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2024-12-31-accounts

Trustees' Annual Report for the period

Day Month Year To 31st December 2024

Period start date Period end date

Day Month Year From 1st January 2024

Section A Reference and administration details ~~ee~~

Charity name Other names charity is known by Registered charity number (if any) 1169665

The Gavins Foundation

Charity's principal address Venture One Longacre Close Holbrook Industrial Estate

Sheffield

Postcode S20 3FR

Names of the charity trustees who manage the charity

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Trustee name
Joan Gavins
Matthew James
Gavins
Catherine Frances
Gavins
Trevor Paul
Wormleighton
Andrew Mander
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Office (if any)
Dates acted if not for whole
year
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to appoint trustee (ifany)
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Names of the trustees for the charity, if any, (for example, any custodian trustees)
Name Dates acted if not for whole year

March 2022

TAR

1

Names and addresses of advisers (Optional information)

----- Start of picture text -----
Type of adviser Name Address
Accountant Julie Robinson Footprints accountancy, 24 Gander Lane, Barlborough,
S43 4PZ
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Name of chief executive or names of senior staff members (Optional information)

Section B Structure, governance and management

Description of the charity’s trusts

Type of governing document Constitution (eg. trust deed, constitution) Charitable Incorporated Organisation How the charity is constituted (eg. trust, association, company) Appointed by existing Trustees Trustee selection methods

(eg. trust, association, company)

(eg. appointed by, elected by)

Additional governance issues (Optional information)

You may choose to include additional information, where relevant, about:

The Trustees have considered the major risks and the system and procedure to manage them.

During 2024 we have the following policies;

Section C Objectives and activities

Summary of the objects of the charity set out in its governing document

The Objects of the CIO are to preserve and protect health and relieve financial hardship in any part of the world, or for such other charitable purposes (other than charities and charitable purposes for the benefit of animals) and for the benefit of the public, as the trustees shall in their absolute discretion think fit by making grants of money to such charities or charitable purposes.

March 2022

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2

During 2024 the major projects the foundation was involved in were as follows:-

Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)

Additional details of objectives and activities (Optional information)

We are not seeking any requests for grant making.

You may choose to include further statements, where relevant, about:

March 2022

TAR

3

Section D Achievements and performance

Summary of the main achievements of the charity during the year

During 2024 the major projects the foundation was involved in were as follows:-

March 2022

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4

Section E Financial review

Brief statement of the charity’s policy on reserves

The Trustees operate a cautious approach to the reserves and seek to build these in the future.

Details of any funds materially in deficit

N/A

Further financial review details (Optional information)

You may choose to include additional information, where relevant about:

Section F Other optional information

Section G Declaration

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

Signed on behalf of the charity’s trustees

Signature(s)

Full name(s) Matthew Gavins

Position (eg Secretary, Chair, Chair/Trustee etc)

Date

March 2022

TAR

5

CHARITY COMMISSION FOR ENGL4ND AND WALES The Gavins Foundation 11698S5 Annual accounts for the To eriod erHx4 ènd date PÈritsd start date 1st January 2024 31st Oecember 2024 Section A Statement of financial activities Restrlcled income fund$ Recommended categorles by activity Unrèstrleted tunds Endowmènt funds Prlor year fund$ Total tsnds Incoming resources (Note 3) Incorne and endowments trom: Donalw)nsarJd I￿ap5 llwitaL4e aclniibe5 F01 F02 F03 F04 F05 S01 692.266 692.266 956,145 SD2 olhwtra￿l￿Y 8¢knqtiAs V051mqnls S03 100 4.500 1C(J a.4(K) SD4 30 Sopar81è ol InrA)rn• $05 sc6 21.626 21.626 718.492 12,732 971.935 Total Resources expended (Note 6) Expendlttjre on: Ra￿[n9 f 459 280 459.280 Sepwate mHteriwl ofeynse 810 811 116,052 575.33 116.052 575.332 120,305 Total st2 Nel Incom￿(exPend￿ure) before investment gafnsl(losses) 813 143.160 143,16D 510.582 Net gBirtsl(bs￿1l)n Iwe51rnen15 $1 Net Incomellexpendlture) Extraordinary itern5 Transfers between funts Other Yecogni5ed galnsl(losses)- 815 143.160 143.160 S16 817 Gin5 and knsseson r0vah*tron off￿j a5¥8ts fwth8 Gharity'5 S18 Okner aain51lksspsi S19 Net move￿1 In ￿ndS S2D 143.160 510.582 Reconclllatlon of runds." Totsifunds brwht Totsl funds ¢affl8d forward 821 1568,714 1711,874 1588 714 1711,874

Section B Balance sheet Restricted income funds Unre5twlcted funds Endowment Total this funds year Totsl last year Fixed assets Intangible assets Tanglble a55ets Herilage assets Inveslments FOI F02 F03 F¢yI F05 (Note 15} (Note 141 (Note 161 (Note 17) rotal Ilxod assgts BOS 801 802 542.497 542,497 385.747 603 BL14 2.497 385,747 Current assets stocks {Note 18) Debtors {Nole 19) Investments {Note 17.41 Cash at bank and In hand (Note 24> Total current ass•ts BIO B07 187.656 187,656 187.656 BOB 995.310 1,182,966 Creditors: amounts falllng due wlthln one year (Note 201 811 Net current assets/fllabllitios) 812 1.182,986 Total assets less Current Ilabllltlas B13 1.568.713 Creditors: amounts fallinll due after one year (Note 20> Provlslons for liabllltles B14 815 Total net assets or liabiliiles Funds of the Charity Endowment funds (Note 27) Restrlctsd Incorne funds (Note 27) Unrestrleted funds Revaluatlon reserve B18 1.711,874 1.711.874 1.568.713 B1T B18 819 1,711,874 1,711.874 1,568.714 B20 Total funds B21 1,568.714 Signed by one trustees Dn tehaif crf all the trusteÉs Date Df aFproval ddffii iolio SwJnalure Print Name MAThHEW JAMES GAVINS CC17a (Excer) 0710612025

NLrt l olgiewthi l.184￿5￿Jf￿woUfrf￿)ll ¢rprd•rK*M FR> IO2- 4r CC11n¥w4 OYWA

5ÈCtion C Noles to Ihp. 3ccoun15 Ilotè 2 A¢counllng pollcleg ease tIY$,W$ bvh4n lffsi yThiFRS2702. SBctw 35ofFRSIQZ. JreGoJ7f4llUlS 10 )9 2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTED ACCOUNTING PRACTICE olth¢ nature ol each In4eoountOn9 pollty st4n of pvlod End of od FundbalW •• skted 102 Nqt • prvik*uDty CCITa (Ex¢￿) 07108QO25

