REGISTERED CHARITY NUMBER: 1172474
RepoRT OF THE TRUSTEES AND
FIPIANCIAL STATEMENTS FOR THE YEAR EIIDEO
31 OECEMBER 2025
FOR
THÉ WORSHIPFUL COMPANY OF HACKNEY CARRIAGE DRIVERS CHARITY
(• C￿lI1¥ble Incorpor•ted Oryanls*lonl

THE WORSHIPFUL COMPANY OF IIACKPIEY CARRIAGE DRIVERS CHARirrf
CONTENTS OF THE FINANCIAL sfATEMENTS
FOR THE YEAII ENDED 31 DECEMBER 2025
Page
Report of the TnJstees
3to8
Independent Examlnerfs Report
ststement of Flnanclal Actlvltles
Balance Sheet
li
Notes to the Fln•nclal Statements
12to19

THE WORSHIPFUL COMPA14Y OF HACXNEY CARRIAGE DRIVERS CHARtTY
REIY)RTOF THE TRusfE£S
FOR TH£ YEAR ENDED 31 DECEMBER 2025
The Trustees present thelr report with the financial Statements of the Charlty for the year ended 31 De￿rnber 2025.
The Trustees have adopted the provlsions of Accounting and Reportin8 by Charities: Statement of Recommended
Practice appllcable to charities preparing their accounts in accordance with the Financial Reportin8 Standard appllcable
in the UK and Republic of Ireland (Ffls 1021 (effective l January 20191.
OBJEcfivES AND ACTIVITIES
ObJe¢tl¥es and alms
Pur
ose5 an
The Worshipful Company of Hackney Carriage Drl¥ers Charlty, oblectlves and alms can be summarlsed 35 follow5.
To admlnlster benevolence when appropriate to member5 of the Worshipful Company of Hackney Carrlage
Drivers, ￿ired members. and widows or widowers of members.
To or8anb5e a Magical Taxi trip for the benefit of children with Ilfe thre3tenSng diseases to D15neyland. Parls
In a convoy of taX15, whlth trlpls to be self-fvnding by donations or sponsorship as far as is practical.
To support the charltable work of the Wofshlpful Company ot Hackney Carrla8e Drlvers, tts affillated
schools and mllltary units.
To make 8rants, awards and donatlons to any ¢harlty Includin$ the nomlnated charlty of the Lord Mayor of
the City of London.
To sUPPOrt other Hackney Carrfa8e Trade Chartt￿5 to our best endeavours.
T work deliver5
We revlew our aims, oblective5 and octlvities each year. Thls r￿eW look5 at what we achleved and the outcomes of
our work In the prevlous 12 months. The revlew looks at the success of each key actlvlty and the benefft5 they have
brought to those groups of people we are set up to help. The review also help5 US to ensure that our alm. oblectlves
and actSvStle5 remalned foeused on our stated purposes.
We have referred to the guldance contained in the Charlty Commlsslon's general iuldarlce on publlc benefit when
revlewin8 our alrns and objectives and in planningour fvture activities. In particular, theTrustees consider how planned
actlvltle5 will contributt to the alms and objectives they have seL
The focus of the Chartty's work contlnue5 primarlly to be the or8anisatlon of an annual Ma8lcal Taxi Tour for Chlldren.
The Charity was able to or8an15e a SUC￿Ssful 29, Ma8Kal Taxi Tour for Chihlren In 2025.
The Trustees have paid due regard to 8uldance Issued bythe Charlty Commlsslon in deckllng what artlvitle5 the Charlty
should undertake.

THE WORSHIPFULCOMPANY OF HACKNEY CARRIAGE DRIVEILS CHARtTY
REPORT OF THE TRUSTEE5
FOR THE YEAR ENDED 31 DECEMBER 2025
STRATEGIC REPORT
Achlevement and perforniant•
Churitoble octivities
How our artivltles delbver
In setting our oblectfves and planning our arttvities the Trustee5 have glven careful ¢onsideration to the Chadty
Commlsslon'5 general Buidarbce on publSc benefiL indudin8 the guidance on public beneflt and fee char8ln8.
Our maln activities and who we try to help our described below. The Charity's artivities contlnue to focu5 on our ability
to provbde support to charltable acti¥itie5 undertaken with the Worshipful Company of Hackney Carrlage Drlvers.
Them
l Taxi Tour f
The ¥nnual Ma8ical Taxi TOUT for Chlldren nomalty takes place In September each year. The complexity of thls event
and the fund ralslng to finance it requlres lon8term advanced plannln8 over many n￿nths.
r tharita
The Charlty Is proud of the support that It provkles to other Cab Trade Charltles, The Clty of London and our afflllatlons
wlth the 2tth Tfan5PQrt Squadron Royal Logistic5 Corps. the Royal Naval Sthool of Fll8ht Deck Operations. $04 Squadron
Royal Auxlllary Alr Force and the Royal Docks Community khool.
The Trusteeswi5h to record thelrappreclatlon to all of the many supporters of thecharfty and especlallyto the members
of the Worshlpful Company of Hackney Carrlage Divers Ilvery company for their contlnuing hard work and dedlcailon
to our purposes and we look forward with confidence to contlnuln8 our work in the future.

