REGISTERED CONIPA%Y NUhlBER: IOJ48624 IEngli#d and Wale51
REGISTERED CHARITY NUMBER: 1172059
Report •fibe Trustres ald
I'M•¥dtsrd FI*•￿1￿1 Slatu•e•ts for tht Year Ended JI Ma￿1 2•24
Ch¢st¢rhlll Ctsrii*blv Tr￿￿ LiThited
Chartered A¢¢witsnts and Busirtess Athi
31 ￿'00d Street
BaTrtI
Hertforthhi
EN5 4BE

Chtsterhill Chxritibie Trwt Limittd
C•nteTrls of the Financial StsterneD15
for tke Year Ended 31 Mirdi 2024
Page
Repttrt of tht Trusle
lndependtnt Ex*￿￿er,5 Rtport
5¢atement of FiA*Ati#l Ae¢ivities
lat￿ Sbeet
Notes to the FinADei*l SiatemeDts
6 10 9
Delailed StateTheTrt •( Fiu4Ncixl ActivlliE5
io

Chesterhill Charit*ble Trust Limlted
Report of the Trnstets
for Ikt Ye4r Emdtd 31 Mlrch 2024
twsiees iih) are also dir¢¢tr>rs of L4tsriTh for the purwses of the Corryanies Aa )006. pre5enr iheir repyr iiirh the
finan¢ial sia¢en*nis of lh¢ chariii for the }ear ended 31 Marth ?0?4. The tru5tee5 hale adopred the provisions of
Accounling and Rcportin8 ￿ Charilies.. Siaiemeni orReCom￿ Pracii¢e applicable to ¢hariiies preparing ih¢ir accounts
in acrordan¢e iiith the FIna￿Tal Reming SiandaTd appli¢aN¢ in the UK and Republic of Ireland IFRS ioil ietT¢¢iike I
Januar) 20191.
OBJEcfivES AND ACTivfTIES
Obje¢tive5 4clivit1¢5
The tharitable tnjst's objeets are-
- The relief of financial hardshi￿ either generdlli. or indii'ilknlli. of dis*thatwed iouD8 peopk lii'ing in the UK or
abroad.
To assim in such iii}s as the tru51¢e5 think fit an) charity or organisation in the UK or abroad ith)se aims iKlude the
advoTK¢m¢nl of duc*ion for pEr50lls ihe age of 25 h knTkjp1￿ their mental. ph15Lcal and moral capabilitie&
To a551$t eiiher 8enerall) or indiiiduajls In the rehabiliiation of loun8 OtT¢Nlus and loung Kwpl¢ litho arr at risk of
offer￿Ing b) such rneans as ¢h¢ trustees ma) ￿'r￿P their sLills. capaciiies and capxbiliiies io enable them TO
participate in so¢ieh as mature reynsible llKlii iduals.
- To womole and woteLX the ph)si¢al ar¥J mental h￿Ilh of Ft¥Jple iiith carKer. den￿ntia or rth)si¢al mentsl
disabiliiies and Iheir families and ¢arm.
The ITUSttts hav¢ paid duc regard ￿ guidance i5AKd b% the comm￿on in de£iding ii'hat acti%iiie$ Ihe ¢horiiable
INst shotsld undertake.
FINANCIAL REVIEW
[￿TIng the p¢riod un(kr r￿.1￿% the chaTilv receii.ed £IOO.(KNJ frorn Chesterhill IMeAments Limited. The Trustees
considered numerous requests from other eharities for fiTwKial SUp￿rt and Tnadc dLThttor￿ totalling £119.679.
STRucfuRE. GOVERNANCE AND MANAGEMEliT
GoverniNE dotument
The charitl is controlld b} itsgt)irrning of aThJ consiiwies a limited wrnpans. limiied bi 8yaraDie¢.
as defifted b) the CrAnpanies Act 2006.
The Charil> LS a ¢ompart% limited b) guaraniee and carrie5 Out i15 aaiviiics in xcordance iiith i15 Memorandum and Articles
of Association. The Board of Trustees are ¢k¢t¢d ai ts Annual C•wal Me¢¢iDg ￿ klvnbers if ihe organisaiion ITTU51ee
Director51. Thc Board meets regularl!.
Org4Jtsitlon*l strutlll
The Charitl Is run b) th¢ mana8em¢ni ¢ommittee IBo¥d of Dirt¢tysl iihi¢h ron5iSt5 of a Chair arKI rhrec other Tru51ees.
DeciSLOn making
TNstees are reswprtsible for the at)nual of the ChtiTiTh together thth ¥e also responsible for the deliveTI of
ser¥ices.
Rid&
The Trusiees have assessed the major risks to N%hi¢h the clwit% is ¢i]Thd. in ￿rtiCUlar tlw)se related to the opemiions and
rinance5 ofthe Charl￿. arwj are satisfied that 51siems are Lll place 10 miiigat¢ the ¢w)sur¢ major risk's. Th¢s¢ s%siems
are re%iei¥¢d periodicall%.