Section C Notes to the accounts Iconti Note 2 2.2 INCOME Accounting policies st￿￿3rd￿lI￿8cc￿￿Jr￿V￿¥RW$ bsen aswwjby the ctta[￿ except Ir¢keJ W?-or"￿/￿. iitye 8 <1tsenl(Y•YQWbnal￿￿y￿I been ￿&s￿det&￿e&￿ry R•tdqnitlon of IncDm TW are In1￿￿at￿M￿l OIFinanua Admiies IsoFA}l%t) tre bÈ¢ome5 er￿le￿ 10 ttje rÈaOUlteJ.' 15 lthtytIKqn Ml thaltre Iru¥tseswl reC&Ve￿ regow¢o mordwvv4lL can te measured wilh￿l¥k r￿￿bIMy. Yes Nl8 T￿re has be¢nro ol assets atwj lknbilles. c¢ reqLlro&or mthd FRS 102 SORPor FRS 1￿. YeÈ Nl4 l)IlsiWng Yes Qrw andthrAbMaTrry In¢kn1e#1nthe 8oFAwhcTrtr£ 9enerallncrm CIIiW0 ate mel15.10 to 5.12 FftS102 SORP) GTrThts andd¢iutloM (ty0ccU￿%￿￿tttr￿ perftyM￿re￿ted ¥e me115.16 FRS 1￿2 8ORPI. LwYdsaTe SOFA pt(tk, I￿￿9..￿en tr￿1￿s grant ofw¥èbèb. exe0￿0￿ hwee¥ts￿&hed $￿t￿nts$ets knlhe Le9a¢l•b Yes Got A¥J ro¢•i¥8bl•b ￿e0 niMtrtnewth2re1s avthYd&cJ¥)nfvuTrthe ¢W. T4x r•¢i•m•on trnsoIthsappeall￿Ow1fad othrne. Cgntrx￿{IIhe0m#4Dd Ths I￿p}In￿e8•FAertethe cMrftyM% ryOVthOtsiateOpxAY$ pethyj ￿￿h￿•￿¢cIs8re￿S￿l￿￿Ied. asaD Gll8lDknJfcfu￿ bytr•¢￿ue SoFA•gbxcrrofrrm&y*tfvx• Nl3 08Cf Va1uTrt•or￿P

S•ttlern•itt ￿ Injurance lairns Insuranc& ckniw8 aieonty ￿￿d￿rInthe SoFAiwlien thÈ9fkl rwnrtK)n ¢rt¥ria mél 15.10 to 5.1ry FRS1WISORPI are IneluJe4 Bsan rtem o(tsther IncoTrelD Ihe SOFA. Investm&tt gns and 106y•o Th& htlLle& ary realw tyr gal￿GOr kn5seson ihe 5 of ￿¥￿tmarts and any r￿￿in9ftOM revam￿ lom#tkd al oll Yes No Nia 2.3 EXPENDITURE AND LIABILrriES Llablw rttoonltle Lkibiirtjeg are iecognwed wrre itteiy Ihan a ￿#1 or con5trurlhe oblb3£in comM￿r¥ the ¢hartyto pwwireowces ￿ Ir ThyJni Oftt obKgatkffi con be measwed Wlh rea$or￿ tertaknty Yes Nla GiYernanee and&pwi 0Sts Support have b9￿alUca1eo befften 9ovemante cost5 omer Gtyèmance eosts ccw icasts Irw0￿ pLOl¢•cc￿thtIITr9tthe ¢nerty8rnJ l¥npl￿CE￿ilh rEPLIkn ar￿ piade Support co3ta Inckk centra an& alotslttd ta co&1 edtegorf# on a b39&¢￿￿31¢r1Y1knl￿ rEwj￿c$. eg prop8rty rosts byfvxatw or pw cc4ts tylh swt aTrJ tyt￿tr Lwe. Yes WheRlhe ehatyg￿e9 a grArtSthcDndknrrn pa5ry￿rt￿ry a Jpvdfc lev& ol Serv1￿ or ￿lput ￿ L P￿¥th￿. 8urb yr orK4 t rt¢Wrt oftk¢gr•nt ha$provthd 5pKified $eNce orv&wL oondrtltsn• GroMtsp•yablwlthout rfoman￿cOndlUono wttÈrèthere e no cO￿r0￿8a￿aC￿ng tolhe grArt trrtteThatrAes the4YrtK¢rwity to rtralatknty ocrnitmBrt.akbity lor Ihe fUUt￿￿nll (lkn m￿t Ye5 R•dund•nG¥¢q•t w¥ No Materf￿ emof(thrr4d boon kn¢hNd 85 pr￿￿11￿nIfor If￿lIN1£Y meAswÈd b251 oftts 8ttr Y8S Nla 11.F FRsT￿ SORP. SLow￿r￿ M&•Ur•mint￿ ￿ WP¥AgrApts 11.17 ¥J 11.19, FR81tr2 SORP. 2.4 A8SEf8 T4rW• fi¥od Are (wAAtspJlfW¢an t¢ ￿e¢ tymw¢tY4m¥Ywr. eostai )t y •re •tt(8t Yes Nlo In1￿1￿1e￿￿ed aMets Thv Gfvaiityhas a5seb, ttrot . MTrI￿la¥Set¥Itrt1Q hw Theyarn vaWal cost Theyare ¥Jed al c Yes tr414 Gts2d5 P￿￿d#p￿1(I I￿￿l￿￿O￿￿*eM¢asU1ed at

The cttarty ia5 h&A knvesment$'éthl¢DA for (esa￿0[ penoinu ¢a$D aNJ ¢4sh ￿.q￿v31en￿Wl￿ a muMy dat& ￿le Tr£se tash eqtsValÈnL5￿tn a Tnal￿tY dateol ks$ than yEir Iw ln'lesth￿l PUlPDS95 rail￿ th￿t• meèt srwtlnM ¢4ShfoMrnikn￿ts3s th￿1￿1 dL Yes Investment$ Yes Thay ale ¥3￿jed atfar vttrelWqJbVaB basknI1n￿¢￿ POLICIES AIXJPTED ADDl￿NAL TO QR DIFFeRENfFROM THOSE ABOVE