THE WORSHIPFULCOMPANY OF HACKNEY CARRIAGE DRIVERS CHARtTY
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2025
STRATEGIC REPORT
Flnanclal revlew
Flnoncial p051tion
The Statement of Financlal Art￿￿leS show5 total income fof the year ended 31 December 2025 of £505.19112024 -
£575,224) and total expenditure of £454,94212024- £447,364) thereby Increaslng by £50,24912024- lftcreoslno bv
£127,860) the Charity'5 total funds as at 31 OecembÈr 2025.
There were unfeallseil losses on Investments as at 31 December 2025 of £4.169 (2024- unreollsed goln5 of £1.9031.
There has been a net cash Inflow durin8 the year ended 31 December 2025 of £48,625 {2Q24- net cash Inflow totolllnq
£127,210) and at the year end the Charity had £588.91412024- £540.2891 of cash balances Iln¢ludlng term dep051tsl
available to meet its day-to4ay operational requirements.
The total funds retalned In the balance sheet as at 31 December 2025 amounted to £660.90511024- £614,825).
ReseThes polky
The activities ol the Charlty. particularty the MagSc31 Taxl Tour for Children, requlre advance plannlng over Several years
whlch create $18nlficant contingent financial liabillties for future ¢osts.
The reserves pollcy of the Charlty 55 to malntaln sufflclent liquid reserves, in elther restrlrted or unrestrfcted fvnds, at
level which equates to between and three years of tot81 experbditure in a normal year.
Golng concern
No rnatters have come to the attentlon (rf theTru5tees which mi8ht suggest thatthe Ch•rlty wlll not be able to malntaln
Its current artSvltle5 for the toreseeable fvture. The Trustees have, therefore. consldered that ￿ Is approprlate for the
financlal statements to be prepared on the 8obng corKern basts.
Future pl•ns
Plans are well advanced for the 2026 trlp to Dlsneyland Parl
The Charlty ¢ontlnues to SUPPOrt indlvidual London Taxl Drlvers whose are sufferln8 flnanclally and to be avallable to
organlse and particlpate in other forms of support to the City of London.
STRucfuiiE, GOVERNANCE AND MANAGEMENT
Governlni do¢um•nt
The Worshipful Company of Hackney Carrlage t￿l¥erS Charlty Is a Cha￿table Incorporated Or8anlsation Ireglstered
number 11724741.
The Charlty is 8overned by a trust deed dated 27th August 19%. a variatlon deed dated 1° February 1999, and a fvrther
variation deed dated 20 December 2OJ7. The Charity converted into a Charitable Incorporated Orgat)isation 7,
April 2017 ha¥in8 adopted a new constftutlon on 8" December 2016.
The Charity Is Independentty Bovemed by 11$ Trustees throu8h the Board of Trustee5 who are Members of The
Worshlpful Company of Hackney Carrlage Drivers, which ts a Cfty of London Ilvery companv.

