Trustees. annual report (including Directors, report) for the period
From: 0110612023
To: 3110512024
Charity name: Friends of Ki￿j Alfr￿1 Buses
Charity rogl8tratlon numbor: 1175535
Company numbor. 11031147
Objectives and actlvlties
SORP refeTerw>
Summary of the purposes of
the charity as set oui in ts
governing document
Parn 1.17
In accordance wtth clause 5.1 of the ch8rity'8
Articles of Association Constitution To
purchase. maint8ln. restore and preseNe for
tha l)enefit of the public. vehicles. artefacts.
archive material and other items vthlch
pertain to 8nd refle¢tth8 transport haritaga
and character of R. Chlsnell & Sons Ltd Iva
Kin8 Altred Motor SeNices} and other bus and
coach operations In the Ctty of Wlnchester
8nd the surrounding areas,.
Summary of tha maln
activtties in relation to those
purpo888 for the public
benefft, in particular, the
activities, project5 or services
identified in the accounts.
Para 1.17•
1.19
In planning acthfjtles forthe year18nd for the
longer temil the Trustees hav& at all times
been minttful of the Ch8rty Commission'8
guidance on pubLlc benefft. In practlcal
temis. this tskes the form of attend8nce by
FOKAB￿￿ned historic vehlcleg at numerous
heritege-related events at various venues in
southern England where in most cases
members of the public have the opportunty to
travel on vehicles from FOKAB'S collection and
so experience bus 8nO coach travel 88 they
were In the p88t.
Additlonalty, FOKAB organized three Running
Days duringthe year. as part ofwinchester
Herita8• Opon Dw IHODBI In Saptembor. on
the New Year Bank Holiday weekend and on
the Early May Bank Holiday. The largest of
these was in May when 811 usable vehicles
from FOKAB'S collection were on the road
piovidingfree heritage bus se￿l¢e$ on
traditional King Alfred routes In and around
Winchester. togetherwith other visiting
historic vehicles. Participation in HODS

included a ￿hl¢le disp￿ 08 y￿[1 as the
opportuntyto travel on the buses.
Lookingto the future, the Trustees contlnue to
be conscious of the need to seek a more
suitable base tOTthe collection. The 18
vehlcles in FoL4B'5 cara are currently stored
8t two different Ioc8tlons la third location
having buèn dostroyed byfire durin8 thc
reporting year- see further below). none of
which has long-term security of tenure nor is
suitable for access ty the gener81 public. In
recentye8r8 rents have tsnded to increase
sub¥<antially. m8kingth8 present
arrangements Increaslngly unvlable.
However. despite an ever-Increasingfocu$ in
this vital area. no suitable and affordable
property opportunities could be identified
durfngthe reportingyear. Indeed. the need lor
accommodation b*hich enjoys not only18g81
security. but phy8lcal securlty as well has
been highli8hted byth8 fire in December 2023
whlch severely dam88ed the one FOKAB
heiitage vehicle stored there 8nd d8Stroyed
88veral other8 not belongingto FOKAB
Statement confinning
whether the trustees have
had regard to the guidan
Issued by the Charity
Commi88ion on publlc
benefft
Pwa 1.18
The trustees have re8ard to the guidance
issued bythe Charlty Commisslon on publle
benefi.t at au times.
Addhlonal Inforination (Optional)
You ma
choose to include further statements where r*vant about:
SORP réfwen(*
The contrlbuiion m81Je tyvolunteers is crr(ical
to FOKAB'S ongoing success. All operational
and administrative tasks are carrled out
entirety by unpaid volunteers dravm from the
embership. as Is the great m8Jority of
engineering and restoration activity. Wrthout
such enthusiastic support, FOKAB would
simply be unable to continuo its present level
of aGhievernent.
Contrrbution made by
volunteers
Para 1.38

