The Devenish Bradshaw Charitable Trust
Report of the Trustees and Financlal Statements
for the Year Ended 31 March 2024
Charity No: 1177823

The Deveni5h Brddshaw Charltable Trust
Index to the Financlal Ststements
For the year ended 31 March 2024
Contents
PaEe
Legal and Administrative Details
Report of the Trustees
Report of the Independent Examiner
Statement of Financial Atti¥itie5
Balance Sheet
Notes fomiing part of the Financial Statements
io

The Deveni5h Bradshaw Charitable Trust
legal arml Admlnlstrntive Detsils
For the year ended 31 March 2024
CHARITY REGISTEREO NUM8ER
1177823
TRUSTEES
Davld Burton
Samantha Gill
Sue Gallagher
Duncan Scott
Amy Whetstone
Jane Wilkin50n
Dr Margaret Sims
Hilary Phillips
Tracy Standlsh
resigned 30 November 2024
resigned 31 Ortober2024
resigned 7 April 2024
resigned 31 October 2024
appointed 20 February 2024
appointed 25 June 2024
appointed 25 June 2024
OPERATIONAL ADDRESS
12 Manor Road
Salisbury
spi ijs
ACCOUNTANT AND INDEPENDENT EXAMINER
Simon Ellingham FCA DChA
Fawcetts LLP Chartered Accountants
Windover House, St Ann Street, Salisbury, SPI 2DR
Barclays
Salisbury
SOLICITORS
Wilsons
Alexandra House
Salisbury
SPI 2SB
Page I

Tru51ee Report
Forthe yeJT ended 31 Marth Z024
The Trustees present their Annual Report and Accounts for the year ended 31 Marth 2024 which have been
prepared in accordance with Accounting and Reportlng by Charities- Statement of Recommended Practlce
applicable to charities preparing their accounts in accordance with the Financial Reporting Stsndard applicablè In
the UK and Republic of Ireland IFRS1021 leffettive l January 20151.
STRUCTURE. GOVERNANCE AND MANAGEMENT
The charlty is constituted as a CIO reglsterert on 4 Awil 2018 arsd amended on 12 May 2021.The charky Is
operated by Its trustees who meet periodlcally. New truste￿ are recruited from among people who have an
interest in furthering the aitns of the trust. Wtth a view to ernsuring that all the rtecessary competencie5 are
represented on the trustee body.
RISK MANAGEMETrir
The trustee5 confirm thal thpy have reviewed the risks to which the Ctharty 15 exposed and they have implempnted
policies to mitigatethe rÉsk5 which tlw have identified.
OBJE￿7vEs AND ACtIVlTIES
The obletts of the CIO are:.111 to p￿serve. conserve and protect the land knowl) a5 the Water Meadows. In
Laverstock I'the water meadows"), 3nd its chalk valley riverine habitats-121 to adva￿￿ the education of the
communlty in Laverstock and the svrrounding areas. in aErTrculture, horticulture and eftvironmentally-based
educational projects conceming the preservati(m. conservation and management of the water meadow5,'131 to
provide or as51St in the provision of facilities for rec￿atIon or other1eisuTe time occupation for the beneflt of the
public in the interest of their social weSfare,'141 to advance, promote or carry out such other charftable purp05e5 as
the charity trustees In their absolute discretion from time to time think fit.
ACHIEVEMENTS AND PERFORMANCE INCLUDING REPORnNG ON PUBUC BENEFIT
The following notable achievements and evidence of performance were made in this reporhng year in pursuit of
our charitable Objecrlves and corresponding Management Plon Alms ènd Acbon5.
Charituble Objective l.. To preseThe, conserve andpRDtettthe lundknown ¢is the Water Metjdows in L£Tverstock
ond its chalk vulleyiyverine hubitats. Monagementplun Aim.. To monoge e(7ch of the habit(rts present on the
eodow5 to promote theirbiodivetsity. Restor17tson oAwildfiowerfichJloodploin 9rosslotnd5.
Artlon- Implement the octions in ourHigher fier CoufttrysideStewurdshipAgreement worknng closely with our
cattle ijnd sheep gmziers our volunteer teoms, undcommunity organiststions. canwnq outprGCticol ¢onservation
work to help odjieve the olm5 of the Higher fierAgreement- on aoing murt()gement which involves restoring the
w(rter-meodows under the agreement toflonsti¢¢Flly diverse wildfiower meodow5 through a mixttsre ofgruzing by
cattle sheep and hoy-making.
The najority of the meadows were grazed extensively this year wrrith limtied hay-making taking place. Indlcator
wildflower SPEcles were recorded in all grazing units and we ensured there was a good mix of grassland structure
across the Agreement area. Some topping of weed spe(ies was carried out but attention to grailng mana8ement
ensured weed speciès were kept at low levels.
Page 2