TrIE WORSHIPFUL COMPANY OF HACK14EY CARRIAGE ORIVER5 QIARriY
REPORT OF THE TRusfEES
FOR THE YEAR ENDEO 31 DECEMBER 2025
srRucfuftE, GOVERNANCE ANO MANAGEMENr
Govemln8 document {contlnuedl
All Trustees of the Charity are Members ot the CharSty and there are rbo other Trustees or Members.
No Trustee or Member has any beneficial interest in the Charlty. Twstees and Members not requlred to contflbute to
Its assets In the event of the Charity bein8 woynd up.
Recrultment •nd appo5ntmert of new trustees
The Court of theworshipful Company of Hackney Carria8e Orlversappointsthe Trustee5who are adrnitted as Members.
As set out Inthe Charfty's Constltutlon one-third of the Trustees shall retire and seek re*lection at every Annual General
Meeting. Each Trustee may serve for renewable terms of three years up to a moxlmum of 12 years, service in total.
A Member shall ￿ase to be a Member lrnmedlatety that they cease io be a Trustee of the Charlty for any reason.
All Trustees 8lve their tlme voluntarlty and recelve no benefbts from the Charlty. Any expenses reclalmed from the
CharSty are set out In the notes to the financSal ststements.
Ory*nls•tlonal structure
The Charity Is OT8anlsed so that Its Board ofTrustees meet regularly to mana8e its affalrs and formulate pollry.
Two Trustees are appolnted by the Board of Trvstees to be responslble for the day-to-day runnin8 and flr*ancial
management of the Charlty. The Honorary Treasurer 15 responslble forthe preparatlon of the annual accounts.
Durln8 the year ended 31 December 2025 the Charlty ha5 ¢ontlnued to adhere to the Charity Governance Code for
Smaller Charltle5 usln8 the Code's seven key prlndples as a tool to support the continuous Improvement of good
8overnance.
Indu¢tlon and tralnlni ol new trusttts
New Tfustèes undergo an indurtion meetinRto brlefthem on legal obliytlons under ¢harlty law, Ihe Charlty'5 de¢lslon-
maklnB processes and the recent flnancial performance of the Charity. Trustees are encouraged to attend appropriate
external tralnlng events wttere these wlll facilitate the Unde￿andIn6 of thelr ro￿.
K•y m•naym•nt f•muner•tlon
In the Tru5tees' oplnion, the key mana8ement personnel of the Chaffty responsible for the dlrettlon. control, running
and operatlon of the Charity on a day-to4ay ba515 conslsts of the eoard of Tnjstees.
mana
em
nt
er
nn
All Trustees gi¥e of their time free￿ and no tnJstee recehTed remuneratlon durin8 the year.
Detolls of Trustees, expenses and related party transactlonsare dlxlosed in notes 17 and 18 to the financlal statements.
Rlsk manag•meht
The Trustees have a duty to Identify and r￿eW the rlsks to whlch the Charity is exposed and to ensure approprlate
controls are in place to provide reasonable assurance against fraud and error.
The Trustees have examlned the major strateglc. business and operational ri5k5 that the CharRy faces and confirm that
systems have been established to enable regular report5 to be Produced so that necessary steps can be taken to lessen
these rlsks.

THE WORSHIPFUL COMPANY OF IIACKNEY CARRIAGE DRIVERS CHARrrY
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 310ECEMBER 2025
REFERENCE AND ADMINISTrATIVE OETAILS
Re8lst¢red Ch•fSty numb¢r
1172474
ReOMered office
PO Box 2113
Chigwell
Essex
IG7 6BO
Truste•s
Mlchael Davles
Phllllp Davis MBE
Peter lohansen MBE FCA
Lelgh Dar8en
Danlel Heath
Sllverlo Ollvelra
Wendy Sorrell
Mary Whltworth
Steven Wrl8ht
Chair
Secretary
Honorary Treasurer
{appolnted 13 February 20261
Indopthd•nt t￿MIn*r
Andrew Hall
Chartered Management Accountant
Chalfont Accountlng Servlces Limited
12 The Grove
Latimer, Chesham
Bucklnghamshlre
HPS IUE
Banke
Nat West Bank PLC
city of London Branch
Prln¢es Street
London
EC2A 8BP
Bartlays Bank PLC
Bedford Row Branch
Lelcester
Leicestershire
LE87 288
United Tnjst Bank Ltd
l Ropemaker Street
London
EC2Y 9AW
Cambrldge & Countie5 Bank Ltd
Charnwood Court
58 New Walk
Leicester
LEI 6TE
Hampshlre TfU5t Bank
55 81shopsgate
London
EC2N 3AS
Aldennore Bank PLC
Apex Plaza
Forbury Road
Readbng
RGI IAX
Bimiin8ham Bank
Mirtorles Arude
35 Bull Street Lewls
Birmingham
84 6AF
Charter Savings Bank Ltd
PO Box 855
Wallsend
Newcastle-upon-Tyne
NE28 5BL
Redwood Bank
101 The Nexus Building Broadwav
Letchworth Garden Clty
SG6 3TA
CCLA Investment
Senator House
85 Queen Wictoria Street
London
EV4V 4ET
Nagstone Group Limited
Uareville House
26-27 Oxendon Street
London
SWIY 4EL