Achievements and perforniance
Runrting Days make a signrficant contribution
to FOKAB funds, mainly through the sale of
progr8mme5. the income from rents on sales
stalls and sundry donations. Running Days are
also the princlpal means by￿1th the Charity
fulflLs Its charitsble objective.
Summary of the main
achievements of the charrty.
identtfying the difference th8
charity's work has made to
the circumstances of its
beneficiaries and any ￿ryder
benefrts to society as
whole.
Pwa 120
A major achpvement during the reporting
year was the near completion of the
restorakn of a Leyland rrtan PD2 bu8 which
as a vehiGb from the 1950s fills an important
gap in the story of King Alfred MotLY
Services. Unfortunately, methanical
problems meant rt was not able to give ride8
at the May 2024 Running Day althwgh it
was on display and attracted much interest:
mechanical problems seem now to have
been fixed and it should be able to give rides
at futur8 running days.
A180 generating much interest was the wreck
of the bus damaged in the fire in December
2023. That interest ha8 Included questions
from member5 and others about our plans
for its future. As the first underfloor engine
s operating in the South of England this
bus is of historic s1gn1fKan￿ in itself (which
is were not wepared to take the
"easK course and aliow it to be scrapp8d)
arKJ work is now in hand to decide whether it
is viable (in engineering terms and
financially) to restor8 it: rf restoration is
deoded upon that will be a major project for

Financial r8vi8W
Revw of the tharity's
finanGial POSFtion at the end
of the period
Para 121
The board of trustees is satisfied that the
charitys assets are available and
adequateto fvlfil its obligations.
Statement explaining the
policy for hokling reserves
stating why ihey are held
Pata 1.22
The nature ofthe chariVs 8CtMties in
restoring and maintainlng a collection of 17
[191 historic motorvehicles requires a
signilicant sum 'in hand. 8galnst
conts"ngencies such as major component
overhaul or replacement. Against this
background. the charty's Investment &
Aosarves Policy specffies that at least £15k
will be h81d in current aecount lunrestrictod
lundsl, representing8 typ￿81 six months.
outgoings. For the last year. the current
8ccount typic811y holds around £30.000 plu8
£10.000 at another bank.
eyond that. an uneapped amountW88 held
in a dep03it account. r81sed pr8domlnantly
ftom leg8cle8 and donations, primarilyfor the
purpose of eventual acquisltlon of permanent
premises. Whilst future pokncy will focus on
continuingto build financial resources in
readiness for property 8cquisltlon aimed
at securing the chartys long-term future, in
th8 short term it18 not going to be nee(ted 8nd,
accordingly, £100,01)O has t)66n invested with
a reputabio fund manager in medium risk
Investments.
Amount of reserves held
Para 1.22
Rea80ns for holding zero
reservas
Para 1.22
NIA
Details of fund materially in
(leficit
Para 124
NIA
Explanation of any
uncertainties at(Jut the
charity continuing as a going
Para 1.23
None. The charity has sufficient reserves
and support ofthe members to be
considered a going concem.
concern
Additional inforniation (optional)
You may choose to include fvrther statéments wtr*rn rel8vant atK)ut

Main sources of fundingare donations
from supporters, from membershipfees.
from legacies, and from sales and stall
income associated with the Running Day
and other events.
The charity's principal
sources of funds (including
any fundraising)
P¥a 1.47
A description of the principal
risks facing the chanty
P￿1.48
The principal rlskaffecting FOKAB 18 the
absence of 8ecurlty of tenure in reEation to
the various premises wherethe buses are
stored. Further, as noted in previous years,
even where th8 Landlord is happyforthe
Charltyto remain in occupation there is the
riskof a dem8nd foran increased rent.
Accordlngiy, the trustees continue to look
for altem8tive sources of funds and to
pursue the long-term objective of owning
our own accommodation.
Structure. governance and management
Description of charity's
trusts..
Type of goveming d0￿ment..
for example. 'r.st deed
memorandum and articles of
association etc
Pw8 125
Memorandum & ArtIGles of Association
(incorporated at Companies House on
25th Octobér 2017)-