Section Notes to the accounts l¢onti Note 3 Analysis of inrome Re5trkt¢d Unn•trlrtod In¢ornE Endowmnt funds Tol•l Prforyear Anal D￿sl¥j￿5 ifls Gift AKI es Ge￿ra gr2nts pro￿ed by go¥emnnVolheF d)arities Memb8rship s￿b8¢riptionS sKK>rwship5 vknith ar8 in sub8tanc8 donation6 Donatlons Bnd legxcÉes: 692.266 692.266 956.145 Donat . faciliti￿ and services Total 692,266 892266 956.145 Clwilable Actlvltl•$: Oth8r Total othEF tradu TDtal Interest ￿¢0m& v￿8nd I￿Orne Rqnlal gnd18851 26.126 15 732 Investmèiits: in¢omo 100 10D 26.226 15,832 Sepwate materlal tte of InG¢Jme: Other: convers￿ of arn1rh￿)￿Trt lunds I￿0 Gain on rsposal of a taTrJtble fixed asset ￿ld for chari Éythn Usè Gain on ¢"wsal tsf a prDgramryE rd&ted inve&tm&nt Royatties from th8 8XFAoilation ot irts11￿31 Is Other Tial TOTAL INCOME 718,492 718.492 Olher ihfomialton: All the￿•1￿ th• prlw was Unl￿trICtl4 •xc•rAfor', Ipl•xe d•serlptk)n and amountsi Wh•r• any￿￿￿￿￿0nIfUnd Ls conv•rt•d Inb)Inc•m• Inth• rnporfinll periwl. pkqse olve the reasonf•rth eon¥wslvrL anyonrfrv4m•ntftfftd15 ¢•nv•rt•d Into Incomè kntr Prfor￿lI￿d. Ple￿ qt¥• reason for the ¢DnveT51Thk Wlthift the In¢omo It•m$ abov• the 6knS mat•wlel'. Ipaa• dlselose the nthre. amount*￿ aramauntsl CC17a (Excdl

SectiJn C Notes to the accounts Icontl Note 4 Analysis of re￿ipts of government giants This >*ar Descri ion GovèrnmÈnt grant 1 Govèrnment grant 2 Governnwit grant 3 Other Total Last >wr Descrrption Government grant 1 Government grant 2 Government grant 3 Other Total This Last P1•4$• provld• d•talls ofthny unluifiiied condlflons and other eontlngencles attaehlng to qrnnts thothave ljeenrecognisedin Income. PltrasÈ glve detslls of other forn￿ of the eharlty dlreclly b&ryeflte CC178 (Exc41 0710PL025

Section C Notes to the accounts Iconll Note 5 Donated good5, facilities and service5 This year Last year Seconded staff Use of prope Othe This year ear Please provlde deta515 of the accountlng policy for the recognition and valuatlon of donated goods. faci1SUes and ser¥lces. Please provide details of any unfulfilled conditions and other ntingencies attaching to resources from donated goods and services not reGogni5ed sn income. Please give details of other fonns of other donated goods and seryices not recognised in the accounts, eg contribution of unpaid volunteers. CC17a (Excdl io 0710812025

SÈctiJn C Notes to the accounts Iconti Note6 Analysis of expenditure Thls yar Last year e51rfcted lTrc¢Jm• Endo¥fflT•rt fundB nr•Btrkted Rvtsirfcted dx inEoMe fund# EndDinw Uniqstrtlv fund• An41ysl$ Expen(thture on raising funfls.. In￿rTed seeking donations In￿jrTE￿l seftkirig I￿201e5 Tutsl funds Tpts11￿O$ Incurr￿1 se8kiny 9rants Operobng [De￿bershiP sGhefflB5 and 5ryXo1 IDtterie5 Stagmg furthising ￿en FtsdrÈI5i￿Q auÉnts Operats'ng charity shops Operating a trOd￿g Gompally undertakiny non-chaTrtsble trading aGbvity Advthsing, maiketho, dI￿¢t mall and Start up ¢osts in￿rred It) gener8tlng new

)we offuiure Ino)me D8t8b8se dBvelopment L>)sts Other trading adfvities Iwweslment mknggem8ni c>sts." PorffiJ￿ mana ment ¢o$ts Cost of oblaining in¥￿tMent •fvice Irwe5¢TneHt admI￿StratIo￿ Intell￿tUal tKvperty li￿nlY￿a ¢￿sIS Re￿1 WIIeth￿, prOp￿rtY rep￿T5 arHI rnaintenano dwrg25 Total expendltwe on ral•lng tunds ExPen￿￿Te on charftable athvltles.. Charitable d(thabcms 455 683 339.663 Total expen¢*lure m tharltalAe i¢tlYblles 455.683 matsrfal Item rf• Tolal Offi¢e Bank Ghar PAYE 997 6.134 997 6.134 1.188 824 2,843 49.078 sn 9055 AcaJu¥ Insuranee Pension Net vra At1Yertisin onal l And of$&$ional 824 2.843 49.078 577 9.Q55 9.917 837 2,337 41,791 837 2,337 41.791 14.245 S.￿8 Repairs maintenarre 33.276 CC17a (E￿? 07ffjPI2025

Lo88 on dis 36 7T6 967 ,420 4￿.103 3.250 119,e4e 575.329 967 116,420 456.103 Total olhor expendlturè TOTAL EXPENDITURE 119.646 575.329 Other Infwrnallon.. Ana￿lS of eXpendi￿re on charltable actlvllles A¢thfftk$ undertaken dlrer Grant lundinBol Acbvithgs tsndErtwken dlr•¢t Grant funding of A¢thMy orpwr*mm• Total thls support Toial last rAIvI CC17a (Excdl 12

Section C Note5 to the accounts (cont) Note 7 Extraordinary Items Please explaln Ihe nature of each extrdordinary item occurring in the perlod. Thls year Last year Descri tion Extraordinary itern I Extraordinary item 2 Extraordinary item 3 Extraordinary item 4 Totsl &xtrordinary items CC17a IEx¢g11 13 0710812025

Section C Notes to the accounts Note 8 Funds received as agent -1 Please complete this note if the charity Ik7S agreed to admlnlster the funds of another entity as Its agent. Note.. If a charlty Is a¢fjng as an agent, It $I￿Uld not recogni5e the inconR In the Statement ofFlnanclaJ Actlvltle$ or tha Balance Sheel. Amount rnceived Amount paid out Balance held at period end Descrfptlonlname of party Related paty (Yes orNo This year Last 5wr Thls year Last year Thls year Last year Total 8.2 Whern a consortla •x s1m11ararrdng￿9nI •xtsts whereby 2 or mor• charities COthopofdtO to ach10￿ 8conoml8s In th• purthats ofqoods orswvl¢e$ dlscos• dotalls ofany balances outstandlng between anypartlclpatlng membern. Descriptlonlname of party Balance held at perlod end Thls year Last year Total CC178 (Excel) 14 0710812025

Se¢tlon C Notes to the accounls Note 9 Support Costs Please compl8le thts note If the charlty has analysed Rs expenses uslng actlvlty categories andhas support cost& This y￿r Support cost exam Raisin nds Attiv Grand total 8a5is of allocatlon (Oescribe method) Govemance other Last year upport cost exam es Raisin fvnd Orand total Bas18 of •llo¢aiion IDe¥¢ribe methodl Govemance Oth Total Plv4s• provid• d•t•Hs of th• accountlng polKy adopted for the apportlonment of costs between a¢fivitie5 and anye5fln7ation tschnlques used to calculato tholrapportlonmt CC17a IExttlJ 15 07K¢￿025