THE WORSHIPFUL COMPANY OF HACKNEY CARRIAGE DRIVERS CHARtTY
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2025
STATEMENT OF TRU5fEES RESPONSIBIUTIE5
The Trustees (who afe also Members of The Worshipful Company of Hatkney Carriage Drivers Charity? are responsible
for preparing the Report of the Trustees and the fbnancial statements in accordance with applicable law and United
Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practicel, including Financial Reporting
Standard 102"The Flnancial Reporting Standord applicable in the UK and Republic of Ireland"
CharSty law requires the Trustees to prepare financial statements for each financial year which 8ive a true and fair view
of the state of aflairs of the Charitable Company and of the incorning fesources and application of resource5, srscludSng
the income and expenditure, of the Charitsble Company for that period. In preparing those financial staiements, the
Trustees are required to:
sele¢t sultable a¢counting policies and then apptythem consIstent￿-
ob5er¥e the methods and principles in the Charity SORP..
make judgements and estimates that are reasonable and prudent..
state whether applicable accounting standards have been followed, 5ubhect to any material departures dlsclosed
and explainèd in the financial statements;
prepare the financial statèments on the goln8 concern basls unle55 it Is inapproprlate to presume that the
Charitable Comp8ny w511 corttinue in business.
The Trustees are responsible for keepln8 proper accounting records which disclose with reasonable a¢curacy at any
tlme the financial position of the Chafitable Corn￿￿¥. They are a150 responsible for saleguardin8 the assets of the
Charltable Company and hence lor takirb8 reasonable steps for the prevention and dettctlon of fraud and other
irregularltles.
In so far as the Trusiees are aware..
there Is no relevant Information of whlch the Charitable Company's Independent Examiner Is unawore- and
the Trustees have taken all steps that they ought to have taken to make themselves aware of any relevant
Information 3nd to establish that the Independent Examiner bs aware of that Informatlon.
Ind¢pendent Examlner
The Independent Examlner. Andrew Hall. will be proposed for re-appointment by the Board of Trustees at thelr next
meetlng.
This report ha5 been prepared in accordan￿ wfth the provisions of the requirements of the Charftles SORP IFRS 1021
lor smaller charltles.
The Re
2026
of the Trustees, incorporating a strategic rèport, was approved by order of the 8oard of Trustees. on l June
ned on the Board's behalf by..
nds
trl L¢/
Michael Davies- Trustee

INDEPENDENT EXAMIMERS'S REPORT TO THE TRUSTEES OF
THE WORSHIPFUL COMPANY OF HACKNEY CARRIAGE DRNEIS CHARITY
(REGISTERED NUMBER: 11724741
Responslbllltles and ba515 of report
I report to the Trustees of The Worshlpful Company of Hackney Carriage Drlvers Chartty Ithe'Tru5t'l on my examination
of the accounts for the year ended 31 December 2025 which compflse the Statement of Financlal Artivitie5, the 8alance
Sheet, and note5 to the financial ststements. Includin8 a summary of slgnificant a¢countin8 policies as set out on pages
12 to 14.
As the Charl￿5 trustees, you are responslble for the preparation of the accounts in accordance with the requlrements
of the Charltles Act 2011 lryhe Acfl and you conslder that the audit Tequlrements of Part 8, Chapter 3 of the Aci does
not apply.
I report In re5pe¢t of my examination of the Trusts accounts carried out under 5ectlon 145 of the 2011 Act and In
¢arryin8 Out my examln*Son, I havefollowed alltheappll￿b1e Dlrectlonsgiven bythe Charttycommlsslon under 5ectlon
1451511bl of the Art.
Independent Examlnerfs sMem•nt
I have completed my examination. I conflrm that no mater5al marters have come to my attentlon In connectlon wlth
the *xamlnation whlch Bives me cause to believe that In •ny material respert..
the accountin8 records were not kept in accordance with sectlon 130 of the Chadtles Act.. or
the accounts did not accord w￿h the accountln8 records; or
the accounts dld not comply wlth the appll¢able requlrements concernlng the form and content ol a¢counts
set out In the Charltles IAc¢ounts and Reports) Regulation 2(M)8 other tharb any requlrement that the accounts
Ive a 'true and falrf vlew whl¢h Is 3 matter consldered as part of an independent examlnatlon.
I have no concerns and have come acro￿ no other matters In connection with the examination to whlth attentlon
should be drawn In thls report in order to enable a proper understanding of the accounts to be reached.
Andrew Hall
Chartered Management Accountant
Chalfont AccountSng Serylces Llmlted
IZ The Grove
Latlmer, Chesham
Buckinghamshlre HPS IUE
I lune 2026