How is the tharify
Gonstituted?
Pwa 125
Charrtable Company Limited by
Guarantee (CLG) with 200 members.
for example limited company,
unincowed association,
cio
Trustee selection methods
induding details of any
Constitutional provisions e.g.
erection to post or name of
any pernon or iM)dy entitled
to appoint one or more
truste8S
Trustees are appointed or reappointed by
election by the member8 of the CLG at the
Annual General Meeting held in
September or October each year, in
accordance with the Article8 of
Association. The principle adopted is that
each year one third of theTru8tee8 shall
retire but maystand for re-election.
Addltlonal Infomiatlon (optlonal)
You ma choose to include further statements where relevant abouL
Tiustees are appointed or reappointed by
election bythe memb8rs ofthe CLG atthe
Annual General Me8tingtraditionally held
in October each year but forthe188t few
years held remotely by Zoom in
September. in accordance with the
Articles of Association. The principle
adopted is that eachyear one third of the
Trustees shall retire but maystand for re-
election.
Policies and procedures
adopted for th8 induction and
training of trustees
P•r• 1.51

FOKAB is a memberofcommunity First
H8vant& East Hampshire (CFHEH)
enablingTrustees to attend courses
expEainingthe responsibilities of a
reostered charity and their role in Its
management. FOKAB is also a member of
the National Association of Road
Transport Museums (NARTM} which
pro￿ldeS useftjladvice and the
opportunityto exchange ideas on'best
practice. with other organisations wlth
8imi18raims. Membership is also
maintained of individual'marque. clubs
{e.g. forAlblon. Denni8, Leyiand vehicles)
who are able to a8Si8t restoration,
especially in sourclng rare skllls or
replacement parts.
The charity's organisational
structure and any wider
nthork wth which the
chaiity wo
Para 1.51
An informal and cordial relationship 18
also maintained with bodles such as
Winchestercity Council and Winche8ter
DiscoveryC8ntre. includingattendance by
historic vehicles at appropriate events and
other participation in heritage activities.
The Trustees see that appropriate
insur8nces 8re in place to cover motoring
risks. 8ssetvalues and public liability. A
Health & Safety sub-committee meets
when required and provid8S advice to
mlnimlse rlsks to volunteer workers and
the wrder public. Trustees. meetings are
held monthly and each meeting receives a
health and safety update
Alltwstees glve theirtime on an entirely
voluntary basis and receive no
remuneration or other benefits.

Friends of KingAlfred Buses is the sole
shareholderof a dorm8ntcompany. King
Alfred Motor Services Limited. The
company number is 12587632
Relationship with any related
parties
Para 1.51
Reference and administratlve details
Charity name
Frlends of Klng Alfred Bums
Other nane the charty u8es
Registered tharity number
Charity's win¢ipal acidre58
1175535
34 Hlgh Streei Nuthold, R•dhlll, RH14HQ untll 17
September 2024
2 Highcroft Road, Hlghcroft Road, Wlnchestèr, England,
S022 SGJ fr(xn 17 sept￿nber 2024
Names of th• chorlty trustees who manage the tharlty
Tn￿t￿e n•m•
Office Illanyl
Daips actsd rfnL* for**
Namè of p•rson lor body) 8ntFU•d
James D.F.
Freeman
Chgirman
David R. Morgan
Secretary
Decided not to seek ra-
election at September
2024 AGM
Stephen G. Bigiey
Roger Harris
Treasurer

Dave Ledbury
Nicholas
Richardson
Henry Pratt
Richard Adous
Trustee
CHpted at October
2024 trustees. meeting
Co-opted at October
2024 trustees, meets'ng
Iliam Stanrforth
Trustse
10
12
13
14
15
16
17
18
19
20
Co
orate trustees- names of ts directors at the date the re
Dlroctor nth•
rtwas
Stephen G. Bigiey
J8me$ D.F. Freeman
Roger Harris
David Ledbury
William Stanlforth
PavthlwRichard
Aldou8
Henry Pratt
Nicholas Richardson
Name of trustees holding title to property ￿longIng to the charity
Tru8ts9 name