Chesterbill Charitable Trust Lirnited
Repthrt of the Tru51ees
ror the Year Ended 31 M1￿h 2014
REFERENCE AYD ADhlINTSTRATIVE DETAIIS
Reglslered CompaA)'
10348624 (England and Illalesl
Rtgistered Ck•tlty MTAmber
172659
Registerod offite
10 Wood Slreet
Barnet
Herts
EN5 4BW
TTllSteÈs
B A Bins￿CL. FCA Direuor
Mrs P E BinsKKK' Dire¢tOT
A P Gr•h￿Tr MBE Director
J L Marchani DireC￿r
J A Rosen Director
IMdeyend¢nt Ex*mlxer
Cartiiri8hts
Chartercd Acwurtsn15 arml Busints5 Adii51)rs
R¢grnr) House
33 Wood Sire¢t
Birnet
Hertfordshire
ENS 4BE
B#Thkers
NalWes1 Bank. PLC
Holloi%e) Road Branch
49) Holloma) Road
London
N7 6JB
Cartiirrights Chartered Accountsn
Regenc} House
33 Wth)d Street
Bamet
Hcrtford5hirc
ENS 4BE
Approied bi'order of t*)ard of trusttts on...... ..
Lo £Xand signed on its Ixha]fM':
A Binstock FCA- TTiÉiet

Indepetsdent Exami*ees Report to the Trntets of
Chtsltrhill Cb*ritabie Trxst Limitod
IMdepeDdent txamin*r'5 report to tbe tnuttts of Chesterkill Cb*ritAbie Trust Liryiltd I'the CoThp*ny'l
I rerx)rt ￿ the ¢harin trusttts ¢)n m) C￿mInation of the accounts of the Compan! for the %¢ar ended 31 March 2024.
Responslbllilies basb5 of report
As ihe charit}'s trustees of the Compan) land al￿ its direwrs for the purwJs¢s of ¢onw) laiil lou Hre re5pon5ible for ihe
preparation ofihe a¢¢ounts in a￿0￿dance iiith the rcquir¢ments ofthe Companies Ath Ilhe 2006 A¢i'i.
Hal'ing saiisfied m!s¢lf tha4 lh¢ a￿￿15 of the Compani are required trj ￿ audited under Part 16 of the 2006 Aci and
are eligible fot independETht ¢vmirwlion. I rep)n in resF*Ct of m) eiaminatM)n of)ow chaiitl's a¢ctsurts a5 carried oui
under Section 145 of th¢ Charities A¢1 2011 Ilhe 2011 Act'l. In ca￿% ins oui rni t¥anur¢dtion I haie follomtd th¢ Dir¢rtions
gii¢D ￿. Chariti" Comrni55ion under Section 1495) Ibl of the 2011 Aci.
lodepexdeKt exsmkntt'y statemtwt
I have completed m% examin*ion. I ci)nfimi nts matters hai'e Come ￿ mi attention in conn¢¢tion iviih ih¢ ¢la￿lnatIOn
gil ing m¢ cause to beliD'e'.
accountin8 records noi kepi in respect of the Conwi a5 required bi Seuion 386 ofthe ?(N)6 Aa". or
the accounls accord with Ilk)se record5-. or
Ihe a¢¢oimts do vot WTnpls iiiih the accouniiJL8 requirements of Settw 396 of the 2[￿)6 Act other than an
requiremeni Ihal ihe 3¢¢(wnts giir a ¢rut arwj fair viol ithich 15 maNer ¢onsider¢d as part of an indcpendent
eiaminaiion.. or
Ihe accounts havt r¥)t kn prepred in ￿O￿la￿t Mith th¢ m¢thod5 and winciple5 of the ￿aleM¢nI of
Recommended Pradic¢ for acwunting and re￿nITr8 bN' charities lapplicable 10 tharities preparing their accounts in
accordance %￿th ihe Fina￿la[ Rwrting Sta]Hlard apyliuble in the UK and RepuNi¢ of Ire12nd IFRS 10211.
I have no ¢orL¢¢rn$ and hal't c¢)me across no ￿her matters in comn¢dion iiith the examinaiion to iithich atteniion should be
draiin in this resxjrt it) order ￿ enable a proper understaThJingof the accounts ￿ bc resched.
Eri¢ Mclni)r¢
CartiiTights
Chartered Accourbtants Business Adiiwrs
Regenc) House
33 Wood Sirea
Barnrt
Hertfordshir¢
EN) 4BE
Date..