THE WORSHIPFULCOMPANY OF HACKNEY CARRIAGE ORIVERS CtrIARirY
srATEMENT OF FINANCIAL AcnviTIES
{INCORKIRATING AN INCOME AND EXPENI)ITURE Accouim
FOR THE YEAR ENDED 31 OECEMBER 2025
2025
Unrertrkt•d R•strkQed Total funds
neral funds Dkney lund
2024
Total funds
IMCOMING RESOURCES
Income from..
Donatlons and le8acies
Other tradlng activitles
Investment Income
Tot*1 In¢offlI￿ r•sources
537.683
15,939
21,602
575.224
16.201
15.482
491,743
21A21
23.290
505,191
RESOURCES EXPENDED
Expendlture on:
Ralslng funds
Charltable actlvltles
Supporr and 8overnance Costs
Total r•sources •xwd•d
19.325
409,580
19A124
447.937
21.945
413.585
19,412
454,942
21,799
404,932
20,633
447,364
3,997
NÉT IEXENOITUREIIINCOME BEFORE
INVESTMENf ILOSSESIIfjAINS
Net110s5esllgaSn5 on investments
IIET IEXPENDITUREIIINCOME
50349
4,169
127,860
1,903
129,763
4,1691
2374
43006
OTHER RECOGN15ED GAIN¥{LOSSES)
NET MOVEMENT IN FUNDS
l274
129,763
RECONCIUATION OF FUt40S
Total fund5 brou8ht forward l January 2025
Total funds carrfd lorward 31 December 2025
175.555
177*29
439370
483.076
614825
660.905
485.062
614.825
io

THE WORSHIPFUL COMPANY OF HACKNEY (ARRIAGE DRIVERS CHARITY
{REGISTERED NUMBER.. 11724741
8ALANCE SHE
AT 31 DECEMBER 2025
2025
Tot•1 funds
2024
Total funds
Unre#rlctod
ral funds
Restrkted
Dhney fvnd
FIXED ASSETS
Herita8e assets
Investments
Total Flxed Ass•ts
11.369
108,627
119.9%
11.369
108,627
119.996
11,369
112,796
124,165
CURRENT ASSETS
Stocks
Debtors
Investments
Cash at bank and In hand
Total Current Assets
io
li
12
13
i.¢xJo
1,850
430,167
50.434
483.451
1.850
521.058
67￿56
591,764
90,891
17.422
108,313
357,051
183,238
541,289
CREDITORS:
amounts falllng due wlthln orte year
14
375
855
629
NET CURRENT ASSETS
lo7￿>3
483.076
590.91)9
540,660
TOTAL ASSETS LESS CURIIENT UA8IUTIES
227JZ9
483.076
710,905
664,825
CREDITORS:
amounts falling due after one year
Is
so,Tr)o
TOTAL NEf ASSETS
177.829
483.076
660.905
614,825
FUNDS OF THE CHARITY
Unrestrirted general fund
Restricted Disney Fund
TOTAL FUNDS
177,829
179.679
481,226
660.905
175,555
439.270
614.825
483.076
483.076
177.829
These financial statements have been prepared In accordan¢e with the provlslons applicable to chariiable companie5
subject to the smaller companies. regime.
l statements were approved by the Board of Trustee5 on l June 2026 and were signed on Its behalf by..
The
nanc
Michael Davies- Trustee
Pet
lohzrtsen
E FCA- Trustee
li