Funds held as custodian trustees on behalf of others
Description of the assets
held in this capacity
Name and objects of the
charity on whose behall the
assets are held and how this
falls within the custodian
charity's objects
Details of arrangements for
safe custody and
segregation of such assets
from the Gharity's own assets
Addltlonal Infoftnatlon (optlonal)
Names and addrMses ol advl•ern (opdonal Inforniatlon)
Type of
Nam
Addross
advlser
Narn• of chlo1 •xe¢utlv• or nam•8 of s•nlor staff members (optlonal Infomiatlon)
Exemptions from disclosure
Reason for non*isdosure of ke
rsonnel details
Other optional infomiation

Declarations
Tho company has tak•n advantage of the small companl•s' exomptlon In prnpaflng the
rèport abovo.
The trusteos declarn that tly have approvod th• trt￿ta•s. report (Includlng dlrxtorn,
roport) al>ove.
Slgnod on b•half of th• ehorlty's tru•toMldlrxtor•
Slonaturals)
Full name(8)
Posltion (for •xamplo
Socrgtsry. Chair, etcl
pKo
ÉOKGÉ
SgLriff¥
Dats

Friends tst lQrKJ A￿red B￿eS
Chari
I17￿35
11031147
eriod
No
Annual accounts for the
To
1st June 2023
31st May 2024
Section A Stalement ol financial activities (including summary income and
expenditure account)
Prlor y88r
fundg
Totsl lund•
In¢om¥ (Note 3)
F01
F02
F03
F04
F05
chATtsb￿al￿1tyfj5
23.330
17,015
17.015
8.988
269
Otrer
Total
Exp¢nditure INote$ 6)
SQ7
169.817
169,817
184,592
Rai%lwlurth
4.728
188,586
8.401
1 D8,453
2,508
5,000
124362
S10
¢￿h¢r
$12
173315
173315
Net inciKn81{8xwxlture} before tax for
Ihe reporting period
si?
3,498
60.230
Tax pay&
S14
Nèt In¢omel{expernffiirel after tax
b8fore invèstmtnt gainsloossos)
Y15
3,498
60.230
Inveskn
W6
Nèt In¢omellexpendilurtl
Extraordtnary itÈm$
Translers belween lunds
Other ￿0g￿l$ed gainslllosses):
817
S18
3,498
60,230
S19
Gwns k)6595 on rBvaWon4flW a5s4tsts
aw$ WUBO
Tr￿9￿￿Se￿I
3,498
funds."
Tutaifutth
392,349
388.851
S32.119
392,349
Tolal lunds urrl•d fonv8rd
S24
388.851
CC172 IExc•D
1Q10212025

Section B
Balance sheet
Ilk*14)
191.rrtK)
191,0
1&1#X)
1kn18)
*17A)
91Afj9
193h
t93.834
1g1851
391349
F¢mds ofth& Charlty
988￿￿
(th7•lEy

Section C
Notes lo Ihe accounts
1.1 BJsEs of acc￿￿
siatemerdof Rtt(mmethlÈd Pwbt¥.' AtxwntyrvJ arKI R8Wrtir¥J by Chanii8S
. and wth"
in UK Ftawbkd IrelaNI (FRS 1021 16Juts2014
Rerth"rnJ SlarbJwd WKatde Uthj KIWM Repubttc of
Ireknj IFRS 1021
. arKI with thg Ch4n￿ Act2011.
FRS 101-
12 Golng con￿1
the conclu*on that clwity is a gCK#J
Di￿￿$￿Te of any urKertanbos that m*è
90ing cortwn assum&*th thubthsl:
Whefy arts rwepar•J on a Tr)irwJ
Jnctm tjasis. p￿se fSsdosÈ thi5
twher vthh the basis on the tr
pard thè ￿e￿n[S and the reason thg
chaty IS regarded as a ￿￿t¥j (xyKw.
13 Change of accounthig pollcy
Thtsl l.
No"
1&1112024

No chwges to a￿)uth.￿ estimai&% have IKrJJr&l inlhe rwbrbj tWk)Y13.48 FRS102 SORPI.
15 M•torlJl prlor errora
No rnath
ear errN have yep￿**j ps11￿(3.47 FRS102 SORPI.
No.
(iij loreoch ffi¢vperlodwewWln Ile ffje
'Ex(41
1aM112024