For the year ended 31 Marth 2Q24
ACHIEVEMENTSAND PERFORMANITr INCLUDING REPORnNG ON PUBUC BENEF￿continued
Woodlarxl
Actlon- Encouroge the retentm of deodstonding trees andfvlle￿ timberasperthe ft0￿1 Forestrysociety
ouidonce.
We have ensured the malorlty of ourwoc#Jland habitat has dead standlng trees and fallen timber presenl
particularly irb our riparlan woodland by the river. Where trees have f311en ontD fen￿ lines or access
infr3structure. we have deared a minimum amount of thefallen timber.
Artlon- Carry outon 17nnuolvisualbeonh ondsafvycheck t7n olitRe5 nearpothsfvllowing the NotionLTI Tree
Softty Group/Fore5try Cornmisslon Re5eurch 6uide-'Common 5ensensk mnogementoAtree5'to ensure tree
5ofety, to monoge trees to oproportionuteknl to thelow rfskpresentedby wlnd-blown tree5 ondbrnnches
to vi&tor5 to thesfrre.
We carriÈd out annual visual health antl safety checks.
Actlon- Checkpoths ofvrstorm conditi1￿$0￿dternp0mrIty￿05epothS where 4wodblown t￿eS presento
medium to high iisk to ￿sitOrs.
We proartively checked trees In areas next to public and perrni%si¥e paths following period5 of extreme weather.
Aftlon- Extendscottered treesondshrnbs in wotermeodowslringing the river. This "montle trndsoum. typE
habitutls e5pecffully richfor wildlifr ond willLTlsoenhon¢e the landscope volueof thesite byportitJllys¢reening
the houses inLoverstockandfvnge thenver to theEost
We ha¥e118htly grazed this habitatto encourage a scrub grassland m05aiC to develop. Underthe terms of our
Countryside Stewardship agreement prescription for rhe5e areas weare committed to ensuringthai the bulk of
the area is flower rich Erassland wtth the followin£ structure=
"Manage the area of grdsslaml to the ea5tem eJKI of the fields adjacent tothe rTrver (IS% of field areal by late
summergra2ing18fterthe 30 June only, to achieve a mosaic of toiler8razed g￿sSIa￿d wlth are3$ of shortergrass
mostly between 5-15rm and tallertussocks which may be ￿Ver 60 (rn. in thi5 Context thÈxattered shrubs that
colonise aTr 5Een as rM)sitlve featuros providing they are maintained at a low level Ile55 than c 5 N of total areal.
Actlon- Monoge larye willows in drtches ondrivetslde through pollurding (tt5perHigher fierAgreement to
irtcreose light to ditches. IncreGsedlight to the tempororypoolsfomjedin theditches wNllcorre5pond wlth
increusedfre51Jw¢7terlrfe. Pollorded tree5havehigh cul£urol ¥vlue und ￿vIenn￿nce lI￿landScape vulueof the
slte.
No mana£emerrt was carried out towarijs this action this year.
Rlver
Actlon- CreLFte bufferstripsbetween 9m2ingmeod(nvs ondriver t0￿dUCed¥S1ur￿￿￿ftoM dogs.
The buffer areas we have estsbli5hed are 5UPPOrtin8 ine￿asIng numbers of bird and insect life. of
breeding sedge warblers have rI5en from onE to SLY pairs a Great White EEret was ￿corded passing throu8h the
Meadows. Increased numbers and diverstty of buttefflies and other inseci species recorded in the course of
newly established t￿tterfi¥ transects through these habitsts. Gtsss snakÈs, liiards and otters recorded on a
numberof occèsions.
Adlon- Lirjise with otherloculrNerowners undenvimnmentoloryonisotions topmmotepositive coreJorthe
river ondreduce negotNe impoctse.g. dumping of gru55 dippings in tI￿rIver.
We held comrnunity events in£ludin8 river dipplng artrvities on our restored river dipping platform to raise
awareness of the river. We succe55fulty applied for funding from Laverstock and Ford Par15h Coundl and Wlltshire
Council Area Board for funding fora Sen50ry Path that will interprÈtthe btodiversityof the water-meadow5 and
river and pYov(de access for all to our river dipping platfomi to experien￿ chalk stream wildlife.
Page 3