Chesterblll Ch*Titxbk Trnst IAmittd
Siitrjllent ofFIAindal Aetlvltlt5
for ihe Yexr EDded 31 M*r¢h 2024
3113ll4
u￿r*St￿tIed
31nnJ
Toi41
fyllds
Nfjtes
INCOME AIID ENDOWMENTS FROM
Dorvdiions arKI l¢gacics
100,(
I C4),000
Iniestmeni income
3.5 16
1.708
Total
103.516
101,708
EXPEINDITURE ON
Charitlble Activities
Pa)ments ￿ selcacd beneficiaries
143.717
125.497
NET INCO￿l￿(ExPENDllTuRE
1402711
23,7891
RECONCILIATIOIY OF FUNDS
Total fuTha5 brou8ht foniard
122.121
145.910
TOTAL FUND5 CARRIED FORWARD
81.850
122.121
Th¢ wtes form p¥t ofthese financia] Aaiements

Cb¢$lerhlll ChwrIt•b￿TnJs1 LiThite
B*l*nre sI￿t
31 M•rrh 2024
Jinn4
U#rtstrlrted
runds
3liJll3
Total
N•tt5
CVRRENT ASSETS
Cash a bank
101.850
CREDITORS
Amowts fall￿g duE iiithin one )ear
120.(WI
NET CURREINT ASSET5
81.850
122.121
TOTAL ASSETS LESS CURRENT
.IABII.ITIF.S
81.850
NET ASSETS
81.850
122.121
FUliDS
Unrcstricted funds
81.850
122.121
TOTAL FUNDS
81.850
The charitable ¢ompani' is entiiled to eyemption from audii under Seuion 477 of th¢ Companie5 Aci 2006 for the lear ended
31 Mirch 2024.
Th¢ rtKmbcr5 hai'e not required the compan! to otrAain an audii of its financial swern¢nts foT the lear cA￿d 31 Mar¢h 2024
in acci)rdanc¢ iiith tsiion 476 of the Companies Aa 21JJ6.
The iru5tees ackn￿ded$t their resw)nsibiliti¢s for
ensuring that th¢ ¢haritJbl¢ co￿￿n) k.ccps accountin8 rewrds comW) 7Aith S¢clions 386 and 387 of th¢
Companies A¢t ?006 athd
preparing finarKial stsiements iwhich gilt a fair of the swte of affairs of the ¢hariiable compaw p5 at
the ¢nd of fdch fIr￿CIal )e8r and ofiis suwplJ5 or defi¢ii for ea¢h fina￿181 )ear in accordance iitth Ihe requiietnenis
of S¢¢tions 394 8r¥J 395 and iihK-h OThcThiise compli. iiith the requiren￿{S of the CompaDi¢S Aci 2(W rel*in8 10
financial statemems. $0 far as appli¢abl¢ ￿ the ¢haritsbl¢ compan!.
Ibl
Thes¢ finan¢iel stat¢m￿ts hai'¢ been Prepared in accordance iviih th¢ proi"isions applicabl¢ to d￿ritable crrfnpJDi¢s subject
to the small compaThies rryi]ne.
Thc financial statemems apFYoied bi. the Boawd of TTuMees aNI aUtI￿ristd for i5siie on
atkl i￿1¢ signed ort behaifb)..
A BiTL5trxL FCA- Trll¥¢t
Th¢ rn)ies f(m P￿Or financial 5tatrments