18111f2024

Seciion C
Nots2
22 INCOME
Wa.
¥•Jc¢wmlknJLytrfvO 1028CIIP(4 FRS 1(
a.
a.
&.
Wa"
Ye5.
i#SORP
IW11P*)24

a.
Ye5"
Y25"
a.
Wa"
L7bR￿￿<s.1OtOsl2Frts1l￿￿￿fj
18 EXPENDITURE AND UABIUTES
Nla.
No-
a-
NO-
Yos"
Yes"
a-
Ye5"
2.4 ASSETS
No.
Ye5.
a.
18nYrJo24

Yes.
a.
Y•5-
Wa.
Currwrtiwvui
W&.
a"
ADI)mPIAL TOOR
0￿ERENTfRO￿
1W11ra

NDle 3
Lh)n*k)Th8
t7
tknalBd
1>1484
144J
Vol*Jerunni
16
Tol
Totsl
ToT￿INco
CG174iiEK

Section C
Notes to the accounts
Iconll
Noty5
year
Last yo8r
Seconde¢l stall
Us8 of property
Th1$
Please prO￿￿e deiall$ ottr
aeeountlng pollcy ftsr the recognltk)n
and valuation ol donated
faclllties and servlees.
Pl•as8 provlde d8talls ol any
unfulfllled condlllons al￿ oth8r
eoniingen¢*$ Mnoehlng io mOUT¢0S
from donatsd goods 89rvlog8 not
recognlsed In IrKoffle.
Plèasè glvè dètails ot othertonns ol
¢*ther donated goods and ¥ervi
not Neognls•d In thg ?￿Oun￿￿ 99
ontrlbulion of unpgid ¥oluntee
CC17a (Excd)
13
1811112024

%pclion
Notes to th@ 2ttounts
Iconti
Expandliurn
rth
Ex ndlturo t)n raisin
InGurred see￿n9 donaknon5
In¢urr¢d wklng l¢gaty#s
Incurred segking grants
Q)erating rnembership schem88 8ooal
lotte￿eS
Stag￿ng funthaising 8v8nts
FudraisirvJ agenls
Operating charty $hop$
Operating a trading Ix>rrTpany
non-chants￿e Iradin
activi
Adverkn&ng, tnatketing, dired arKI
wblicity
Start up costs Incurred in generabty ne
sourcg of futUTè in(y)m9
Oalabase development rxsts
OlhÉr Iradlng ac1￿1￿$
InvesThenl rnanageThntcosts:
Portfolo management costs
Cost of (l￿niT￿j in¥eshn8rrt adw
8.401
8,401
InV￿meN admlnlstrauon
Intd18clual property h"cenuw ¢y)sts
Rent collection. wop&tyrewrs 8
m￿nI￿nanCe tharges
rotsl expenthture on r8181nglw
4.728
4.728
8.401
8,401
Expendmurg on ch4rt14bl0&¢ll¥4￿.
Bus rosiora*"on, aftormdatton and
malni0￿c￿
Totsl eXP￿d51￿1e on ￿￿1￿•bl￿atttI￿￿￿
156
10&453
108,453
rAt• m•16rfal Itwn of •xppnq•
OLher runniThJ costs eg 5tabonary
$08
Totsl
12%7
£gJ8
2,$08
euatson
Total Othgr oxpondllu
TOTAL EXPENDMJRE
5,000
124.3
17&$15
Inp15
124262

Y7a IEMcdl
15
1PJ1 Ir2024

arodrnwn up
¢C17* IEXO
18
IW11r2￿Qa

Section C
Notes lo the accounts
Note 10
wlspaldpl￿see￿Ier il'ln IhE4Vopithl￿%(mJ.
Thi$)wr
Last ytrar
Independent exam1￿￿$ fees
Tax adYlsoryfee8
Othèr fees Ilor èxamplè: finanei#l ad¥See, eorts￿￿. *tountahOT *trvk•#)
to the Independ￿t examln¢r
600
CC17a I
17
18111120?4

