## **FAIRLIGHT HALL RIDING FOR THE DISABLED** 

# **Trustees’ Annual Report** 

**From** February 1[st] 2024 to January 31[st] 2025 

**Charity name** : Fairlight Hall Riding for the Disabled 

## **Charity registration number** : 1170498 

## **Our Aims and objectives** 

Our charity’s purposes, as set out in the objects contained in the company’s memorandum and articles of association, are to promote the objects of the Riding for the Disabled Association incorporating Carriage Driving, a charity registered under charity number 244108, by providing disabled people in the Hastings and Rother area opportunities to ride thereby benefiting their health and wellbeing. 

Our aims fully reflect the purposes that the charity was set up to further. To ensure our work delivers our aims we review these aims, objectives and activities each year. This review looks at what we achieved and the outcomes of our work in the previous 12 months. We have referred to the guidance contained in the Charity Commission’s general guidance on public benefit when reviewing our aims and objectives and in planning our future activities. The trustees consider that through the delivery of our planned activities and the impact they have on the local community, the charity continues to provide a public benefit. 

## **Activities for achieving objectives** 

In the year 2024/25 we have continued to provide safe, positive, beneficial equine experiences to our participants with physical and mental disabilities of all ages. Until very recently we had two horses and two ponies: we hope to replace the horse we lost in the near future. We operate in the beautiful grounds of Fairlight Hall. 

- We provide the opportunity for our participants to ride our horses and ponies on a weekly basis and offer support and coaching to those who wish to pursue RDA grade tests. 

- We offer horse grooming sessions to those who are not able to ride but who benefit from close contact with equines. 

- We hold “Tea with a Pony” sessions during the summer months to residents of local care homes. 



- We hold social and fund-raising events which involve the community of participants, volunteers, supporters, and their families. 

## **Achievements and Performance** 

During this year: 

- We have increased our weekly participants to 40; 

- We have continued to offer RDA Rider and Horse Care Proficiency badge work; 

- We have recruited more volunteers, bringing the total to 33 including 4 RDA trained coaches; 

- We held our annual summer show, giving our riders an opportunity to participate in dressage and “handy pony” competitions, as well as fund raising activities; 

- We continued our “Sponsor a Horse/Pony” programme which raised £11,000 towards the care of the horses; 

- A fundraising committee continues to operate, comprising trustees and volunteers; 

- We held a successful charity lunch with a raffle which raised over £7,000; 

- We organised a sponsored ride with the generous permission of the owners of Brightling Park which raised the £2,500; 

- Other fund-raising activities included a sponsored walk, and various raffles throughout the year. 

## **Acknowledgements** 

We are especially grateful to Sarah and David Kowitz who allow us to operate within the grounds of Fairlight Hall. We thank our many donors, large and small, for their contributions to our running costs. In particular, we acknowledge the donation of the South East Rural Charitable Trust who funded the purchase of new pony. We are indebted to our many volunteers who give their time and energy to facilitate our activities. 

## **Financial Review** 

As a result of our fund-raising activities, the Charity’s income increased by over 60% compared with the preceding year.  However, expenditure also increased by a similar factor. We currently hold a cash reserve of £10,094  reflecting 6 months running costs. 

## **Trustees** 

S Kowitz 

M Willis Fleming 

R Scott 

J Barford 



S Climpson 

C Freedman 

K Train 

R Richardson 

March 2025 



RCI GISTERKD COMPANY IYUMBER.. 09411343 (EiiglAii(l And Wales)
REI GISTERED CHARITY NUMBER: 1170498
PORT OF THE TRU
TEES AN
UNA
DIT
D FINANCIAL STATEMENT
FOR THE YEAR BN
ED
I JANUARY 2025
FAIR
HALL RIDING FOR THE DISABLED
Cassidys Chartered Accoulitants
Soutl) Stour Otrices
South Stoiir Road
Mersham
Aslfford
Keiit
TN25 7HS