The Deven15h Brad5hawCharitable Trust
Trus￿ Report
Forthe yearended 31 Marth 2024
ACHIEVEMENTS AND PERFORMANCE INCLUDING REPORTING ON PUBLIC BENEF￿ continued
Actlon- leovefallen trees in the river- It IS U statutory offence ond t7 potentially domuging operutlon to remove
treeslrom the river.
The Environment Agency ￿11 asses5 fallen trees for p)tential fi￿d risk and remove them sensitively if required.
However, in the majorlty of cases on our stretch ot the river fallen trees will help slow the riverflow and reduce
the risk of floodin8 as well as providing essential habitat for fish. water birds and other river life. We completed
thè restoration of Quf liver dipping platForm carried out Sensitive managemènt of trees in o)ur river to ensure our
stretch of the rtver is optimum quality in temis of naturalne55 and ecoSogical funttloninB.
Meadtsws
Actlon- Restore wildfiower rlch meGdow5 und/orwildfiowerrich grozed wetgrusslond.
We secured more land through land purchase which inEludes valuable wildflower rich meadows.
Hedgerows
Action- Maftntain existing hedges ondscnjb.
We havè carried out wub and hedge maintenance by coppicing and trimmin& This work contlnues to imprtwe the
aesthetic value of our land for visitors and provide a boost for wildlife.
ActSon- Loy 5hortstretches of hedgerowulong pemiisswepaths.
We commenced laying of short stretchés of hedgerow along Cow Lare helFod by skilled I[￿aL hedge layer5. We
have received numerous positive feedbadtfrom visttors to the water me3dows forthis work. The appearan￿ of
the Brown Hairstreak butterfy on our hedgerows is testsment to the effectiveness of our hedgerow rnanagement.
Action- PIG*nt up hedgerow5 ondshetterbelts with native Sh￿b5 and trees wherenecessury.
We carried out weeding maintenance tD our CPRE funded hedEe. The Alder hedge trees a￿ establishing well.
Actlon- Leuve ot leastu 2m uncut morgin olongsidehedgemws when huymking. Either ajt hedge murgin in
August orbi-onnuolty on rothtlon.
Hay maklng was carried out in Top field only due to the verywet conditions Im the water-meadows this year.
Attion- Mt7n(Jge ureas of blackthorn on rotabonfvrbmwn hairstreuk.
Trim hedge5 only once every 3 to 5 years and do not CLrt all the hedges in any one area in the same year- on golng.
WÈ continued this rotational management of blackthorn in Top Field utilising the power tools and hand tools
purchased frtsm Covntry%de Stewardship Area PaY￿ent fund5 as previously reported in"Hedgerows section. We
were rewarded with the relurn of this rare species of butterflyto the water-meadows.
Cha￿table Objertlve 2- To udvonce the educt7tion o_f the communtty in L(yverstock undthe surrounding t7reus, in
ogrftculture, horticulture ond environmentallybasgd educotion projects concernffAJg thepreserrfution, conservtition
andmonagement of the Water Meadows.
Manazement Plan Aim". To improve the knowledge of the import¢7n￿ ondbiodiversity vulue oldownlqnd wuter
meadows to the local community through intE￿ret0tIO￿ undpublic enqogement.
Actlon- Insttsll welcome/informotion signs ljt mojorentrypornts to the site.
We mèintained welcomelinformation signs installed in previous planning years. We installed a plinth with
Drientation map along and secured fundinefor easy access gates induding an access gate with RADAR key at one
tsfthe entran￿$ to thè water-meadow5from Cow Lane.
Page 4