Section C Notes to the accounts Note 10 Detalls of certain item5 of expenditure 10.1 Fees for examination of the aecounts Please provlde detalls of the amounlpald foranystatutory external scwttny of accounts and oUJ•rs•ftvlc•s prDvidod byyourindewd¢n( examlner. Mnothlng was paldplaase onièr il'ln the approprlate box(es). This Last year Indewndent examiner's fees 1.188 1,188 A53urnnce services other than audit or independent •xamination Tax advisory fees Olher fees (for example: financial advice. consultan¢y. accountancy seNlces} pald to the ind•pondgnt gxaminer CC17a IExcoll 16 071(1512025

Section C Notes to the accounts (cont) Note 11 Paid employeès Pl•aso complote this note rf the charity has any employees. 11.1 Slaff Costs This year Last year Salaries and wages Social security COSt5 Pension costs (defined contrlbution scheme) Other employee benefits 49.078 6,134 2,843 41,791 2,337 Total slaff costs 58,054 44.128 Thi5 year: Please provide details of expenditure on staff worklng for the charlty whose ¢ontra¢ts are with and are paid by a related party Last year: Please provide details of expenditure on staff worklng for the charlty whose ¢ontra¢ts are with and are paid by a related party Plea$• glve dotails of the number of omployoes whose total employee benefits (oxcludlnq employer pension costs) fell wlthln each band of £10,000 from £60,000 upwards. M there are no such transactions, please enter ¥rue'in the box provlded. No employees received employeo beneffts (excluding employer pension costs) for the reporting perlod of more than £60.000 Band Number of employees Thls year Last year 60,000 to £69,999 70,000 to £79,999 BO.000 to £89,999 90,000 to £99,999 100,000 to £109,999 This year Last year Please provide the total amount pald to key management personnel (includes tnjstses and senlor managementl for their services to the charity. For speclllc amounts paid to trustees, see Note 28. CC17a (Excél) 17 071D812025

11.2 Average head count in the year This year Number Last year Number The parts of the ¢harity in which the ernployees work Total 11.3 Ex-gratia payments to employees and others (excludlng tru5tee5) Please complete rfan exratia paymentis made. Please explain the nature of the payment This year Last year Please state the legal authority or rea50n for making the payment This year Last year This year Last year Please state the amount of the payment (or value of any walver of a right to an a$set) CC17a {Excll 18 0710812025

11.4 Redundancy payments Please complete rf any redundaney or terniination payment is made in the period. Thls year Last year Total amount of payment The nature of the payment (cash, asset etc.) This year Last year The extent of redundancy lundlng at the balancè sheet date Please state the accounting policy for any redundancy or temiinalion payments CC17a (Excel) 19 0710812025

Section C Notes lo the accounts Icontl Note 12 Defined contribution penslon scheme or defined benefit scheme accounted for as a defined Contrfbutlon scheme, 12.1 Pleasè complete thls note Ifa definedconth-butlon pgnslon scheme Is operatod. Thi5 year Last year ount of contributions recoynised in the SOFA as an expense 2,B43 2,337 Please èxplain the basis for allocatlng the liability and eX￿n$t of dèfinèd contribution pension scheme between activities and between restricted and unrestrlcted fund5. 12.2 Pleasé complets fhls secrf¢>n whern the charitypartklpates In a definedbenofitpenslon plan butls unable to ascértain Its share of the underjylng assets and11a￿l￿￿5. Please confm that although the seheme ￿ accounted for as a defined contributit)n plan, It Is a defined benefit plan. Please provide such information as 15 available about the plan¥ surplus or deficit and the Implication rf any• for the reporting charity for this year and last spar. If different YES Plan is B&CE The People5 Pension, Manor Royal. Crawley. West Sus RH10 9￿. 12.3 Plgasfj c¢Jmplgt• thls s•ctlon whorn th• ¢haritypartlclpate5 In a multi4mployw dellned lJen•fftpension plan thatts accounted foras a defln8d conlrlbullon plan. Describe the extent to whlch the charity can be Ilable to the plan for other entities. obllgatlons under the terms and conditions of the mullO*mployer plan. If this is diffwent lor last year, provide details Provide an explanalion ol h<bw any liability arising from an agreement with mu1tivempl0y￿ plan to fund a deficit has been deterniined. If this is diffErEnt for lasl yw, provide details CC17a (Exrdl

Section C Notes to the accounts Iconll Nole 13 Grantmaking e85e complete this note rfthe charfty made •ny grants ordonalions which in aggregate fomi a m8erfalpartol the ¢h&rft4bk ac¢lvllk5 undert•ften. This year: 13.1 Analysi$ of grants paid Ilnrluded in cost DI charitable 8Ctivities} Grants to instituti¢)ns Analysis Grants to individuals Support costs Totsl Acti or Dr Aclivi 01 ecl3 or er14 Total Plopse enter"Nll-If the charfty does not Idenllfy andlorlloeat• suppNt cost& 132 Grants to in8titwtlgn$ P￿￿e wDvfd• detaffls of URL. AVy¢h•rftyh•# m•d• top4rOoularlnsUtutlons th•t•rn m•tvrt•llft th• Yes gr•nt•nd tot•lp•ldto •a¢h Instllutlon is available on the Gharfl￿9 web slte. Pmvide d¢t41ts MBmes of instiiution Pu Tola5 an￿)￿r￿ of id£ Totalgrnnts lo Inst1t￿n$ In Yeportlng perfod rorAL tWiANfs PAID CC17a I&xL*I 21 D7llJ8f2025

Last year: 13.3 Analysis ol grants paid (included in cost ol charitsblÈ actiVAtiesl Grants to institutions Anal￿"9 Grants to indi¥idu•l$ Support costs Total A¢tsvity or 1 Act￿Vity or pft¥e¢i 2 Actrvityor 3 vityor pro1￿ 4 Plea¥e •nter"Nil" rfthv ¢harfty does notlrfenllfyand/or ello￿te supportcos 13.4 Grants made to institution¥ detall• of ¢hwW$ URL. Mydwfty has m•d• grnnts lo p•rficularinslltutr0￿ th•t moterf4lln the eont•xtof Its uMnlm•klng. Det411¥ of fheJnslltuUon 84w0￿. puw of the gr•nt•nd totalp•ld to •ach lft•tltullon Is avallabl• on th•eharltys wèb klt No Prnvide details of instilutign Puwe Total amunt of TOTAL ORallYS PAIO CC17a (EX￿1} D7llJV2025