FAIRLIGHT HALL RIDtNG FOR THE DISABLED
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31
ANUARY 2025
Page
Report of the Tnist¢
Indep¢nd¢nt Examinevs Report
Stateiiieiil of Financial Activities
Balance Sheet
Notes to tlie Financial Stateinejils
Detailed Statement of Financial Aclivilies
12 to 13

IGHT HALL IUDING F
R THB DISABLCD
REPORT
F THE 1'RUSTEES
EN
FORT
Y 2023
Tlie truslec8 Ivlio are also dlre¢torg of tlio ¢harliy for th¢ purposes of the Companies Act 2006, preseiit thoii. report iyith
Ilie fiiianoial $laloii)ellls of Ilie GhuTily for Ilie y¢ar ended 31 lanuary 2025. The trust¢es11ov¢ Adopt¢d Ilic provisions of
Accouiitliig find Reportlng by Ch2ritl¢$: Staleiiient of Recoi￿111elld¢d Practlce appllcable to cli?rAlies prviiariI)g tli¢ii
a¢¢ouiils in accordthnce ivith Ili¢ Fiiian¢ial Reporting SlandArd applicablo in the UK &iid Republlc of Irelaiid (12kS 102)
(efFe¢livè l J&iiuary 2019).
013JbC'flVES AND ACTIVITIES
Objoetlves ftiid Rliiis
'riiis frs oli¢ of Ihe Ii¢iY¢3t iiDA groiip$ iii Ihe Soiitli Elst and oiir fftcilities Iiiclude a largo oiitdoor rlding scliool Aiid oasy
acces3 to bYldloiYny811114nslii)gs Coiiiitry Park. The simpl¢ plea5ui¢ of ivorkiiig iyllh liorses is the cornorsloiio of llll
IiDA's A¢livillos, Froin tlinl slllrtlng poliit ov0￿h1ng ¢18e floivs be Iliat freedon) of mov¢me)it. 8thiniJig confideiieo,
bulldliig I'¢latlon811ips. r¢co£viiig Ilf¢-enlinii¢ing i)Iiy8lotl)crapy or Achieving Itidlvldual goals.
Medl¢al professioiials re¢ogiiise Ilint Iliere are S[￿lIfICAnt Ilierapeiilic bei￿rIt$ for Ilio rider. Tli¢ ivfirnitli and tlir¢O
dltlloiisionAI iiiov¢inei)¢ of Ili¢ Iiors¢ Is irttiismitted tliroiigl) Ihe rid¢I8 body) 8rAdiiAlly illaklns It moro rolttx¢d And siii)plq,
8lrei)glh¢iiSiig core $tablllty, r¢dii¢lii8 SPAsm$ Aiid ill)pi'ovlng bnlaii¢o, poslure and co-ordlnation.
Ri(11118 offers oleilleiit of rlsk, ofteii dejiled to Illftny people, especlalty th080 iylio liavo been Affecl¢d by 811 accid¢Jlt or
$¢¥1011s illness olTer$ Ilieiii Ilio cliniic¢ to re8aiii Iiiobllity aiid a seiiso of achi¢Yeiiieiit, Peoplo iyilli cong¢iiltal
disRbllllles dis¢over a Iieiy ff¢edoiii ID niovein¢nt. Thos¢ iyllli progrnssivo diseas¢8 ¢nii r¢lain moblllty and reinaiii a¢live
for10118ei'.
STRUCTURE, GOVERNANCfi AND TrIANAGEMLfN'I'
Govei'J)Iiig do¢iim¢iit
Tlie cliarity Is coiili'olled by it8 governliig docunienl, a de¢d of Irust. and con8lltiites a Iliiilted ¢ompaiiy) limiled by
giiaraiite¢, as defltted by the Coiiipanles Act 2006.
RFFFRENCE AND ADMtNISTRATIVE DEI'AILS
R¢ulstei'ed Coiiipniiy nuinbei.
09411343 (Biiglaiid and Walcs)
Reglstei'ed CJIAI'lty iiuinber
1170498
Reglstei'ed ofll¢¢
Falrllglit Hall
Marlilleau Lai)e
Hastiiigs
East Siissex
TN35 SD
Ti'iistee8
Mrs S Fl Koivilz
Mis M Willis Flemliig
Mis R Scott
Mr6 K 3 Ivyntt (resigned 23.3.24)
Mrs S J Cllmpson
Mrs C M Freedmall
Mrs J Barford
Mrs K Train (Rppoinle(17.6.24)
Mr8 R Ri¢lilrdsoJi (appoint¢d l2.12.24)
Pase I

