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2023-06-30-accounts

SORP reference
Summary
ofthe purposes
the charity as set out in its
governing
document
of Para 1.17 (i) to advance the education
of
the public
in general
(and
particularly
among academics
and students)
on the subjects
of philosophy,
politics, and
religion
in their interrelations;
(ii) to organize conferences to
this end and to promote
research for the public benefit
in all aspects ofthese
subjects,
publishing
the useful
results.
Summary
activities
ofthe main
in relation to those
Para 1.17and
1.19
In pursuit of
the trustees
the trust's charitable
objectives,
have made a number of
purposes
for the public
benefit,
in particular,
the
research grants this year and organized a
conference.
activities, projects or services
identified in the accounts.
Statement
confirming
whether
the trustees
have
had regard to the guidance
issued
by the Charity
Commission
on public
benefit
Para 1.18 The trustees
confirm that they have
complied
with the requirements
ofsection 17
ofthe Charities Act 2011to have due regard
to the public benefit guidance
published
by
the Charity Commission
for England
and
Wales.

Review ofthe charity's Para 1.21 The trustees are satisfied with the resulis for
financial
position at the end
ofthe period
the year as set out in the
statements.
financial
Statement
explaining
the
policy for holding reserves
statin
wh
the
are held
Para 1.22 It is the policy ofthe Trust
unrestricted
reserves at a
its needs.
to maintain
level which meets
Amount ofreserves
held
Para 1.22 Unrestricted
reserves were held at a level
which met its needs.
Reasons for holding zero Para 1.22 n/a
reserves
Details offund materialiy
deficit
in Para 1.24 No fund was materially
in
deficit.
Explanation
ofany
uncertainties
about the
charity continuing
as a going
Para 1.23 There are no uncertainties
about the charity
continuing
as a going concern.
concern
Additional
information
(optional)
You ma
choose to include further statements
where relevant about:
The charity's
principal
sources offunds
(including
Para 1.47
any fundraising)
Investment
policy and
objectives including
any
Para 1.46
social investment
policy
adopted
A description
ofthe principal
Para 1.46
risks facing the charity
Other The trustees are responsible
for ensuring
proper accounting
records are maintained
which disclose with reasonable
accuracy at
any time the financial
positions ofthe Trust.
They are also responsible for safeguarding
the assets ofihe Trust and hence for taking
reasonable
steps for the prevention
and
detection offraud and other irregularities.
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N
O
ClOC Restricted
CO Unrestricted income Endowment Total this Total last
funds funds funds year year
Fixed assets
Intangible assets
(Note 15) e01 F01 F02 F03 F04 F05
Tangible assets (Note 14) B02
Heritage assets (Note 16) eos
Investments (Note 17) B04
Total fixed assets eos
Current assets
Stocks (Note 18) eos
Debtors (Note 19) B07
Investments (Note 17.4) B08
Cash at bank and in hand (Note 24)
Total current assets
eos
B1o
248,155
248,166
248,155 41,034
41;0'34
Creditors: amounts falling due within
one year
(Note 20)
B11
Net current assetsl(liabilities) e12 24'8,166 248,166; 41,.034
Total assets less current liabilities B13 41,034
Creditors: amounts falling due after
one year (Note 20) B14
Provisions for liabilities B15
Total net assets orliabilities
Funds ofthe Charity
B18 248 1'55 248,1:65 ' '41,034
Endowment
funds
(Note 27) B17
Restricted income funds (Note 27) B18
Unrestricted
funds
Revaluation
reserve
B18
B20
248,155 248,155 41,034
Total funds e21 48,16'5 41,e34
Signed by one or two trustees on behalf ofall Date of
the trustees Signature Print Name approval
dd/mm/
H P& 4Yes