Section C Notes to the account Iconll Note 14 Tangible fixed assets se complete this note rfthe ohwl¢yho¥ tanglble rflxedassets 1&1 Cost or valuatlttrn Freehold land & btslldlngs othfi land & Ildlngs Plan( machinery and motor Flxtures, flttlngg nd equlprnent Total At the l)eginnlng of Ihè year Addrtion$ 380.oc 180.c￿0 18.65Q 2,499 401.149 16c.oao Revduatior Disp)sals Tran8l•rs" 8.150 8.150 At ¢rBY Of th• ygar 10.sju 2.499 552.$95 142 Depreciati¢)n and imp4irryMts a#1• SL or RB (s￿19ht Line or ReL￿dn9 Balance) SLorRB SL SLorRB SLorRB O¥er 3 ars At tw'rming ofthe y 14.777 625 15.402 Oispxal$ 8,150 8.15D 2.625 625 3.25) Impaim)ent Transfers. At •nd of th• yèar 9,252 10.502 1&3 Net book value Net book value & the *inning of the year 3873 Net book value at the of the yeor 540.CQO 1.249 542,497 CC178 (Excdl 23 07ffj8r2025

14.4 Impairment This year.. ple￿ pmvlde a descnption of the ewents and circumst8nces that led to the recognttlon orreverJal of an ImpalnFRnl los& La$tytar.' H&￿￿PA)y1d• a d•serlption of the events and elrnmistance$ th•t led to the ￿0￿nI1[0n orrevers81 of an hnp4imient loss. 1&15 Revaluation Iran a¢countlftgpollcyof rn¥•luation is zth)p(ed, pleaseprnvith.. This the methods •pplled•nd$lqnific•nl ￿sUmPt￿$ Ihe C￿ng amountth•t wouldhave)kn r•¢ognls¢d tho •M•ts b••n 14.6 Ottr dlsdoswes Tht8 La8tyEar (•nglbl• thd•s••ts •nd lh• e•￿￿11$•110n rnt• tfS•d. IJ Pleas•provide theamount ￿¢<￿traCtual¢l￿nMAn1wkn fortho •¢qutsltron orflangible Ilxed •$5el& l) O•talls of th• exi¥t¢n¢e aftdc•nylnp amounts 01pM￿￿, plant and ulpment to wM¢h th• ¢harftyha8 rn¥tri¢t¢d fltle orthat arn1￿199￿•S seeuAty for11a￿lIti - Please Indieat• the metlKd ofdeppciaffon ty d•l•thg methodnot•ppk8ble (SL- ¥traigh¢ 1/r￿,. R8 - rnducing bg14fr¢eJ. Alwpknse iAth¢4h tlJ• rgt of d•Kfftlatton.' hrstrnightlln•. whatts the ￿tKiPat•d &f• of th• •ssot (wly￿￿)." fort¥du¢lnp b. wh•tls Itso Per￿n198 ann￿1 deduclion. CC17a (Excell 07m8r2025

Section C Notes to Ihe accounts (cont) Note 15 Intangible assets Please complete this note if the charity has any intangible assets 15.1 Cost or valuation Research & development Patents and trademarks other Total At beginning of the year Addith)ns Disposals Revaluations Transfers . At end of the year 15.2 Amortisation and impaimients -Basis SLorRB SLorRB SLorR8 SLorRB straight Line ('SL') or Reducing Balance {'RB") Rate At beginning of the year Disposals Amortisation Impaimient Transfers" At end of year 15.3 Nel l)ook value Net t(rt)k valLE at the beginning of the year Net book value at the end of the 15.4 Accounting pollcy Please dlsclose the accounting policy forintangible fixed assets Includlng.. Reasons ft•rchooslng am¢xt184tlon rat08 Policies for the recognition of any capital development CC17a (Excel) 0710812025

CC17a {Excel> 0710812025

15.5 Impairment This year. Please pmvide a descripiion of the events and circufftstances that led to the recognition or reversal of an Impalrment loss. Last year: Please pmvide a description ol the events and ¢1￿uMstanceS that Jed to the recognition or rnvorsal of an impajrmont loss. 15.6 Revaluatlon M an accounting pollcy of revaluation is adopted, please provlde.. This year Last year the effective date of the rnvaluation the name of independent valuer, if applicable the methods applied the carying amount that would have beon recognised had the assets been carrled under the cost model. 15.7 Other dlsclosures (i) If yourintanglble asset was acquirnd by way of gran¢ pmvlde value on Inttlal recognition and canylng amount of the ass•t. (li) Details of the canylng amounts of any intangible assets to whlch thg charity has restricted title or that ar• pledgodas securfty forliabillties. (iiij Pl•as8 pmvide tho amount of contrxtual c<vnmitments for tha acqulsltlon of intangiblo assets. (iv) State the amount of research and development expenditure recognised as expenditurn In tho y•ar. (v) Please detall the hoadings in the SOFA Jn whlch a charye foramorbsation of intanglble assets Is Includ￿. (vij For any material intangible assets. please provide a doSCnPtion. its Car￿ng amount and any rnmaining am0￿satIon period. CC17a {Excel) 0710812025

The Yransfers. row is for movements between fixed asset categorles. Pleas8 indicato the method of depreciation by d61gting the method not applic8bl8 (SL - straight line." R8 = reduciTW balancej. Also please indicat6 the rate of depreciation.. for straight line, what is the 8nti¢ipat8d lif8 the asser (in years).. for reduthng balance, what is th8 percentage annual deduclion. CC17a (Excel) 0710812025

Section C Notes lo the accounts Iconii Note 16 N￿ltage assets Ple8se completè lfvi$ nots If the Gh8rftyh&5 hen1￿¢ assets 16.1 GÈneTal di5cIosufes for all chaiits.es holding heritage a￿1$ This Last year ri) Explasn the nature and $cale of herilage assets held. Ill) EXPla￿Tr thE policyfor thE ac4uisition> preseNation management and disposal of herftage assets. 16.2 Co$t or valuatio HeritagE asset Herrtap a5SÈt Herlla9e assel Her5tay assÈt Totsl At W(nning oflhè Adthtions Disptssds T￿$(￿r$. At end of the yaar 1&3 Depreciation WNI Im￿lm￿nts Straight Line I%L'I or Red￿Ing Baance At b¢ginning of year DewKialion Imprm8nt Transfers. At of 16.4 N•t book valu• Val￿ at thg beginThn9 of Ihe Net knk ￿lu9 at Ihè ONJ ol tha CC17a l&xll U7108r2025