THE WORSHIPFUL COMPANY OF HACXNEY CARRIAGE DRIVERS CHAR[
P40TES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
ACCOUNTIP4G pouaES
BASIS OF PREPARING THE FINANCIAL ￿ATEmENTs
General Informatlon
The WorshSpful Company of Hackney Carriage Orivers Chartty is a charity Incorporated in England and Wales
(Registered Chafrty Number 11724741. The address of the CharitWs registered office is PO Box 2113, Chi8well,
Essex, IG7 6BP.
Accountlng conventloft
The financi¥l staiements of the Charlty, whlch is a public benefft entlty under FRS 102, have been prepared In
acco¥dance wlth the CharltSes SORP IFRS 1021 'Atcountin8 and Reporting by Charities.. Statement of
Recommended Practice applScable to chafltles prepadng their accounts in a¢cordance with the Financiol
Reportlng Standard applicablè in the United Klngdom and Republlc of Ireland IFRS 1021 leffettlve l January
20191. Flnanclal Reportln8 Standarfl 102 'The Financial Reportln8 Standard appllcable in the UK and Republlc
of Irel8nd". the Companles Act 2CI)6 and the Charities Act 2011.
The flnan¢bal statements have been prepared using the hi5torlc cost Conyentlon and are presented In sterlln&
whlch Is the functlonal currency of the Charity. rounded to the nearest £1.
The significant accountln8 policies applSed In the preparatlon of these ffinan¢lal statements are Set out below.
These policies have been Consistent￿ applled to all year5 presented Unl￿ oth•rwlse stated.
CHARITY STATUS
The Charlty is a Chafftable Incorporated Organisation. The Members of the Charfty are the Trustees named In
the Report of the Trustees. In the event of the Charlty being wound up the Member5 have no Ilablllty to
contrlbute to Its assets and no personal responslblllty for 5ettlin81ts debts and liabilltles.
GOING CONCERN
The financial statemÈnts have been prepared on a golrb8 ¢oncem basls as the Trustees belleve that no materlal
untertalntles exlst. The TN5tees have ¢onsldered the level of tunds held and the experted level of Income and
expendlture lor 12 months from authorlsln8 these financlal st3tement5. The expetted level of Income and
expendfture15 5uffl¢lent wlth the level of re5efves lor the cl￿rIty to be able to continue as a 80in8 concern.
INCOME
All Income is reco8ni5ed in the Statement ot Fln3ndal Artivitles once the Charlty has entltlement to the funds,
Is probable thai the income will be received, arhd the amount can be measured reliab￿.
For donations to be recognlsed the Charfty wlll have been notrfled of the amounts and the settlement date In
writln8. If there are condttions atts¢hed to the donatlon and this requires a level of performance before
entltlement can be obtalned then income Is deferred until those conditions are fully met or the fulfilment of
those corKlltlons15 wlthln the tt)ntrol of the CharÈty and It Is prob4ble that they will be fulfilled.
Investment income is earned through holdlng assets such as cash on deposit or Investments In short term bonds
and other Similar investments. It Includes Interest receivable. Inte￿$t income is reco8nlsed usln8 the effective
Interest rate method and Is recognised as the Charity's ri8ht to recer¥e payment is established.
12

THE WORSHIPFUL COMPANY OF HACKNEY CARRIAGE DRIVERS CHARITY
MOTES TO THE FINANCIAL STAYEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
ACCOUNTING pouaES. corbtlnu
EXPENDITVRE
All expenditure is accounted for on an a¢cruals basis and has been classified under headlngs that a88regate all
costs related an activity of the Charity. Expenditure is recognised Whe￿ there is a legal or ¢onstructive obligatlon
to make payments to thlrd partles, 1115 probable that the settlement will be required and the amount of the
obli8atiort can be measured reliabty.
It Is categorlsed under the followin8 headlngs.
Ralsln8 funds
Expenditure on charitsble activities
Support and governance cost.
Support costs are those that asslst with the work of the Charfty butdo not dlrertly opresent charltable actlvltles
and Include office, governance and other admlnlstrative costs.
TANGIBLE FIXED ASSETS
Tan8ible fixed a55ets are stated at ¢ost less depreciation or In cases where fi¥ed assets have been donated at
Valuatlon at the tlme of acquisition.
Depreclatlon has been pro¥lded on tan8ible fixed assets at annual rates calculated to wrlte off the cost. less the
estlmated fesldual value. of each asset over Irs estlmated useful life at the folbwlng rates.
Office equlpment and cornputers
- 20% on cost
DepreclatSon on tan8lbie fixed assets ts charged in the year of acqulsftlon and subsequent years.
The galn or loss arisin8 on the disposal of an asset is detemiined as the dlfferen¢e betrleen the Sale proceeds
and the carryln8 value ol the asset and is recognised in net Incomel lexpenditurel for the year.
HERITAGE ASSErs
Herltage assets comprlse sifvep*are presented to affillated organisations or annual awards whlch are stated at
h15todc cost and are not depreciated betsuse they maintaln thelr value Indefinltely.
TAXATION
The Chafity Is exempt from cofporatlon tax on Its charitable activltles.
CASH AMD CASH EQUWALENTS
Cash and cash equlvalents Include cash in hand arKI deposlts held at call with banks, short term l)onds and
investrnents.
OPERATING LWES
There are no operatlng leases.
EMPLOYÉE BENEFtrs
The Chartty does not have any employees. ￿1 artlvlties are or8anised bythe Trustees orvolunteers.
13

