thn of stoff and ¥olunte8rs ho¥￿Ver MADM has come through the year by wjnfiguring its
opera'￿5 lo support a growSNJ di8nt b859 a￿1 in¢reasiw actiwty Iw819 and h&% end8d the year In B stronger financial pOs￿"0n.
When the Charity was fouAd6d in 2016 ts prfmwy focus was IAJ help the h)mdess. H￿l￿ver nth¥ govern￿nt funding of kxal
authorltias. as a resuh of the r￿tK)nal COVIO r8sFyJn5e, lo hdp thi8 group maant a shfft In focus to those in ng*185 8 resutt of
(4isL%. ￿diction arKI isoLation. In a (x>Trrid-se¢ure way. MAtWA remasnad Op￿ to dkents thwhout the year. the
pandwnic partne(ship$ bew Created ￿#th various ￿enUeS N)du¢JThJ st8tLrtW seTh￿, the NHS. SLYAallswtK)rted
h￿J61n9, Churchas and olher chalibes to bettw mèèt dignl's needs.
MADM d￿nts kn many vrays, oftén of no finandal cost but rgquirirYJ wgnfficant Ilme and other re8ourc8s to organise.
MAOM'S outrea(* servi￿5 aro rK)t easity measured, howaver in a typjcal mnth soTh 200 indivKluats recewe help and a *mil3r
nunknr crf pareds arè delNered frorn our premises or van. ￿se parr*ls typ4eally (x)ntwn ￿01h￿9. ￿USehokI wds, food o
toileiies. to ¢x)￿r dient needs and total ¢)ver 3.OJO indiwdual A(*jthQ￿l1Y ernotional and praclical hglp 8nd advi￿ is gw•
to many othws over the F*on• and la￿ to f8ce. Often our supwwt ItKA(s more like a mentoriro ￿1(8. offen'ng adwce. SUp￿rt
and a 1Sfferent lrfe. Cliwts that live kn cr&"s *ldi¢bon ￿ ne&J I￿Y ald to shape a F*)sMve and
tifesty￿.
MADM'S d)arita)￿ ￿tI¥￿t￿$ have devdowl sudi that it r￿t onty c4)nt4"nu&% to suppc*t the ernotional. spiritual other neels of
diÈnts also rthv acts as o distributh)n hub for donth su￿￿$ food and to inthiduats and other bxal charibes. It aLs9
cxjntinues to $sYè*J r&)d's k)ve by helpirKd lo ￿pptsrt ￿?th￿S in thoir ba￿$5 and by sendityj th)nakd rfcgms that it
cannotffind a usefcff amorvJst Its 01￿ul•S to a Chrisl'an tharty in Afru.
MADM conlinues to operatg 2 tharity thjps wth supporting stgrwje faolities as rts main Sour￿ of In￿Me to fund its *fjrk. As a
resutt of int•miitt8nt shop dosures due lo knckdowns, shop 5*s ￿evItably d8d(n8d again. However, the sthrtF811 was rrmve than
made up from inrye8S8d ￿an1 bjnding. In part this was in the fomi of kx¥l wJthority S¥￿ts to the retail 59(aor to counter th8 impact
of Covhl restn"clt)ns. Wth Ihg Lor(Is guidance and Iha UNS￿tIng efforts ol our fund￿9 manager gr8nts ￿re from aever81
chariti.es and oth8roryanlsa￿nS as set out In thè 8(xx)unls. MADM is very gratelul for th*r generous support.
Intyrwwl gr￿ ofthe charity is rellth ￿ the rewltm￿t of mcye staf and the (YJntinuirKJ se8rc* for new pr9rnises.
During the year ￿ wekom6d 5 n6w full and part ￿me roles to support the (rjntinulng contrfbutkn from volunt8ers. vtho numbere
31 lexcludlng trusteas) ot th8 pJ)d of Ihe yeaf. Thes& roles wero in th)th tkneath and CWr8bM$. We thank th8rn all for their
In CLXo￿r offirmloutreach centre w6r6 serajral above the Churc* Street shop. This was swiftly fc4k)%wd by mO￿g our retail
s¢w to units ￿ The Mall and at He8ther Fkluse - we ar8 ind*bt8d to The Mall and MaK1stone Borough Counol for thdr help.