16.5 Impairnient This year Pl•ase pm¥lde o des¢rlptli)n of the events and ￿rCumstanC•S Ihat ledto th• rncognltlon ￿rEve￿al01 an impairmentfoss. Last year Pleaseprovide a desenption of the events and circumst•nces that￿ to the recognition orreversal Imp4ltrYnent loss. 16.6 Revaluation Iran accounLingpolicy Df r•valuafrtin 15 8dopt•d, pleaseprovide." This ￿ar Last year the effecth d•te of th• t￿lu￿￿On Ihe name of indepen(knt valuer. rfapplicable qu•llll¢•dons of Ind•i>•ntht v•lu•r Ihe wlied•nd3lqnifican£ •sstmiptton •nyJlgnnlc8ntllmltaUgns QRP Ihe valuat 1&7 Analws of h•rit#ge a¥￿ts by class orgroup distinguishing those al cost thosè at valuation At ¥alu8tton costGr(¥up fjroup A Total CarryirY4 amourt at the twinning ofthg A￿d￿"or Depweciatiwlimpwrm•nt Revalualion Carryin9 amount at end of period 16.8 Huit•JÈ assets Iwh¢we avsets w• not r•eoigni5ed on the balance shee Thls ￿•r Last lil Explain th• reason why h*rlt4È assèts havé not bèen rewiised on th• balaneè sheet {ii) l)escri￿the signifiun¢e ¥md liiil Disclose in1orm￿l0Tr that IS help￿1 ￿ a55esslng the yalue of {iv} Explain the reason why it is not praCtIrA￿ to obtsln • Valuatm￿ of CC17a (Exc¢ii U71D8f2025

16.9 Five sear summary of heritage assets trans4dions 15 2014 2013 2012 Purchases Group A Grow) 8 GfOUD C Other Donations Gr￿P A Group 8 Grcup C other Total additi¢)n5 Charge lor impAirrnent Group A Group B Group C Total charge fr•r impairnw)t Oi5P05als Gra￿ A- canylng wnwnt GroLV B . caffy¢rKJ ¥nount Group C O¢her Total dl#pogals CC17a l&¥cdl 31 01108r2025

Section c Notes to the account5 Icontl Note 17 Investment assets prease ¢onylets thls note Ifthe chartry ha8 ?nYl¢pV￿rnen1a$set$. 17.1 Flxed assets investments Iplea5e provlde lor each class of investynenl) CAsh & caih •qUl¥a￿nts In¥e•￿ert aF In¥ement other ca￿Ing If8rl v81ue atbeuinnino uf Fer)d Add: 8dthts"(m& to lrwe51￿ent5 dunng per￿)d. Lss: dlSPOSalS al carrwna val Lay$: IMpainT￿lts d.. ftever￿ ofhnpalrm•nts Ild4ductl.' Iiansfer inlloutl In the Al￿deduc￿. nel ginllthsl on TevaluatiL Cary￿a Irari vdue at end of y 'Plea5e specify additfotY& reSu￿n9 from qutgllh)nsthrough F¥j￿n# e¢ml)knatSon5. ti Pkas•nofvtfvatF#lr V1￿ in Cont￿1￿￿+1￿+￿￿tfts1A •￿•(¢0￿k1b4 Itnowkg•W•and lenJh ￿lIs8¢¥i0￿. F¢rlrarfedxcufffti8s, the fgffrv8lue 18 the value ￿the x¢urlly yuoIEdun thw London Exch8nge D8tyOnkhiLiJi ¢vqqufvaleDt Fortr•ts•gts Wfre￿ thwp h no m•rkelprkéon lTrd8d nwel. iti8 the trutees'orvaluwJ'tswi•tkn•t• olf•lrvdu& 17.2 P￿a8 prO￿￿é a l¥eakdown of Inve$tm•ntg $htswn above agY•elng wmh the bajance sheel row B04 ¢Jlfferentlatlry belween those held at lalr value awj those held at Coot IEso lrnpalrnwnL Thls ytw: An￿y$l5 of Investhlènts ¢Mt bNpaknJrt Soclal In¥w91m•nts Orand toi•J IFatrviiu• ty•ar•nd•Cost l•ss Inyairm•ntl AnaTyg1• of inveslments ¢•sh or ¢uh •qul¥4l•nts Social In¥eslm•nts 3Tandtolal IFair Val￿ atye¥end•¢oJl IES5 tnwirmEnll CC17a (Ex

17.3 If your charrty holds in¥È$tment properlies. please compl&e Ihe followin9 nole.. Th15 year F￿r￿ase wce Oft￿￿d￿j$ Lagtyèar Purchase pnce of buiittnos {11 Explaln tna M￿h0￿$ slgnificant asswiptlons ITr deterffining thÈ Pdlrvaltsoof rnveslmonl propty hekl by thè charity 1111 N))• vrindwerKlent Yaluer, If appIl￿b[•. abwj r•l•v¥nt quAlllt¢atlons (iiil Prowidp thtai15 of gny reslrlctlons onthe ibllityto reA119e I￿￿￿•￿ni propertyor on th remlttano oflrtom or d15P05al procee¢ts 11 Lease of tJikling to New Hcw Chwch. Property in USA is used as a 21 livl fxplaln any Contrac￿ obligations forthe purchase, ¢onstrn¢ttoth oril•¥Iopn￿t of Inv•gbMnt wop•rtyorfut 17.4 PIE8￿ wovlde a breakdown of current asset in¥ulrnents, if applkable agreelrq wllh th• Ixlance sheet Anolyglg of eurrent a¥•et Inwèstments Thts year C&sh orca5h •qulvalwts Llsted HN•5tmer knThJtrn•nt pMpertles Sodli Ibwtstsmnts Totsl f 7.5 Guarantees Thls ar La8t Pltr￿ proNld•d•talls •nd amouatof Any yu•r•ntee mede to oron b•halfof • third pawty N•me oftheenth or•nlfts b•Mfftknq froff&1￿ ￿￿￿￿[￿•¥5 Ple￿* •xploln how thé g￿rA￿t•• lurthws th• ehultys 41ms CC17a IEx¢811 U71QW2D15

17.8 Concesgionary loams Des¢rt>tipn Th1• y•arÉ L4•t y•u knountof concesslonary loan¥ made (Mufup mSdeJray b•th¥¢loR(lth T¢io1 Thlo yv4r£ La8t yBar£ Amountof cor￿•s￿)n8ry loans recel¥ed Thisy•ar Lasty•ar Tffms and 13JfKlltlons ag Int•M51rate, securlty ValuÈof any concessiorrary loanstrtthlth hw• been carnftted nottaknn up at Ihe rewting date Amounis payabk vmhln 1 year knoLmt5 aft•r rI￿r• than t y•¥ r•coivable ithiD 1 ye 17.7Addttional Info￿atIO Thls lynifican￿￿flnVe3tTrmts 1¢ Ihe charivs fiMn¢lol posttlon or wrforfibRn¢e eo. Ind rMIIIIon5 Ot or IhÈ ust olh•dolnuto fln4nclal Ask. Fry atl Investrnents fI￿5ured at rajr￿1￿. lh• Ikryls tor dtrt4rmi•lng thg value, incluth.ng any •ssumption5 appliEd when u51ng a va￿￿1￿￿ i•thlqu Whqro a charity has pro￿d1￿)#￿thl a59dJa$ foimol M¢uiity. th• Ca￿¥[n9 amount of lh• 1Snan¢l •¥5•t ￿ed￿d as secuFltyahdth•t•m MI eoiidtkni r•l•ttftg t• Sts p*. cct74 (Exc￿>