FAIRLIGHT HALL IUDING F
R THE DISABLED
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 JANUARY 2025
REI FEI RENCE AND ADMINISTRATIVC DETAII
liidependeiit Examlner
Cassidys Cliart¢r¢d Accountants
South Stoiir OffLC¢S
South Slour Road
M¢rsli&m
Ashfoi'd
Kent
TN25 7HS
Appi'oved by order of the board of triist¢es on ..I..ri.Y￿..￿.}S.... and signed on its behalf by:
Mrs M Wlllis Fleming - Trustee
Page 2

INDEPENDENT EXAMINBR'S REPORT TO THE TRUSTEES OF
FAIRLIGHT HALL IUDtN
FOR THE DISABLED
Ind¢p¢ndent exaininer's report to Ihe li'ustees of Fairligknt H811 Riding For Tlie Dlsabled (Ithe Coinpany,)
I report to the ¢harlty trustees on my examination of th¢ a¢eounts of the Cojnpany for the year ended 31 J￿IlIAry 2025.
Responslbllltlu Hnd basis of i'eport
As the cliaritys triistees of the Compaiiy (a)Id also its directors for th¢ piirposes ofcompany laiv) you are responsible for
the preparation of the accoiints in accordan¢e ivitb tlie requirements of the Companies Act 2006 ('Ihe 2006 Act,).
Having satisfied myself that tlie ac¢ounts of the Coinpaiiy are llot r¢quired to be audtled under Part 16 of the 2006 Act
and are eligible for independent examii)ation, I report An r¢spect of ii)y exan)ination of your charitys ft¢¢ounts AS C81'1'ied
out linder Section 145 of the Charities Act 2011 ('tlie 2011 Acv). In carrying out iny examination I have folloiycd th¢
Directions given by tlie Cliarity Coini))issioii und¢i' S¢clion 145(5) (b) of Ilie 201 l Act.
Iiidepeiidejit exaniiiier's stateinent
I have completed my examination. I confirni that no mallers have coine to my attention in connection with tlie
examinaiion giving Ine cause to beli¢ve;
accoiinling Yecords iyere iiot kept iii r¢spe¢l of the Company fts required by Section 386 of tl)e 2006 Act. or
tl)c accouiits do not accoi'd Ivith thos¢ records. or
the Accounts do not comply ivitli the accounting reqiiireineiils of Section 396 of the 2006 Act other thaft any
r¢qiiir¢iiieiit Iliat the accoiinls give a true ftt)d fftir vieiv whicli is not a matter considei'ed fts parl of ali indepei)dent
¢xamination; or
tlie accoiints liave not been prepared in accordance ivilh Ihe methods and principles of Ihe Slalement of
Recoiiiineiided Pra¢li¢e for accoiiiilii)g aiid reporting by charities (applicable to cllarities preparing tli¢ii' accounts
In accordance ivith the Fiiiancial Reporlitig Standard applicable in the UK and Republic of Ireland (FRS 102)),
I have no concerns and have come across no other matters in coNiection with the exan)inalion lo ivhi¢h attention sliould
be draiyn in tliis report in order to enable a proper uiiderslanding of th¢ accouiits to be reached,
IQLJ
Sttiait Whorloiy
Cassidys Cliartered Accountants
Soiitli Stoiir oifices
South sloiir Road
Mersliain
Asliford
Kent
TN25 7HS
Date: .
Page 3