FinaNy, as ￿lte this rérrt, n￿tia￿Cffls have just st8rtÈd on a High Stre8t hxaknn rf seujred. %￿Uld en￿*￿ 811 8xstiThJ
retail storagtr to be broughl towher In ono pl8c* and prowde room forg￿.
MADM remains ind8b1￿ to all its wppOrt￿s in the k)cal o)mmunity who support us by donating su￿u6 goods aThd food and by
oppwy wlh us. MADM has bèen partnered wth Marks and Sww, Adi and Lidl ty NeKJht¥)uty to prevent food ￿ng wasled.
Inevitabty (L)rnmunty &*vities, SLK* as fUrvJrJ￿I￿g and presenting MADM to interested group5, have be8n (yjrtailed this y,
loc* foNrfard to r8cnMMe￿￿ these as soon a5 alk)w.
Glven the challeng85 ￿¢%￿)nte￿I. Tntste￿ *9 Very rA8ased ￿th hcw MADM hos roSFKJnd￿ both opw*Ksnally and fin￿#ally.
The strory reserv￿ rx)sitrJn at Ihe end of the y8ar is 8$ 8 resutt of g￿t lurKJing T8C￿Ved for ongoiThJ costs and th8 n?xt phase of
growth in aN unrErtain time. tt provides r*assur8nr* Ihe wnfmjence that tha th8rity r2n conunue to fu￿11 its purpose crf makln9
a to MwdstoTre sweadlng Chrfstian values.
Page 1

ADift
ceT Maids
ort
tho Tr
31
for
FINANCIAL REVIEW
R•sorve• pollcy
Thbs has Lthn the fth year of op￿ati￿. As the charitys M)o)mè is ¥da￿le, the Intste8s wsh to ensure that the rwp
of the chanty ar• sufflclent to ensure that at 108s1 one yearfs fxjsts are cover8d. Tho trustses hav• 8stimated th81 suth an annual
cost Is approxlmateJy£255k. cU￿enI1Y. thg unrestrlctod resgrve$ are £119k
Th• INgts89 8r& thnsidemg ways of r¥dwng th8 dewdence on *￿til6 forms of IwJme and Inc¥easiw rdiatAe
funding for its wvice&
STrUCTURE. GOVERWANCE AND MANAGEIIENT
Gov•rnlng doeum•nt '
Tho Charity is govemed by its gov8miThJ dopJmw¢ its mplr￿ranthJM And artides of asso￿1￿ da￿ 19th May 2015 a$ affleTrJwJ
ty S[￿d81 reSdut￿ Yegistered at comp￿￿5 Hou88 ¢)n 5th September 2015.
Th9 thodty Lxnstitut85 a IrTMled c￿￿PanY. limit&J by 9uarantse. a5 definod ty the Companks Ad 2C#)6.
R•cNltm•nt and appolrntment of n•w tru8t•
At Èach annual generd rneetlr4J ¢)ne thlrd olthe tsuste88 nw8t retrg from office.
Tho c4181ity may by ordlnory fgS(luilon appc4nt a person WI￿ Is W￿knJ to aL# to b8 a tru*9.
REFERENCE AND ADMINISTRATIVE DETAILS
R•glst•r•d coM￿nY numbei
09598S58 IEngbrKI and Waknsl
R•glst•r•d Chwlty numb•r
1169055
R•g1•t•1￿ offl¢e
49 Churth Street
Maidstone
Kent
ME14 1DS
O A Bthh Direcknr
Mrs B J Gibbs Director
Mrn A M Si(Wl Dkedor
MS J C Anson Trustee
Ind•p•ndont Examlnor
Ajlan M R8TrJ FCA
Chartered Accwntsnl
McLean Rgfjd
Chartor8d AccountAftts
1 Forstal Road
A￿es10rd
Kent
ME20 7AU
TNS report has prwed in a(th¥nce with tha 8petsal prO￿S1On8 of Part 15 of th• Companies A¢t 21)J6 r9￿9 to small
¢¢)mp￿18$.