Section C Notes to the accounts Iconll Note 18 Stock5 Please complgte this note If Ihe charlty holds any stock Ilems 18.1 Please state the carrying amount ol stock and work in progress analy5ed between activities. Stock Donated goods Work in For ¢tiStribulion Foi resale For distributs-on For resale Charitable activities.. Owlng Expensedlnperfod Closlng other trndiThJ activities: Added In pwlod Impalred Clo•lng Olher. Imp•ipBd Ck+slng Total this year rofalprèvlous ygar This >tar 11.2 Please specify the carrying amount of any stocks pledged as security for liabilitle$ CC179 (Excel) 0710812025

Section C Notes lo the accounts Iconti Note 19 Debtors and prepayments Please complete thls note if the charity hos iny debtors orprepayments. 19.1 Analy51s of debtors This >*ar Last y￿r Trade debtors Loans provlded othor debtors 187.656.2 187,656.2 Total Please complete 19.2 whern a mat•rfaJ debtorls recoverab￿ mor• than a year aftér the rnportlng data. 192 Anatysls of debtor5 recover4bl¢ In more than 1 year Ilncluded In debtors above) Thls ￿ar Last s•ar Trade debtors PrepayThents and accrued lTrcome Other drybtor5 187,656.2 187,656.2 Tolal CC17a (Exrell 07106r2025

Section C Notes to the accounls (cont) Note 20 Creditors and accruals Please ￿Mplets thi8 note Mthe charlty has any credltors or accrnal5. 20.1 Analysls of creditors Amounts falllng due wlthln one year Thls year Last year Amounts falllng due after more than one year Thls ￿ar Last year Ac¢rual$ for grants payable Bank loans and overdrafts Trade credltors Pajrynents recelved on account for contracts or ptrforniance4elated grants Accruals and deferred Income Taxatlon and so¢lal secutlty Other creditor5 Total 20.2 Deferred income Please complete th1$ nota rf th• charhy ha8 defen￿lne0Me. Thls Last Pka$¢ explaln tho r•a$on$ why Income Is dolorrnd. Alovemontln deferred Income account Thls year Last year Balance at the stsrt of the reportlng p•rfod Amounts added In Current perlod Amounts released to Income trom prevlous perfods Balance at th¢ end of the reporting perlod CC17a (Exc81) 37 0710Bf2025

Sè¢tion C Notes to the accounts Icorkti Plote 21 Provisions for Ilabilities and chargès Please complete thls note ifyou have Incltthd ctsarlty expendilure anypmvlslons. A prDvision is made when the cts•rfty h•s a liabilityoluncertoin timlng oramount 21.1 Movements in recogni5ed provisK•n% and tundlng commibnEnt durln9 the pthd Thos year Last year Balonce at the start of th? reporting perirjd Amouftts added In current period Amounts charged agalnst the provl$lon in the current pericrfl Unuged amounts reve￿ed during the perlod Baance at the end 01t￿ repDrting period 21.2 Please piovlth: brlef deCrtp￿0n of any obllglons ￿ thE balance sheet and the expected amount and timing of f•Jultlng paYM￿ts. This Last . Ind￿knn oflhe uftcertatntles abo￿ Ihè wmourt vr timing of those rrtrtftows. and -t￿ arnouTrt of any expected relmburJernent. stallnu the amount of any asset thai ha• been ￿¢0￿nIsed lor that •xpted rtlmbursemenL 21.3 For wry funding conThrlmentthat ￿ not recconled as a Ilability or r¥ovl$ion. provlde d*1 of cornmllment M￿le. the tlme fr￿ of that c01￿11￿ert. any perforn￿nce￿relaled conditions and detalh rf howthe commEtntnt ¥AII bp funded Iwllh c4)ntraEtsfor Gapital expenditrjre geparatety Idpntthed 21.4 unrestrlcted funds hwe ljeen dulwed to a fvnd cornmFlrnenl, ￿ease dlxlose nature of onyajnouth deslgnated and the likely limlng of that •xpEndltwe. CC170 (Excdl 07108r2025

Section C Notes lo the accou iits (conti Noie 22 Other disclosures for debtors, crnditors and other basic financial instwments This year Last ywr 22.1 Please providE infotrnation aljout significKe of financial instrLllnents leg. debtora, eredito¥4 investments etcl to the charity5 financial poyrlion or perfornmnce, for example. the tern)$ and conditlons of loan¥ or the y8e of hedglng to manage financial risk. 212 Ilthe chwity has proylded ffinncial assets as a fDWrn of x￿￿rIty. the amount olthe financial 35sets ￿ed *s ￿ul￿and the term$ and conlllons related to h pledge should be given here. CC17a (&etJl D710812025

Seclion C Notes to the accounts contl Note 23 Contingent liabilities and contingent assets 23.1 Con"noenl liabÈlities Where the charity has Contingent Itabililities, please complete the following SE¢tion unle55 the possibiliiy of tholr xl8len¢e is remotè. Thi$ ytar Oescription of item including its legal nature. PIEa5e describe any security pro¥ided in connedion to the Estimate of financial effect Ilablllty. Last ￿31 Des¢riplion Of item includlng Its legal n41ure. Pl&￿e describe any seeurlty provided in ¢onnection tothè li4bility. Estimate of financial •ffe¢t 232 Confjngent ass•ts TNhère th• ch¥ity has conting•nt awls. plea6e compt•tè the following section their existence 1$ prol)abl• This yeAr O•xrfptlon of ilem Estimate offinandal effect LBst ion of item Estimat• of ffinancial effe¢t 23A Other di5clo8ure¥ for contingent 498ets andlor liabilities Please provide the followiThJ Infonnation where prarlicable: This sear Explain any uttertainties relaiiTrJ to the or timing of ¥ettlement; and the po¥8ibilty ot any reimbursem•Nt Where It Is not practical to make one OT mor• ol these disclosures. plèasè st* this fa CC17a (Exedl 07A78f2U25

Sè£tion C Notes lo the accovnis Iconti NOIÈ 24 Cash at bank and in hand This Shgrtto￿ [nsIm•t￿ Il•ss than J rMThths mliwtty dat•l sMrtt•rni dpostts Cash at *KI hand 981.721 995,310 Totsl CC17a (Excdl 41 07W2r