FAIRLIGHT HALL RIDING FOR THE DISABLED
STATEMBNT OF FINANCIAL AcfivITIES
R THE YEAR ENDED
ANUARY 2025
31.1.25
Unrestricted
fund
31.1.24
Total
fiinds
Notes
INCOlVtE AND ENDOWMENTS FROM
Donations and legaci¢s
58,045
34,231
EXPENDITURE ON
Raising fuiids
41,311
26,039
Otlier
6,272
7,238
Total
47,583
33,277
NET INCOME
10.462
954
RFCONCILIATION OF FUNDS
Total funds brought foiivard
10,094
9,140
TOTAL fi UNDS CARRIED FORWARD
20,556
10,094
Tlie notes forni part of these fu￿nCIal statements
Pag¢ 4

FAIRLIGHT HALL RIDING FOR THE DISABLED
BALANCE SHEET
31 JAN
ARY 2025
31.1.25
Uimtricted
nd
31.1.24
Total
funds
Notes
FIXED ASSETS
Tangible ass¢ls
430
645
CURRENT ASSETS
Stocks
Debto
Cash Al bat)k aiid in hand
8,000
2,320
I I,282
3,000
2,734
6,784
21.602
12,518
CREDITORS
Ainounts falling dil¢ ivilliin one year
(1,476)
(3,069)
NETCURRENT ASSETS
20,126
9,449
TOTAL A.SS14TS LESS CURRENT
LIABILITIES
20,556
10,094
NET ASSETS
20,556
10,094
FUNDS
Unrestricted fiinds
10
20,556
10,094
TOTAL FUNDS
20,556
10,094
Tlie chai'itablo coinpany is entitled to exemption from audit uiider Section 477 of the Cotnpanies Act 2006 for the year
ended 31 January 2025.
The Inemb¢rs have not requiird the conipany to obiain an audit of its financial statements for tlie year ended
31 Januaiy 2025111 accordance ivith Section 476 of Ilie Companies Act 2006.
Tli¢ tnistees acknioiyledge their responsibililies for
(a)
eiisuring that tlie charitable company keeps a¢¢ounting records that comply iyitli Se¢lioii$ 386 and 387 of th¢
Companies Act 2006 aiid
(b) preparlng financial stateinents ivl)i¢h give a true ni)d fair vieiv of the slale of affairs of the Charilable conipany as
at tlie end of each financial year and of its surplus or deficit for eacli financial year ID accoi'dance iyitli the
requirein¢iits of Se¢tioiis 394 and 395 and i¥hich olhenvise ¢oinply ivilh tlie r¢quireiii¢nts of the CoinpallAeS Act
2006 relatiiig to financial slaten)enls. so far as applicable to tlie charitable ¢ompany.
Tlie notes fonn part of these fJnaii¢ial statements
Pag¢ 5
Continued...

FAJRLIGHT HALL RIDIN
FOR THE DISABLED
BALANCE SHEEf- con
31 JANUARY 2025
inued
Tliese financlal statements Iiave been prepared in accordance iyith the provislons applicable to charitable companies
siibject to the siiiall ¢ompaiiies r¢gini¢,
Th¢ financial statements iyere approved by the Board of TNstees and authorised foi. issu¢
.7..n.&rf-th..Xra.X3.... and iv¢re siwied on its behalfby:
oji
M Willis Fleming - Trustee
The notes forni part of these f￿ancIal slateinents
Pag¢ 6