Cheslerhlll Ck*ritsbk TThst Llthittd
Notes to the FlTh•itl*l St*temeAt5
ror the Ye*r EDded 31 Marcb 2024
ACCOUNTIYG POLICIES
B￿1$ of prep*rlM# iht Ilts•ts¢lal st*leMeats
The financial S￿e[ne￿is of the dwitsbl¢ cotnpdni. is a p￿lIC benefit ertiiD under FRS 102. haiE ken
prepared in xeordance iiiih ihe CTharities SORP IFRS 1021'A¢¢ouniing and RcpMin8 b) Charities.. Stakment of
R¢￿r￿n￿d￿ Prarticc applicable io charities preparing their accounts in a¢¢ordan¢r iiith th¢ Financial Retx)rting
Siandard appli¢abl¢ in ihe UK and R¢publi¢ of IieiaT¥J IFRS 1021 leffeail'e l January ?0191'. Financi31 Rew)rtins
Standard 102 'The Financial RcwJrtin8 Slandard applicable in th¢ UK R¢p￿liC of Ireland, atKI Companies
Ad 20(hS. Tk finan¢ial 5tstrmCnfS have been prepared under the hIS￿rical ¢osi cotweniion.
All income is reeo8nised in the S￿ement of Financial Aaivili¢s orK¢ th¢ charity h&$ eniiilement ￿ the funds. ir is
probable that the irKorne ii.ill be rCcci￿j and the amount can be Measur￿ ￿lIabIl..
Eipenditure
Liabilili¢s are reco¥nised as e¥p¢nditure as 5cK*n &$ Ihere is a legal or wnstwrlive obligation commilting Ihe charli
that ¢.Ipendi¢vre. il is wbabl¢ that a 1rd￿fer of ecorb)mic ￿nefIts iiill be required in settltment and ihe amount
of (he obli8aiion can be measured r¢liabli. E¥wditWC 15 accoun*d for on an accnjals basis and has been ¢lassified
undcr h¢ading5 ihai aggregate all com relaied ￿ the caiegor.¥. Where costs ¢artMI bt directl! at1riF￿Zed to particular
headirw the) haie been alloc*ed w ￿lillIeS on a basis consiyenl i%iih the use of r¢sourc¢5.
TaxAtio
The tharii) 15 fr¢Jm cLw)raiKJn lix on its charita>le ￿1¥•17¢5.
Unrestricted fijnds can be used in accordance i%ith the cknarithble objcrtii'¢5 at the disuetion of the rru5tees.
ResiricLEd funds ran oDI} br used for particular res1ricied pwrAM ivirhit) th¢ obje¢ts of the ¢haril). Re5triction5
arise wthen SFecified bi the thM*)r or whert fuTrJs ar¢ raised for particular restricted purpose
Further eiplanaiioD of ihe naiw¢ and of cxh fu￿1 15 included the ￿leS to th¢ financial 4aiements.
INVESTMENTINCOME
3113124
JJ13123
Detx)sii account irterest
3.516
1.708
TRU￿EEs, REMUIYEIIATION AND BENEFITS
Thcrt Krre no trusrees. remuneMKyn ￿ other tr*nefi￿ for the jw emkd 31 Mar¢h 2024 tK¥r for the lear ended
31 March 2023.
Trmstees. expeoses
ThLYe ivere no trusiees. ¢.Iwses for the Jearerwjed JJ March 2024 nor for th¢ Year ended 31 Marth 2023.
oMiThued...