Section C
Noies lo the accounis
Iconll
Note 14
Tangl￿0 fix￿ assèts
1&1 Go•tor ¥alu•J
Al th8 WMINJ of
the
A(111￿On$
25.C¥JO
ReV￿Ual￿j
DisposaLg
Transfers.
At etKI of thEyeaT
. SLorRBIStr
na or R8duury
SLorRB
SLorRB
SLorRB
SLerRB
At beynnmg of
yoar
Dlspréals
lrnpakn￿rrt
Atendol the year
25,fX)O
142 Net iwk value
N&1 book al the
bagnning of ts year
Net book atth8
End ol the year
¢¢174 IExG¢fs
18
IWIIP2024

14A knpAlrn*rt
14￿ R•¥alU￿On
Thi8 par
Lastyear
lQ6 Other d18¢h)WJT
Thls)
Last ￿fir
(IHJ Det811s oltho •xtslencfr0ndc8n￿¥ offlou￿ olwopwty, p18nt8nd
CC17a (Excol)

Section C
Notes to Ihe accounts
Nolo 16
Tlws
ty￿ of a&8¢1S ¢Otrtans 19 ¥irWo
Last y8ar
01 Explaln the natur94nd 8¢al• ol
herltago a$9¢1¥ tteld.
011 EypFaln lh& pollcy lorlP•
acqyl$iEion. preserv*i¢)n,
manag9mwl d6sF￿￿* of hwllOA•
1&2 Cost ¢x ¥abAallon
T4*1
At beg.nnry of year
Addlons
191.(
191.000
txspos￿s
Rwdluatror
Transfe￿.
AteThY of the year
191.(
191,0(KJ
Strright
r'sL"l or
Reducino
Balance
At oflh8 y8ar
Disp)sd$
Imwrme
Tran$fèts'
Al erxl oty
1fjA N*1knik value
NÈt trxjokvduo * th• Winniryof Iho
year
Net L*Jokv￿￿ at thg gfKI ol the
t91.IXXI
191.fX)O
191.IMI
191.000
CC17a (Ewr)
1811112024

16A kn￿l￿r￿rt
Thi$ swr
nised trAt Conven￿On￿ y￿Uation processes are
I1￿ due to tr￿r unW $Mws. The
lees t¢5e th*rvdualon ￿ thp In1￿ rosi w wrchasethg
thè wbwugni mwnlenantaa￿ m4or Dvèrwls
16.6 Fknltwtlon
7NsJ
Last Jp
J¥JWon
At¢l>Sf Group
Totsi
Car￿￿ amount at th8 ￿￿n[mr1d oftt
perfL
Athjitw
Di8¥w￿5
Depwiats(￿￿￿palrr1*rt
R6valu8lon
Cary"w arn0th￿ Atthè aft￿￿￿
Thls
111 Ewlaln tho rw80n whyl
thtr balan¢¢ sh￿L
11111 DI￿0•e inlormalion that IB
helpful in 48¥8￿￿9 th& value of
CC17a iEx¢dS
21
181%112

Ilv) Explaln the Teown why It Trs n
prac¥¢abkto obknn a valuation of
CC17aFxe8D
18111f2024

15
2fr14
2013
12
Group A
Gra￿ C
Omar
DoMiion$
Group A
Grow) B
GroLP C
To141 adthtlort¥
Chargo for Impatrmwrt
Group A
roup B
Group
Total ¢hO￿ for lmpAlrin￿t
Di¥oso18
Group A. rarryTry unount
Group B- carr￿[¥j arrN)unt
Group C
Othor
Toial dlw
CC17a IExc•D

Section C
Notes to the accounls
{contl
Note 19
Deblors and prepayn
19.1 Anatysl8 Qt deblo
This year
Last yoar
Trade dBbiors
Prepaymonts and accrued Ineomè
Other debtors
5,000.0
5,000.0
Totsi
5,000.0
5,000.0
19.2 Dis¢losurg ol debtors re¢ovevable In more than 1 year {Includ¢d in debtors above}
Thls year
Last year
Trade debtors
Prepaymènt$ and accrued Incomfr
Other debtors
Total
CC178 (Excer)
24
1811112024