FAIRLIGHT HALL RIDING FOR THE DISABLED
NOTES T
THE FINANTCIAL STATEMENTS
FOR THE YEAR E￿￿ED 31 JANUARY 2025
ACCOUNTING POLICIE+ S
Bnsis of prepaJ'lIig the fliiftnclal stAteni¢nts
The flnancial statements of the charitable company, Ivhich is a public b¢nefit entily linder FRS 102, 1)av¢ been
prepared in accoi'dance ivith the Charilies SORP (FRS 102) 'Accoiinling and R¢porting by Charities: Stateinent of
R¢¢omiheiided Practice applicable to chai'ities preparing tlieir accounts iii accordance ivilh the Financial
Repoiting Standard applicable in the UK and Republic of Ireland (FRS 102) (effecliv¢ l Jftniiary 2019),,
Fitian¢ial Repoi'lii)g Slaiidard 102 'Tli¢ Financial Reporting Standard applicable in the UK and R¢public of
Ii'elaEid' aiid tlie Companies Act 2006. The fiilaiicial sta*menls hav¢ been prepared under tlie l)isloi'ical cost
conventlon.
Iiicojne
All incoine is recognised in the Stat¢theni of Finan¢ial Activities oiice the charity ha8 entiilement to Ihe funds, It
is pi'obable Iliat Ihc income ivill be received and the amount can be measured I'¢liably.
EYpen(Iltiii'e
Liabilities are reco￿liSed as expeiiditure as soon as tliere is a leg81 or constructive obligalion committing th¢
cl)arity to that expenditure, it is probable that a transfer of economic benefits ivill be requii'ed in settlemeiit and
tlie amount of tlie obligation can be measiired reliably. Expeiidilure is accounted for on an accruals basis and l)as
b¢en ¢lassified iiiider headings that aggregate all cost related to the category, Where costs cannol be directly
attribiited to particular headings th¢y have been allocated to a¢livities a basis consislent ivith Ilie us¢ of
r¢sour¢¢s.
Tmnglble nxed nssets
Depi'eciatioii is provided at the folloiyiijg annual rates in order to ivrite off each asset over its estimated useful
lif¢.
Shoi't leaseliold
I OVO on cost
Stocks
Stocks are valued at the loiver of cost and net realisable value. after iiiaking due ftllowaiice for obsolete and sloiv
moving items,
Taxatlon
The cliarity is ex¢Anpt froin coiporation tax on its ¢haritable activitles.
Fiiild Accoijiitlng
Unrestt'icled funds can be used in a¢¢ordanc¢ ivith the chartthbl¢ obj¢¢tives at the discretion of the trtistees.
Re$li'i¢ted funds can only be iised for parti¢ular restricted purposes ivithin the objects of the charity. R¢striclions
arise ivhen specifled by the doiior or ivhen funds are raised for particular restricted pijrposes.
irther explanation of the nature and purpose of each fund As included in Ihe notes to the flnancial statements,
Page 7
continued...

FAIRLIGHT HALL RIDING FOR THE DISABLED
NOTES TO THB FINANCIAL STATEMBNTS - coiiliiiiied
FOR THE YEAR ENDED 31 JANUARY 2025
Nfl T INCOMEI(EXPEI NDITURE)
Net iiicome/(expenditure) is stakd after cliargingl(cr¢ditllig):
31.1.25
31.1.24
D¢preciation- oiyned assets
215
215
TRUSTEES, REMUNERATION AND BENEFITS
Tliere ivere no triiste¢s' remuneration or other benefits for the year ended 31 January 2025 nor for the yefti, ended
31 Jajiuary 2024.
Trustees, expellses
Thei'¢ iyere iio trustees, expenses paid for the year ended 31 Jaiiuary 2025 nor for the year elided
31 Janiiary 2024.
STAFF COSTS
Tlie av¢iage tllonthly number of einployees during the year was as folloivs:
31.1.25
31.1.24
Support slatT
No employees irceived emoluments iii excess of £60,000.
COMPARATIVEI S FOR THE STATEMENT OF FINANCIAL AcfiviTIES
Unresti'icted
fiiiid
INCOME AND ENDOWMEI NTS FROM
Doiiations and legacies
34,231
EXPENDITURE ON
Raisiiig fuiids
26,039
Other
7,238
TotAI
33.277
NET INCOME
954
RECONCILIATION OF FUNDS
Total funds bi'ought forivard
9,140
TOTAL FUNDS CARRIED FORWARD
10,094
Page 8
contLiiiied...