+4pproved by order of tha t*)grd of¢wsf8es on 24 Ffjbn￿ry 2022 and on Its boh8lf ty.
Mrn A M S1￿MI1- Trust•8
P402

Inde
nden
min
sof
Indgpgndont •xamln•rf8 r•port to th• tru¥t••• of Maklry A DIff*r•n￿ To Mald•ton• Ilhg COm￿n
I report to Ihe charity trustees Lx) my examknallon ol the accljunts ofthe Company for th8 ye8r end&J 31 May 2021.
R￿p￿￿11)llIti•s •nd bas18 of roport
As th& eh8ritys trustoes of Ihe Company larKJ also ts d¥¢dors for th8 purposes of company law) you arè TeswnslL46 for the
pr¥paral"on of the ￿XInts bn accord8n¢g wllh the requiremants oflhB COM￿nI8$ Act 2￿ 2006 ALri.
Haviw satisfied myself tha thg accounts ol the Conwany ¥è not roquired to be aL#lit8d under Part 16 01 Ihè 2CQ6 Act 2nd are
eli9*￿6 for indepofKlenl examinakn. I r￿ort in Te3ped of my ex￿￿natitsn of yow charfty$ ac¢ounts a$ ￿llied out under
145 of tho Charill88 2011 2011 Arfl. In £arying c￿1 my ￿n￿n81th I have follwd the Directions grven by I￿ Charity
c￿mISS￿n under30Ction 14515) Ibl ofth8 2011 ACL
Ind•p•nd•nt •￿mIne￿I 8t*tompnt
I havg (l¥n￿led rny examInatK￿. I w)fffm that no matt•Ts have o)me to rny attOn￿n Ni Ix>nnecknn wth the exaTrMnation grving
m¢ ￿U$8 to ￿lIeve..
Sc￿v￿ting reoyds were not kgpt in respect of lh8 CoMp￿Y a8 by seclion 386 01 the 2(Th Act.. OT
thè a¢eJ)unts do 1k)t￿0)rd tht)$0 rets)rds,' or
the aLwJnts do not c(Mnpty wrth aco)unting requir8m•nts of 5ecbon 396 of th8 2011$ Act 0th8r Ilw any requlmmont
that th& ac￿nts gNe a and f8Sr wow which is nota mattw (x)n$kltrTed as part ofan indepeTrJent ex8minaknn.' or
Ihe acxawnts have not b8•n wepared in aoxJrdanc4 wih thg methcth aTrJ prinap10$ of Ihe Statsmenl of Re￿mM￿nd￿J
Practic8 aco)unting and (*arfes {a￿leth to c4wttth pwarlro thgir accounts kn a¢ts)rdan¢• wllh th
Financrdl Repofting St￿￿ard applicatAe In the UK and Rowblic of Irdand {FRS 10211.
I have no concems 8ThJ ac¥os8 no ott￿r mattws in conn8¢t*M wllh the eX￿)inatI(￿ lo whkh attontK)n shouhj bo drw•m
in this rewt in orderto ￿tle 8 syoper uThJerstsndlng oflh& #CO￿nts to be reach*l.