ThE WORSHIPFUL COMPANY OF HACKNEY CARRIAGE DRIVER5 CHARITY
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
ACCOUNTING pouaES. ￿rtInUed
FUPID ACCOUNT1146
General funds are unre5trirted funds which are avallabie for use atthe dlscretlon of the Trustees In furtherance
of the general oblertlves of the Charity and which have not been desigrwted for other purposes.
Restricted funds are funds which are to be used In accordance with 5pe¢ific restrictions imposed by donors or
which have been raised bythe Charity for particular purposes. The costs of raising and admlnisterln8 such funds
are charged agalnst the speclfic fund. The Disney Restricted Fund is retained specifically for the annual Maqlcal
Taxl Tour for Children to Dlsneyland Parls.
FINANOAL INSTRUMENTS
The CharSty only ha5 financlal a55ets and financlal IlabSlltle5 of a klnd that quallfy as baslc ffinanclal Instruments.
Baslc flnanclal Instruments are 1nttlal￿ recoontsed attransxtion value arrfl subsequentlymeasured at amortlsed
cost.
CRMCAL ACCOUNTING ESTIMATES ANO JUDGEMENIS
In the appllcation of the Charlty's accounting polldes, the Trnstees are requlred to make ludgements, estlmate5
and assumptlon3 about the carrylng amount of assets aThl Ilabilltles that are not readlly apparent from other
sources.
The estlmates and underlylng assumptlons are reviewed on an on8oln8 basls. Rev151ons to accountlng estlmates
are Tecognised in the perlod In whlch the estlmatels revised where the revision affects only that period or In the
perlod of the revlslon and future perlods where the revlslon affects both Current and fvture perlods.
DONATIOIIS AND LEGACIES
2025
Unrestrlrted
Restrkt¢d Totsl funds
neral funds 0191￿ fvnd
2024
Total fvnds
tk>natlons and 8lfts
Donated goods, facllltle5 and sefvlces
260060
260mO
337,6B3
zoo,wo
537.683
The Charrty in Indebted to the many volunteers and or8anisations that sponsor and support tts charltable
activitles. particularfy the Magical Taxl Tour for Children. Wtthout the Involvement of over 100 London black cab
drivers, the many dortors and nurses of the NHS, London Ambulance Service, the Clty of London Police. the
French Guarde Nationale, the Automobile Association. P&0 FÈthes, the Marriott Hotel Group. all those Livery
Companles ar￿ other organisations or in(l￿d￿al5 who sporwir a taxi. the Ma￿taL Taxi Tour would not be
possible.
14

THE WORSHIPFULCOMPANY OF HACKNEY CARRIAGE DRIVERS CHAR￿1
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDEO 31 DECEMBER 2025
IIICOME FROM OThER TRADING ACllVITIE5
2024
Total fvnds
Unrestrkted Restrkled Totsl funds
ner•1 funds Dlsney fund
Christmas Ball
Past Masters. lunch
104 aub draw
16201
16301
10.3S4
85
5,500
16201
I1￿1
15,939
IIIVESTMENT INCOME
2024
Unres1rf￿ ftestrlrted Total funds Total funds
n¢rnl funds Olsney lund
Bank deposlt IrbCOme
Nat West Bank
175
L918
2,093
2,532
Investment Income
CCLA Charitles
Investment Fund
Term Deposlts
3,642
17.555
3,567
15,503
13J64
15882
23,290
21.602
EXPENDrruRE ON RAISING FUNDS
2025
Totsl fund$
2024
Total fvnds
UDrestrlcted
Reslrl¢ted
neral fvnds Dlsney fund
ChTlstmas Ball
104 Oraw
Corporate hospitslity and dinners
70
14170
12.559
1,970
7,270
4hS5
5.635
19325
21.945
21,799

THE WORSHIPFUL COMPANY OF HACKNEY CARRIAGE ORIVERS CHAR(TY
NOTESTO THE FINANCIAL STATEMEPITS
FOR THE YEAR ENDED ai DECEMBER 2025
EXPENDITURE ON CHARITABLE AcnvmES
2025
2024
unfestrf￿ Reslrlrted Total funds Total funds
8enernl funds Dlsney lund
Magical Taxl Tour of Childre
Awards
Other grants and donatlons
409J30
409￿30
750
YA05
398,940
1,037
4,955
750
3247
413,585
404,932
SUPPORT AND GOVERNANCE com
2025
unrestr￿ 11•51rlrted Tot￿ funds
n*r•l fvnds Olsney lund
2024
Total lunds
Prlnting and statlmary
Telephones
Advertising
Posta8e and adminlstration
Computer costs
Meetln85 and ssjbslstence
Insurance
Stora8e rental
Bank Charges
Independent Examiners fees
655
655
494
J50
437
1.205
J,016
6,302
5,150
953
750
354
337
1,070
673
3,017
1,423
7,154
5,124
956
525
350
424
3,016
6302
953
375
375
19.024
19.412
20,633
16