Section C Note￿ to the accounls Icont Note 25 Fair value of assets and liabllltles Thi5 year Lllstyejr 25.1 plea￿ provld• d•talls of lh• chaity5 •XPOsur• to credltrfsk lth• ollncvrrlng A loss thje to a deblor notptyn9wh 15 owodl. Ilquhjlty sk (the iisk of not ￿Ing ab￿ to meet sortl• flnlnclal d•mandsl mark•t rlsk lth• rlsk that tm vu• of •n Inv•skn•ntwlll fall duo tochang•s In the markgll arfjstng in5trunnts to wNch th ¢harlty Is •MPO8•d atth• •VKI ofth? rwtiTrJ p•r40d and explaln hawthe charlty 2 Plias• gfv• d•tall$ 01 tha •nountrf¢hwe Ih th• l¥valu• of ba61c Ilnanttal Id•btovs. cr•dÉtw4 Inve51nnls ls••s•euon 11. FRS 10280RPII m•awr•d atlalr ¥4Mthrough the SoFAthat1g attrbutabl• to¢hanges kn cte CC17a l&xceil 07108r2025

Section C Notes to the accounts Icontl Note 26 Events after the end of the reporting period Please complete thi5 note events (not r•quKing adjustment to the accounts) hawe orKurred after the end of t￿ reportlng perlod bur bgforè the accounts arè aufhorlsed whlch rel4¢e to condltlons that arose after the end of the Thls ear Last Plèase provlde detalls of the nature ot the event Provlde an estlmate of th• flnan¢lal effect of the event or a statement that such an estlmate cannot be made CC17a {ExGel) 07108r2025

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Section C Notes to the accounts {conti Nole 27 Charity funds {¢ont) 27.3 Transfers between funds This year Reason tortransfer and where endowment is converted to income. legal power for its converslon Amount Belween unrestricted and reslricled fund5 Be￿en endowment and restrrcted funds Be￿een endowment and unrestricted fvnds Last year Reason for transfer and where Èndowment Is converted to Income, legal power for it5 conver51011 Amount Betsyeen unrestr¢¢ted and restricted funds BetrRen endowment and restricted fund8 Between endowThenl and unre8tn'Gled lund8 27.4 Designated funds This year Planned use Purpose of the deslgnation Arn{￿nt Last ￿ar Planned use Purpose of ts dosignation Amounl CC17a IEx¢el) 07108r2Q25

Section C Notes to the accounts cont Note 26 Trans¥c￿on$ wllh tr1151ee$ and related partie$ has transaction5 rel•iedparttes (glherth3n tho Ir¢r4tEe oxpenseÉ Èxp13inedin9ttxtsn¢e note5J deralls ofsuch Ir&n5aCtlons shouldbepmvldedln rhls If thereare no tr￿satI￿an$ ro repo￿ p&se enterYruÈ" I theljox Dr"False"if 111￿￿1fetr?n$#cIIo￿s IQ IFOrt 2B.1 Trust@e remuneration arKI tyeneffts Th•5 year Non#of Ihvtru5tee5 hive been pald any rqrnuneration or rece1￿ any olhAr b•nellls Irom an employmlntwilh thelr charfty w 4 r•lat•d entitylTrueor Falsel TRUE ltt lh• pwiodthe C￿rity￿s rru818es remupwallon inefft& Ple88egfve the amouniof, •ndleg•lwthortyfor, any ￿￿￿er•I10n orothwbÈn•fitspaid to a trU81ee by thè eh7tyoraTrylnsiiiuiion orcompqnycoftnected wlth IL Amwnts pald orbenefitvalu• L•gal authorlty leg P•nth TQTAL Nam• ¢rttrustee Ilnciullinl docurn•nt) NOne•1t￿ Irust••s b••n paldwy rtynunoralknn or itt•14•d vothv￿npffts fr4>m an thelrehttltyor ¥ mlaled enWlTru•or F￿58) TRUE L•qal wtknity leg order. gtswrklnu Pen*lu RcduNIMcy YOTAL 4tL4 CC17a{Ex¢dl 47 OTIOe12025

28.2 Twstees. expen5•5 fffthechatlty has trustws oxpan$•s f0rfull1￿Ing Ihetrduiies. d8￿11$ ofsuch transaeihns shouldb•provldedln thls noie. If Ihern are no rransacrion$ to rppof¢ pleaseert¢r YnM"in the box below. Irthere transactions to wgrt plase entw"False". No tn&l•w expenses ha¥È iD¢urred ITrue Of Falsè? TRUE Yyp• ¢)f expenses rÈ1rtknu￿•d Thi5year Last year Tra%1

JbsF5tance Accommodallon Qther Ipl•A%9 sp•¢￿y1.. TOTAL Please pmld• th• nUm1￿01t￿MI••¥ rnlmlyjryed fore)V•ng•S Of wl had expens•s pafid byth eharlty 28.3 Tran8actlonlsl wlth reiate4J pall￿$ Pletseofvé ofanytr•nsact•n vndertthby{oronbeh¥ffofJ the ¢hwtyln whleh •rd•dp•rty I￿$ a m•t•F¥ Iniw¢ Induding wher•lund8 havÈb•¢n hddas •gontfwmlt•dp•rnios. ff tI￿e￿￿ tr•nMCd0￿. pk•J• •ntw This year Th•reh￿ been no rlat•d parfytransadions In t￿ reporting wrlod orF4l¥el TRVE NaMeOftt￿tNsle• or r•l•i•d wty Descr1￿¢￿ of lh• trnn50Ctlon(g1 8aknnce at Pmlston for b•J d•bts at p•rlc41 •nd vffliten oir dwing reporfing toch Amnurt 0f8nywytt￿lt(CLVISthi￿j t• b•piDv4lwdin ec17a(Exc*i 071D

Independent examiner's report on the accounts

Section A Independent Examiner’s Report

Report to the trustees/ Charity Name The Gavins Foundation members of On accounts for the year 31[st] December 2024 Charity no 1169665 ended (if any) Set out on pages 1-2 I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 31[st] December 2024.

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

I have completed my examination. I confirm that no material matters have Independent examiner's come to my attention in connection with the examination which gives me statement cause to believe that in, any material respect:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached.

|Signed:||Date:
28/10/2025
~~|~~|Date:
28/10/2025
~~|~~| |---|---|---|---| |Name:|Julie Robinson||| ||||| |Relevant professional
qualification(s) or body
(if any):|CGMA, ACMA, MAAT,||| ||||| |Address:|Footprints Accountancy Ltd||| ||24 Napier Court, Gander Lane||| ||Chesterfield, S43 4PZ|||

Section B Disclosure

Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners).

Give here brief details of any items that the examiner wishes to disclose