Alan M Rehl FCA
Chartered Attountanl
Mclean Reid
1 Forstal Ro8d
Ay*8ford
Kent
ME20 7AU
25 FobNary2022
Pa￿3

tatamont of Flnanclal Actl
r Endéd 31 M 2021
2020
Total
fund$
lthreBlricted
fund
Rti81￿ted
fijnds
lunds
COME AND ENDOWMENTS FROM
Donations and lega(ies
48,3W2
88,252
136,644
81.gJ1
Othertradlng
Inves1m•￿ incorne
76.716
76.716
99,5
161
Totsl
12S.154
88,252
213.406
181.658
EXPENDITURE ON
Raising fLmds
72,976
68,B51
141.827
123,589
Charltabl• acilvSV
Adn7inistratwi
Othreach exper#Yiturè
35.692
S.092
40,184
15,597
111.630
73.943
1&5.573
146,176
NET INCOME
13.524
14,31YJ
27,8&3
RECONCILIATION OF FUNDS
T4)tal fund¥ brought lorward
105,312
11,5C(J
116,812
81,330
TOTAL FUIID8 CARRIED FORWARD
118,836
25.8L
144,645
116,B12
The rv)t•s fomi part ofth98e finarrial Statements
P89e 4

Mak5n
To M itjslone
2021
2020
Total
fLtnd$
fvnd
fvnds
lunds
FIXED ASSETS
TarMJltlg assBts
3,432
6,136
9,568
8,400
CURREKf ASSErs
15,399
107,288
15,399
126,961
Cash 81 bank and in haThJ
7,111
108.531
19.673
122,687
19,673
142,360
115,642
CREDrroRS
Amounts falllng due wrfhln one
10
17,283)
(7.2831
17,2301
NEf CURRENT ASSETS
115,404
19.673
135.077
108.412
TOTAL ASSEfs LESS CURRENT UA8ILrnES
118.836
25.809
144.645
116.812
NEr￿sEr8
118,836
25.809
144,645
116.812
FUIIDS
Unrnstrictgd funds
R8Strf¢W funds
12
118,836
25,809
105.312
11.5CKJ
TOTAL FUNDS
144,645
116,812
The d￿ritab￿ company i8 entllled to exemption from authl undgr S¢(*on 477 of the Cry3nTes Act 2(4)6 for year ended
31 May 21Y21.
The mernbeTr have not Tequired Ihe corwny lo obl￿n an autht of its f￿ana81 Btatements for tha yèar ended 31 MAY ?￿21 i
8cCordar￿￿ vrith Sectron 476 oflh8 Comp8ni&s Act 2￿6.
The I￿￿tee5 ackno*4edge thetr res[￿nSIbIl￿¢S
lal
ensuiing that the charitst4$ comparry keeps accountkng rgoyds that S8d*)n$ 386 and 387 of the Companies
Act 2006 and
preparing finarK4al 5talenwnts gN• 8 truo and f8ff of thg State of thrs of thg d￿rItable company 89 at the end
of each fmancial year and of hs Sui￿S or defficit for 88th finafK4al year in accc¥danco With the requir8monts of Sec*kJns
394 and 395 and vthl¢h olherwlse D)mply wrth th¥ regulrements of Ihe Comparmes Act 2006 relatirvJ to financial
staternents, so faras to Ihg charti*b￿ conwny.
{bl
These finanaal statements hav8 boèn prepared in accordanc8 wilh the ry0vis￿S applicat48 to charitthe o)mpanwa subjeca to the
smal o)mpantes regirne.
The ffiandal statements were appTov¥d by the 808rd of TwstO9S au￿riSed for is5U8 on 24 Fotvuary 2022 and s￿￿8d
on its behalf by..
Mr5 A M SKJwell- TnBlee
Th8 notes form part of theBe lknancl81 stst8mènts
Pag8 5

nclal Stat•m•n
forth• Y•ar Endad
ACCOUNTING POLICIES
8a•ls ofKwrlng the thanclal stat•m•nts
The finandal statw)8nts of the thant8ble wmpany, is a wblic tenefft entity under FRS 102. h8v8 baen prepared In
)rdarts wth the Charibes SORP IFRS 1021 'A¢(gJunw'ng and Reportiro by Charitles.. Statement of ReCthnrner￿e￿
pr8Cti￿ applicable lo c*arlb"8s preparMyJ Iheir a￿￿nIS in xcy)rdance wlth thè FinaNal R8rAJrtirvJ Stsndard appI￿*ble in
the UK and Republ￿ of Ird8nd IFRS 1021 leffectwe 1 January 2019y, Finawial Reportiro Standard 102 Th Financial
R¢pgrtin9 Stsndard W￿lcable in the UK and RopulAic of IrelarK*' the CA￿pant•S Ad 2Cth. The finanua stat￿nts
have been prepw&J under th8 historical Ixjst o)nventKn.