THE WORSHIPFUL COMPANY OF HACKPIEY CARRIAGE DRIVERS CHAR[
NOTESTO THE FINANCIAL STATEMENT5
FOR THE YEAR ENOED 31 DECEMBER 2025
HERtrAGE ASSETS
2025
2024
Sll¥*r¥Ar•
•nd awards
T4>tal
Total
COST ANO NEf BOOK VALVE
At l January 2025
Ad(Jltlons
11*9
IlJ69
11,369
At 31 December 2025
11369
11369
11,369
Herltage assets COn￿$t of silverware •nd awards whlch are not depreclated because they retaSn their value
Indefinitelv.
INVE5TMENT5
COIF In¢om•
Terni
& Pro￿rtY Depwtts
Unlts
Totsl
CARRYING VALUE
At l January 2025
Addltlons
Interest recelved
Less.. dlsposals
Transfers Inlloutl
Unreallsed Ilosse5118alns
111796
112,796
4.169)
4,169)
At 31 December 2025
IOJ,627
108.617
io.
2025
2024
Magical Taxl Tour Merchandise
Stock con515ts of gifts, clothing and other merthandlse Biven to children and volunteers who particlpate In the
M•glcal Taxi Tour for Children
17

THE WORSHIPFUL COMPANY OF HACKMEY fARRIAGE DRNERS CHARITY
NOTESTO THE FINANCIAL STATEMEP
FOR THE YEAR ENDED 31 DECEMBER 2025
li.
DEBTORS: AMOUNTS FAWNG DUE wmiiN ONE YEAR
2025
2024
Pre-payments
Imso
12.
INVESTMENTS
2025
2024
Term
Total
Total
CARRYING VALUE
At l January 2025
Transfers inllovtl
Additions
Interest recelved
Less.. dlsposa15
357.051
1&3291
357.051
1&3291
Z50,0
17,555
1952191
259,437
12.8891
85,0
15,503
17,555
95,2191
At 31 December 2025
511
511J>58 ￿58
357,051
2025
2024
Nat West Bank
Bardays Bank
67,751
105
183,133
105
67￿56
183,238
aiEDrroRS: AMOUNTS FALUNG DUE wmiiN ONE YEAR
2025
2024
Trade ¢redhors
Accrued expenses
105
750
104
525
855
629

THE WORSHIPFULCOMPANY OF HACKNEY CARRIAGE DRIVERS CHARITY
NOTESTO TME FINANQAL STATEMENTS
FOR THE YEAR ENDEO 310ECEMBER 2025
15.
CREDITORS: AMOUNTS FAWN6 DIIE AFfER ONE YEAR
2025
2024
Loan from the Worshipful Company of Hackw Carriage Drivers
Il¥ery company
50,OLY)
50,C<LI
16.
CONNEcfED ORGAhllSATIOPIS AND RELATED PARn
The Wor5hlpful Company of Hackney Cathage Drlver5 Chaflty Is an Independent charfty and the Trustees a
appointed by The Worshlpful Company of Hockney Drlvers livery company which is considered a related partv
together wlth Its members.
17.
TRusfEES' REMUNERATION AND ￿NEFITs
There were no Trustees, remunerntion, or other beneffts for the year ended 31 December 2025 nor for the year
ended 31 December 2024.
TIIU5TEE5' EXPENSE5
In the year ended 31 December 2025, four trustee5 and flve other related party Indlvldu•l$12024- slx trustees
¢yrtd three other reloted purtiesl were relmbursed a total of £6,48412024 - E9.469) for dlrect expenses Incurred
In respect of the 2025 Magical Taxl Tour for Children.
19.
OPERATING LEASE COMMITMEPlf5
The Charfty has no operating lease commStrnents.
LILnMATE CONTROLUNG PARTY
The Charity Is controlled by the 8oard of Trustees who are appolnted by The Worshlpful Company of Hackney
C3rrla8e Drivers livery ¢ornpany.
19