FAIRLIGHT HALL RIDING FOR THE DISABLED
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 JANUARY 2025
TANGIBLE FIXfi D ASSETS
Short
leasehold
COST
At l Febniary 2024 and 31 Janiiary 2025
2,154
Dri PRECIATION
At l Febi'uary 2024
Cliai'ge for year
1,509
215
At 31 January 2025
1,724
NET JJOOK VALUE
Al 31 January 2025
430
At 31 Janiiary 2024
645
STOCKS
31.1.25
31.1.24
Stocks
8,000
3,000
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.1.25
31.1.24
Trade debtors
Other debtors
PA¢paym¢nts
18
1,438
864
1,437
1,297
2,320
2,734
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.1.25
31.1.24
Payments on ac¢oiint
A¢¢i'uals and deferred incom¢
1,056
420
3,069
1.476
3,069
Page 9
contI￿￿ed..

FAIRLIGHT HALL RIDING FOR THE DISABLED
NOTES TO THE FINANCIAL STATEMENTS - conttnued
FOR THE YEAR ENDED 31 JANUARY 2025
io.
MOVEMENT IN FUNDS
Net
movement
in fiinds
At
31.1.25
At 1.2.24
Uiire8trlcted fuiids
Gcneral fund
10,094
10,462
20,556
TOTAL FUNDS
10,094
10,462
20,556
Net movemeiit iii funds, incliided in th¢ above are as folloivs:
Ii)¢oming
resources
Resources
exp¢nd¢d
Movejneiit
in funds
Uiircstrlcted Iiinds
Genei'al flind
58,045
(47,583)
10,462
TOTAL FUNDS
58,045
(47,583)
10,462
Conipnratlves for Inoveinent lil fuiids
Net
movemei)t
ii) fLinds
At
31.1.24
At 1.2.23
Uiirestrlcteij fuiids
G¢neral fund
9,140
954
10,094
TOTAL FUNDS
9.140
954
10,094
Comparative net movenient in funds, included in the above are as folloivs:
Incoming
resources
Resoiirces
¢xpended
Movein¢nt
in funds
Uni'estrleted fuiid$
Gen¢ral fiiiid
34,231
(33,277)
954
TOTAL FUNDS
34,23l
(33,277)
954
Page 10
Continued,..

FAIRLIGHT HALL RIDIN
FOR THE DISABLED
NOTES TO THE FINANCIAL STATEMENTS - conthiued
FOR THE YEAR
NDED31
ARY 2025
10.
MOVEMENT IN FUNDS - continued
A current y¢ar 12 mojiths and prior year 12 Inontlis combined position is as follows:
Net
movement
in fund$
At
31.1.25
At 1.2.23
Uni'estricted funds
General fund
9.140
11,416
20,556
TOTAL FUNDS
9,140
11,416
20.556
A ¢ui'i'ent year 12 months and prior year 12 monll)s conibiiied net movemeiil in funds, included in the above ftre
as folloivs:
Incoming
resoiir¢es
R¢sour¢es
expended
Moveinent
in fi]nds
Uiireslrlcted fuiids
General fund
92,276
(80,860)
11,416
TOTAL FUNDS
92,276
(80,860)
11,416
ii.
RELATLI D PARTY DISCLOSURES
There ivere no related party transactions for the year ended 31 January 2025.
Pagell

FAIRLIGHT HALL RIDING r
R THE DISABLED
DETAILED STATEMEN'T OF FINANCIAL Acri
R THE YEAR ENDED 31 JAN
ARY 2025
ITIES
31.1.25
31.1.24
INCOME AND NDOWMENTS
Doiiatlons And legacies
Donations
Riding income
Clothtng sales
Event income
17.966
22,179
58
17,842
14,775
15,795
3,661
58,045
34,231
Total liicomlng i'esoiirces
58,045
34,231
EXPENDITURE
Ralslng donRtIoll5 aiid legacleg
Wages
Siindi'ies
Riding expenses
Evetil ¢xp¢tises
18,909
20
17,909
4,473
l6,797
8,524
718
41,311
26,039
Otlier tradliig aetlvllle4
Opeiiiiig stock
Piirclias¢ of Iiorse
Closliig stock
3,000
5,000
(8,000)
3,000
(3,000)
Otlier
Shoi't leasehold
215
215
Siipport costs
ManAgeiiieiil
T¢leplion¢
Postage aild Stationery
Subscriptions
Eqiiipment repairs
Website costs
Travel
Ti'aining
20
328
1,430
2,049
56
171
1,273
2.552
567
150
4,033
4,563
FlnAnce
Bank chai'ges
608
416
This page does not fonn part of t]1¢ statutory fInanGial stat¢m¢nts
Page 12