Incom•
All incLJrne is rec4Jgnised in the Statement of Finaneia Ar￿¥￿eS on¢x th8 chwlty has wtiuernent to the fvThJs, It Is prcthble
that the inLt)me will bB and the 8rnouTrt can be measured raliabty.
Expend1￿re
Lrdbilitvds are recx)gnised as expenditure as sc4)n 85 Ihere B 8 legal or (xxtstructive obligatxjn cxjmmitbng Ihe tharity to that
expenditure. rt is probable that a transf* of économi¢ beneffts ￿11 te requlred in séttlément and the amount of the
¢JblKJatkJn can measu￿1 reliabty. Expenditure i8 account￿1 for on an basis and has bew dassthed under
I￿lingS that aggregate all o)st reL*d to tha e8t8wry. Where costs camot te diredty attril￿t*d tr) partwlw headings
thsy have been all¢xaled to &tfviles on a basis rmsistenl wilh the uso of resouws.
Gr￿ts ¢Al•r￿1 subi￿t to o)ndknns hav¢ rn)t rnet at the yew date we noted as a ajmrnitment but not
as exp8nditurg.
Tanglbl• flxed a88frts
Depreoation is provided at the fol￿r@ annual ratès in crd8r to write off each aB6et over rts *stim8ted Ltsefrjl lrfe.
Sh￿tI￿a$e￿)1d
Plant and machin8ry
Flx¢urgs and frtlir•Js
Motorvehides
20% on ￿st
20% on ¢))sl
20% on cttt
20% on cos1
Taxatlon
The tharlty is exempt from (x>rpor8tion t8xon rts ch8rlt8bl8 actmles.
Fund •¢counllng
lthrestricted funds w be uwl h) al￿r￿anc* the charilable obJ8thes at the dis¢reb'on ofthe tNstees.
Hlre purcha￿ and I￿31n0 commltff
Rentals paid under opwatiro ￿85•5 ￿ tharwJed lo the Ststement d FlnaneAal Athvrti85 on a stravJht fine bas.s ovw the
peTh)Y of the knse.
OTHER TRADINf ACTMTIES
2020
Shop InD)m6
76.716
99.5
INVESTMENT IYCOME
2021
DeFosii aco)unt Intsrnst
HMRC interest
159
161
Page 6
ntinued...

th• Flnan
RAISING FUNDS
Ral8ln9 donatlonl and I￿¢1¢¥
2021
2020
Expsnditure on funds
Svpport rx)gts
162
e6.585
85.243
85243
e6.747
NET ITrICOMEIIEXPENDITUREI
Nel ino)mellexpeTrJiture) is ststed BfterL*or9ing1(uoJ￿n9l.'
2021
2020
D$pr￿*B)n. ovmed assets
Olheroperating leases
on dk8p)sal offixed 888ets
44.103
43,105
TRUSTEES. REMUNERATION AND BENEFFTS
There were Iruste8s' remuneralk)n c* other bonefts for the year ended 31 May 2021 for the yew
31 May 2020.
Tru8ts08' •xp•ns•s
Thwe wwe w trustees, expensos forthe yearended 31 IAay 2021 nor forth&yw ended 31 May 2020.
COMPARATIVES FOR THE STATEMENTOF FINANCIAL ACTMTIES
fund
funds
INCOME AND ENDOWMENTS FROM
Ct*r)atifTh and bjacies
1,401
21,500
81,901
Other tradlng
Irwestr71ent Ir￿￿￿e
99.5
Tolal
1￿.158
21,5C(J
181,658
EXPENDITURE ON
R8isin9 funds
122,
1.201
123,589
Administr8tion
Outreach expenditure
14,239
1.161
15,597
s,￿9
Total
129.555
16.621
146.176
NET 14COME
30.603
4,879
Trnnsfern bel*Yen fund
577
15771
Net mD¥Thnt In fvndo
31,180
4.302
35.482
Pa￿7
L%)ntinued...