e5terhill Charitxbie Trurt tAmitrd
Notes to tht FiD•Dti*l St*tenKDts- ¢o•ti*Mtd
for Iht Year Exdtd 31 Ma￿h 21)24
CREDITORS: AMoUl￿[S FALLING DUE WITHIN ONE YEAR
31nn4
3113123
her cr¢ditor5
20.C
fvIOVEfvIENT IN FUNDS
ovemhent
ID
At
3113n4
Al IIW23
Unrestrktod fu•ds
Ger*ral fund
122.121
40.2711
81.850
TOTAL FUNDS
140.?711
81.850
Net moiement in funds. i￿l￿ded in the atA)v¢ are os folkni3:
INtomiog
re50¥r¢es
.Movement
l* fund$
exptA¢kd
Unrtstrkt¢d funds
General fund
I03J16
1143.7871
140.2711
TOTAL FUIYDS
103.516
Il43.7871
140,2711
CompAr4thfes for m•vemellt in fuuds
Net
oVe￿ent
IA fond5
Al
3113n3
At 114Q2
Umrestrirfed funds
General fmd
145.910
123.7891
122.121
TOTAL FUP4DS
145.910
123.7891
122.121
C((Ltinued...

Chesterhill Ch4rit*bk TTU51 Limiied
Note5 to the FiA•Atial StateweDts- ¢•Mtl*¥ed
for the Year EDdtd 31 Mattk 2024
lovE￿IENT IN FUP4DS- tw¢l**ed
Comparniive Jwt mi¢ment in fund& I[KI￿ IA ihe atthe are as rolloi￿.
RESo¥rct5
*xp¢nded
l•vement
ith funds
V•rtstrirted finds
General fI￿d
101.708
(125.4971
l23.7891
TOTAL FUNDS
101.708
1125.4971
123.7891
A year 12 Th)nths and prior}￿ 12 mnths combined Jx)siliDll LS as folloiis."
Net
At
3113124
At I14n2
Unre5tritttd fu*ds
G¢n¢rnl fund
145.910
164.0601
81.850
TOTAL FUNDS
145.910
164.0601
81.850
A ¢urreni l'ear 12 nM)nihs and prior )ear 11 mnths combined movemeni tn fvThJk iTrcluded in Lhe aiK)%¢ are as
follo1￿5..
Resouree5
expended
,Iloveme*t
ruods
resources
Umrestrictwl fwids
General fund
205.224
1269,2841
164,0601
TOTAL FUNDS
205.224
1269.2841
1&&.0601
ntinvcd...

Chesttrbill Ch4ril•blt Trust Liwsiied
Note$ to the FI￿￿¢[#1 Si4iew¢nts- ¢•*¢th￿ed
tb¢ Yur EAdod 31 Mirch 2024
RELATED PARTY DISCLOSURES
There ivere no Yel*ed w. tyansaction$ forthe endtd 31 March 2024.

Cb¢st¢rhlll Chwrit*bl¢ Tr¥sl Liwited
Detalied Stgtem*ttt of FlnAndal Artlvhi
ror tb¢ Yor EAded 31 M*r¢h 2024
3113ll4
3113n3
INCOME AND EYDOWMENTS
Do￿tiONS gnd kgacits
Donaiions
iTh),(K)D
i(o.(K>o
Investment
Deposii accouni interest
3.)16
1.708
Total IntoMl*i resothrct5
103.516
101.708
EXPENDITURE
Ch*rli#blt 4¢ifvliles
Pa}ments to s¢le¢t¢d bty)efi¢hiries
119.679
113.305
Support eosts
Bank charges
Holocau51 Ediication
33
24.075
42
12,150
24,108
12.192
Total resourr¢s ￿p¢n¢k￿
143.787
125.497
Net expemditu
140.2711
123.7891
This pag¢ th)es fom) part Dr sutwor) financial S￿¢ments