FAIRLIGHT HALL RIDtNG FOR THE DISABLED
DETAILED STATEMENT OF FINANCIAL ACTIVJTIES
R THE YEAR ENDED 31 JANUARY 2025
31.1.25
31.1.24
Finajice
Govei'nAnce eosts
Sundries
A¢coiinlancy and legal fees
625
1,419
1,416
1,416
2,044
Total i'esourc¢s expended
47,583
33,277
Net liicome
10,462
954
This page does not form pait of the statutory financial statements
Page 13

INDEPENDENT
FAI
MINER.
RF.PORTTO THE TRUSTEE
G FOR THE DISABLED
Independent e%amlner's report to fhe trustets ofFairlight H811 Ridirlg For The Dlsabled ('fh¢ Co)npany')
I repon to the chariry tr￿Ste¢S on my¢xamination ofthts ac¢wnts of the Compally for th¢ y¢ar¢rthd 31 Jatwary2025.
Responslbllltle$ end basi$ of r¢port
AS the ¢liarity$ frostt¢s ofthe CoTnpany (and also tts diTectoJ3 Ux¢ wtpow of ¢4)mpany laiv) you are responskble for
th¢ pr¢paration of th¢ a¢¢outhts in a¢rordatL¢e ivith the requirements of ihe Comp4]]i¢s Act 2(M)6 (Ihc 2006 Act?.
Having satisfied rllyself Ihal the a¢cowits of th¢ Company required to be audited Ujmler Part 10 of th¢ 2QQ6 A¢t
and are eligibl¢ for ithdeprnd¢nt fxarrLiTration, I rer￿ in r￿pect of iny exaniinaiort of your ¢haTit)es ￿coUnt$ a5 carried
out ¥ttd¢r Seetion 145 of th¢ Charities Act 2011 2011 A¢V). In carrying out ]ny examirtation J have folloived Ihe
Dire¢t10￿ given by the Charity Commission ulld¢r Sertion J45{5}(b) of th¢ 2011 A¢L
Ind¢pendent exaniintr'$ 5t#tem¢nt
I hav¢ completed my examination. I confjrni that no mauus have com¢ to rny att¢thtion in connecthon with th¢
¢xamin81ion 8ivin8 me cause to b¢ls¢Y¢:
accounting records iYer¢ not kept irt r¢spe¢tof the Compony as requird by Sedion 386 of th¢ 2006 A¢t; or
th¢ a¢¢ounts do not accord with those records. or
th¢ &ccounts do not comply with the a¢¢ounting rEqUir￿￿ents of Section 396 of th¢ 2006 A¢t oth¢r than any
requirement thal th¢ a¢¢ounts ￿ve a true and f&ir Yiew which is not a matt¢r considered as part of ail ithdepend¢nt
examination., or
the aeeoiinls have not b¢¢n prepard accordance ivith the methcth 8nd prin¢ipl¢s of ¢h¢ Sla¢¢m¢ttt of
Re¢oiu]n¢nded Pra¢tice for accoutitjlJ8 and reporting by ¢haritj¢5 (applicabl6 to charities pKparing the￿ accounts
in accordallce iyith the Financial Reporting S(andard applicabl¢ in the UK and Republic of Ireland (FRS 1021).
I have no concerns and have come acmss no Mat*￿ in conn¢clion with the ￿aMinatiOn to iYhi¢h 0tl¢ntion should
b¢ drnyn in this r¢port in orderto enable a proper untsSw￿lng of th¢ a￿o￿nts to b¢ rea¢lked.
8tsJart Whorloiv
Cassidyschartered Accourttants
Soiiilj Stoiiroffices
Soyth Siour Road
Mershgjn
Asliford
Kent
TN25 7H8
Page 3