Flnane
rth•Y
21
COMPARATIVES FOR ThE STATEMENT OF FINANCIALACTMTIES- conllnued
Unrestricbj R88trithJ
fiJTh
funds
Tolal
fvnds
RECONCILIATION OF FUNDS
Total funds brouoht fopward
74.132
7,198
81,330
TOTAL FUNDS CARRIED FORWARO
105.312
11.5CM)
116,812
TANGBLE FIXED ASSETS
FixturBs
an(1
fithngs
Sh)rt
leasthold
P18nl and
mac*lnery
Motor
vehides
Tots
COST
At 1 Jwe2tr20
1,811
4.043
12001
1.014
13.C(Kl
16,775
4.708
12(M)I
DisFx)saL8
At 31 May 2021
1.615
1.014
13,1))O
21283
DEPRECIATION
At 1 June 2020
Charge forye8r
Ellminèted on (SSFWI
8,375
677
11fy)1
74
At 31 IAay 2021
1.079
1.822
1.014
11,715
NET BOOK VAWE
At 31 21Y21
536
5.200
At 31 May 2020
20
74
DEBTORS: APAOUNTS FALUNG DUE WITHIN ONE YEAR
2021
Otherdebtors
VAT
Prepayments
5.171
1,711
15,393
7,111
Pw8
Jnts'nued...

8toth•FI
forthoy
m•nts- con
10.
CREDITORS.. AMOUNTS FALUNG DUE IMThIN ONE YEAR
2021
h9r {$ee wte 111
Trade ¢yeditors
Soc4J se¢)Jrity other taxes
1,889
3,455
2.226
7,283
7,220
11.
LOANS
An ?nalysis ofthe rr¥turity of bans is gNen bdrw..
Amounts falling within one yearon dern￿d.
12.
MOVEMENT IN FUND5
vement
funds
At
31.5.21
At 1.6.20
unr••tr1ci￿ fvnd
General fund
105.312
13.524
118,836
R••trlctsd fund•
Van
Colyar Fèryus80n
Charity Aid Foundation Cowd
KCF SSr Brarthn GJLb3h Trust
Kent Prjl
Souter TNst
KCC Members Grant
Sir Philip c0fin￿ Founda¢bn
CO￿ Trust
Cotyer Fergusson
Churches Tnjst
{1,2C#Jl
{4,4CKJI
I2.$￿1)
200
1,￿0
200
5,Th)0
6,140
6,140
6,SYJ8
11,5(Kl
14,309
25.809
TOTAL FUNDS
116.812
27.833
144,645
Page 9
continued...

FlTraThc
lorth•Y
nts- eontl
MOVEMENT IN FUNDS- ¢ontlnu•d
Net movement in ftjnds, iT￿ded In the at￿ are as folk)￿%.
In(x)mir
Movement
in lunds
expendwj
Unr••trl¢tsd fvnd•
General fund
125.154
1111.6301
13.524
R•8tslct￿fU￿ds
Van
Cotyer Fergusson
Charity Ahl FoUndat￿n Comd
btree
KCF Vanquis
Rdief
KCF BTLX)k Irusl
Fbmel955 Link
KCF Sir Branth)n &)ugh Tr￿
Albert Hunt
H8nry Srnth
National Lottery
Kent Polic*
Soutar Trust
KCC MernberB Grant
Sw Philip Connie Fou￿￿￿On
Cole Trust
Colyar F8rgu580n
I Churches TnJ5t
(1,2CQI
14,4LM)I
12.srA)I
15,(MJ)I
14,(M)01
13,6001
12,O¢xil
{10.rA)01
11.3401
15.IJLKII
{9.5rKJi
{9.5CKII
1,2Q)I
I4,4(￿)
12.5(K)I
3,600
2,000
10,C
500
200
11,5tKJl
11,3991
1,601
15,OC(I
10,752
18,8E4JI
13,e441
6,140
88,252
{73,9431
14,309
TOTAL FUNDS
213.406
1185,5731
27.833
compw*lV￿ for mmrrAnt kn fund•
Net
movamènl
in furkl8
Transf$rs
bBtsveen
funds
At
31.5.20
At1.6.19
Unr••trl¢t•d fund•
General fund
74,1>2
30.fJ)3
577
105,312
Re8trf¢ted fund•
Henry Smith- Assistant Mar
Va
Kent Community FtsundatKJn
Cotyer Fgrgu580n
E(h¥8rd Gostliry Foundation
Charity Foundation COVKI
11,472}
3.￿0
(8331
14321
1671
11391
61
7.198
4.879
15771
11,500
TOTAL FUNDS
81.ml
35,482
116,812
Page 10
contknuwj...