Seclion C
Notes to the accounts
Iconll
Note 20
Creditors and aecruals
Please complele thts note ttthe charlty Iws anycredllors or8¢cmals.
20.1 Analys1$ of ¢reditors
Amounts lalllng due wilhln
one year
Amourrts falllng due after
rnore than ono yèar
Thts year
Thls year
Last year
Accruals lor grants paydble
Bank loans and overdrdfts
Trade credltors
Payments recelved on accounl for ￿tracts or
pertormanC￿e1#1Od grants
Accruals and dofgrred income
Taxation and social securlty
Other oredllors
Total
20.2 Deferred Income
Please complete Ihts note ttthÈ charfty has dgferred
Thls year
Last year
Please explaln th8 reasons why Incon* Is
This year
last y￿r
Balance at the start of ￿ rep￿Ing ￿kx1
Amounts addod in ¢urrBnt perfod
Amounts released to income from prevlous perlods
Balance at the ond ol the rewtlng period
CC17a IEx¢ell
18111r2024

Section C
Noles to Ihe accounts
{cont)
m￿0 24 Cash at bank and In hand
This year
Last year
Short tem) cash Investm￿1$ (1￿ than 3 months nwturlty date)
Short tenn deposits
Cash at bank and on hand
Other
Total
80,432
108,402
188,834
91.869
100,000
191,869
CC17a (Excell
1811112024

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examinerfs report
on the accounts
Section A
Independent Examiners Report
Report to the
trusteesldirectorsl
members of
Friends of King Alfred Buses
On accounts for the yoar
ended
31* May 2024
Charity no.:
1175535
Company no.:
11031147
Set out on pag88
I report to the charity trustees on my examination of the accounts of the
Company for th8 year ended 31•1 May 2024.
Responsibilities and
ba818 of roport
As the chanty's trustees of the Company (who are also th8 dir8dors of the
company for the purposes of company law), you are responsible for Ihe
preparation of the accounts in accordance with the requirements of the
Compani88 Act 2006 (Ih8 2LX)6 A￿.
Having satFsfied myseff that the accounts of the Company ar8 not required
to be audrted for this year under Part 16 of the 2006 Act and are eligible for
indeperKlenl examination. I report in resped of my 8xamination of your
charity's accounts as carried out urMd6r serlion 145 of the Charities Act 2011
(Ihe 2011 Acf) In caryng out my examination. I have followed the
Directions given by the Charity Commission (under seciion 145(5)(b) of the
2011 ACL
Independent
examlner's statement
I have completed my examination. I confim that no material matters have
come to my attention (other than that disclosed below ") which gives me
cause to believe that..
. accounting records were not kept in accordance with sethon 386 of tl
Companies Act 2006,. or
. the a¢¢ounts do not a¢¢ord w4th suth records,. or
. the accounts do not comply wtth relevant accounting requirements under
section 396 of the Companies Act 2006 other than any requirement that the
accounts gtve a Irue and fair v￿W which is not a matter consKlered as part
of an independent examination", or
•the accounts have not teen wepared in accordan￿ with the Charitie3
SORP (FRS102)
IER
October 2018

I have no concems and have come atxoss no other matters in connection
with examination to vthich attention should be drawn in this report in
order to enable a prow understanding of the accounts to reached.
' Please delete the wvrds in the brKkets rfthey (kn not appty.
Slgned:
Date:
?eOP25
Name:
1103EIICK YOUNGfiiAN
Relevant professlonal
qualification(s) or body
(If any):
ONE
Addr￿.
51 CtOTr2 weil hoA?
IIICHF61EA UAW13
so22￿￿
Section B
Disc105ure
Only complele if the examiner needs to highlight material matters of Goncern
(see CC32, IrKleperKlent examination of chanty accounts: directions and
guidance for examiners).
Glve here brtef d•tall• of
any Items that the
examlnor wl•hu to
dl$¢lose.
IER
October 2018