Current asset investments The charity
equivalents
equivalents
meet short
has
with
with
term
investments
which
it holds for resale or pending
their sale and cash and cash
a maturity
date less than one year. These include cash on deposit and cash
a maturity
date ofless than one year held for investment
purposes
rather than to
cash commitments
as they fall due.
investments
which
it holds for resale or pending
their sale and cash and cash
a maturity
date less than one year. These include cash on deposit and cash
a maturity
date ofless than one year held for investment
purposes
rather than to
cash commitments
as they fall due.
investments
which
it holds for resale or pending
their sale and cash and cash
a maturity
date less than one year. These include cash on deposit and cash
a maturity
date ofless than one year held for investment
purposes
rather than to
cash commitments
as they fall due.
investments
which
it holds for resale or pending
their sale and cash and cash
a maturity
date less than one year. These include cash on deposit and cash
a maturity
date ofless than one year held for investment
purposes
rather than to
cash commitments
as they fall due.
investments
which
it holds for resale or pending
their sale and cash and cash
a maturity
date less than one year. These include cash on deposit and cash
a maturity
date ofless than one year held for investment
purposes
rather than to
cash commitments
as they fall due.
Yes No N/a
They are valued at fair value except where they qualify as basic financial instruments. Yes No N/a
POLICIES ADOPTED
ADDITIONAL TO OR
DIFFERENT FROM
THOSE ABOVE
Section C Section C Notes to the accounts
leontj
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RHKBI~~RBKBIBEKB

Sectioll C Notes to the accounts Iconti Noto 6 AnatyBI8 of expendrtiwe Tly La&t y Ana￿s￿5 Ex ndrtum on rafjsi I￿urred seeking donats"on$ Incurr&l seeking Eegac Incurred seekin9 grants Operating membersh¥> schemes and soual knttèrie5 Slaging fundraE#ig events Tow 6.832 7.435 7.435 Fudrai5ing agenis Operating ¢hanty slM)p5 0￿ratIng 8 t￿Ing cOrry￿nY undertaking n0￿Cha[rt8￿e thil Adverti%ing, mark8tir¥J. dMeLI Start UP CDSts Incur￿ in prwatiThJ new 50uree of future in¢ Database developrnenl ￿$1$ other traJiThJ Investment wanagement costs.. Portfolio man ement C05ts Cosl of obtaining investment ad¥¢e Investmnt administraticfi ccéts Irttelkntual prvperty Iken(ang ccÉts Rent wllectKn, prupety r8P8its 4r%J maintenarte Charges Totsl •xpenditurn on rni5ing fund5 6.832 7.435 7.435 EX￿￿11￿10 on charftablo a¢iivI￿. rants research ￿$t5 confereni &3.570 9.093 204 844 14.486 14,486 30.189 13.875 bank dwrges ITA￿b consumab visrting academ 143 115 143 115 181 833 181 833 150 audTrvi5U81 3.197 Total expend￿Ure on ¢haitabl• r87.079 237.079 rdt• mater￿1 of Totsl Other curre CC178 IEKLI}

Activity or programme Activities
undertaken
directl
This
Grant
funding of
activities
This
Grant
funding of
activities
year
Support
Costs
Total this
year
Activities
undertaken
directl
Last
Grant
funding of
activities
year
Support
Costs
Total last
year
Activit 1
Activit 2
Other
Total

This year Last year
Independent
examiner's
fees
nil nil
Assurance
services other than audit or independent
examination
Tax advisory fees
Other fees (for example: financial advice, consultancy,
to the independent
examiner
accountancy services) paid

Grants to
Analysis institutions Grants to individuals Supportcosts Total
research 56,569.50 56,569.50
Total '56,570

Please provide
details ofcharity's
Ny charity has made grants toparticular institutions that are material in the Yes URL.
context ofits grantmaking.
grant and total paid to each
Details ofthe institution
supported,
purpose ofthe
institution is available on the charity's
web site.
No Provide details
below
Names of institution Purpose Total amount of
grants paid R

~ ~ ' ~
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I ~ I ~
~ ~ -. . ~ .
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Last year
There have been no related party transactions
in the reporting
period (True or False) TRUE
Amounts
Name ofthe trustee
or related party
Relationship
to charity
Description ofthe
transaction(s)
Amount Balance at
period end
Provision for bad
debts at period end
written off
dur'r frg
reporting
period