Not•• totho F
12.
MOVEMEIU IN FUNDS- ¢ontlnu•d
Comparabve net mvfjrn￿t in lunds, Inc&Jded in the atw)Ve 8re as follows..
IrvJmiThJ
expend
in fvnds
Unr••trlct•d fund•
G•￿Tal fwd
160.158
1129.555)
?0,￿13
Ro•tricted fvnd•
H￿ry Smilh-Assi8tanl Managar
Vw
Kent CommurNty FoundalKJn
Fer9us8on
Etfvrfar(l Gosuing FOur￿3t￿n
CharityAid FoundatK)n Covid
11.4T21
11,2001
{4.8331
(4.OS5)
15.¢%1 }
11.4721
5,CQO
945
1611
2,500
21,5Crf)
{1QS211
4,679
TOTAL FUNDS
181.&58
1146.1761
A current year 12 months and prKJryear 12 rncfflthB combinéd FositKJn is as lolbbKB'.
Transfers
rTh)vèment
in funds
Al
31.521
Al 1.6.19
fvnd8
Unr•8trlct•d lunds
General fund
74,132
44,127
577
118.836
R••trl¢i•d fund$
Hènry Smith- Assistant Manwr
Van
Kent Community FoundatKJn
ar Fergw50n
E¢Jward Gost&rrfJ FoundatDn
KCF Sir Brandon Gough Trust
Kent Pdic*
S<xrtgrTrust
KCC Members Grant
Sr Philip Conrwti FouThJatio
Trust
Colw Fergusson
All Churches Twst
11.4721
14321
1671
11391
61
(3.4551
161)
200
1,601
5,000
6,140
7.198
19,188
15771
25,809
TOTAL FUNDS
81.330
63.315
144,645
Page11
continued...

Fl
th•Y
2021
12.
MOVEMENT IN FUNDS- ¢ontlnu•d
A ajrent year 12 months and fv ygar 12 ￿)nthS comblned not ffrfjvemont in fvI￿, ind￿￿ed in the 8trA)ve a￿ as lollNs'.
Incajmlng
ReS￿re*S Movement
èxpend￿$
in funds
Un￿￿¢t¢d fund•
General fund
285.312
1241.1851
44.127
R•thctad fund•
Smth- AS$￿tsnt klan&Jer
Van
Kant Communty FoundatK)n
Cotyèr FergLBson
Ecknrd Gosuing Fowdation
Charfity Aid FouThYatioTh Covid
Cobtree
KCF Varwuis
Comic Rdi8f
KCF Brook trust
Horne1￿ Link
KCF Slr Br8ndon Gwh Trust
Albert Hunt
Hanry Smlth
Nat￿￿ Lottery
Kent PoliL*
SoJt$r Trl￿¢
KCC Mernbars Gr&nt
Slr Phillp Connie F￿J￿Jthn
Cole Trust
Cotyer FeffJusson
All Chur<*e5 Trust
11,4721
12.4CKII
14.8331
(8.4551
15.0611
11,4721
13,4551
1611
5,CKJO
2.500
15,¢XM)I
14,11001
13,61J)I
I2.0￿)
{10.fJJOI
11,3401
15.000)
19,5001
19,5001
{3￿)
11.5LK)I
11.3931
10.QXJ
s.(K)o
500
3.(M)O
200
1,IX)O
6,140
15.oc
10,752
18,8fAJI
13,8441
109.752
I￿1.564>
19,188
TOTAL FUNDS
395.r
(331,749)
63.315
13.
RELATED PARTY DISCLOSURES
There were no related wty trdnw*crf fi)rthe year en¢Jed 31 May 2021.
Pw3e12