The Deventsh Bradshaw Ctharftable Trust
Trnstee Report
Forthe yearended 31 Marth 2024
ACHIEVEMEPM AND PEftFOftMANCE INCLUDING REPORTING ON PUBUC BENEFrr continued
Actlon - Seekfundln9fvrsensitive lowkeyon-site interpretution highlight¥ng habitots ond wildlife svppt>rted by
themeodows.
We prepared grant application5 to provide ftjrther sensitive l¢Jw key on site interpretstion.
Actlon - Put on o progromme of events witfi other l(>calenvironmentalorgunisations to engoge and inform the
locol community.
We hosted educational access ￿$ItsfOr5thQO1￿rOUps and community groups run by Rlver Bourne Community
Farm. We also hosted local WATCH attivitie5. Our weekfy Saturday morning volunteer work parties included
educatlonal activities for our volunteers. particularlyvolunteers completing their Duke of Edinburyh Award
volunteering Wlth us. Wè ran Community Events most month5 of the year incluUin8 an Open Farm Sunday event.
We invited local community organi5ations to plant a trèe in our communtty orchard and have had a very strong
response lovertwenty community organisations supporting the project).
Attion- Produce educotlt>nolpacks desi9nedfordrfferent oge groupsforuse by schools undyouth groups.
We promoted our new chalk stream trail leaftet produced in partnership with the Wessex Rivers Trust and
Laverstock and Ford Parish Council to communtty and education group5.
Actlon- Liaise with neighbouring properties overour manogement of meudows ond the riverund encoumge
adoption of positfve munagement prort1￿5 thut enhonce the river.
Planned for 2024-2025. We carrted out partnership activitie5 Wtth the following ortdnisations in pursuit of this
objectlve.. Salisbury Distrirt Natural History Society. Ajdertjury Scout Group, LaVer5￿k Scout Group, Salisbury
Wlldlife WATCH group.
Cha￿tsbIe ObAertive 3: To provide orassistin theprowsion offoolltle5forrecreotion oy otherleisure time
occtspotFoRpfor the benefit of the publicin the interest of their50￿1 welfare.
Management Plan Alm: To promote and sensitivety manage public usage of the stte.
Action- Put in grant applications to fund improved acce55 and interpretation infrastnjcture. potential including a
cycle path constructed from board walk and unbound a8gregate surfaces. No further progress with this action for
this reporting year.
Actlon- Enhance infrastructure and management pri*ediJres for educational activities delivered by others
including River Bourne Community Farm. Woodstock Therapeutic Centre. UBA Nature at the Farm and Two Blrd
Experiences.
We completed our ￿stOratIon of dipping platfom/vlèwing area and have installed improved access to Willow
Copse for these and other grDUPS to utilise. We are reviewing this action in our management plan to ensure we
provide inclusive use of the water-meadows in an equitable manner for all local community and education groups.
Charitable obJect￿e 4- fo advonce. promote orct7rry out such otherchurtitable Purposes tt5 the charity trustees in
their obsolute discretionlrom time to time thinkfft.
Management Plan Atms: To ensure the locÉ71 watermeodows orassoaotedlond is monoged us according to the
oret7'5 5tt7tus of SAC S551 t7nd/or Protetted Hubitot.
Actlon- Seek to acquire or mano9e odditional water meodows ond other high environmental value landwithin
the Iocoi (Jreo.
We tompleted purchase of a new tsact of land composed of chalk stream SACISSSI, water-meadows and wet
wood12nd this Financial Year.
Page S

The Devenlsh Bradsh•w ChaThable Tn
Trustee Report
For the
ar eftd￿ 31 Marth Z024
Respon51bilhles of the Trustee5
The trustees are responsible for preparing the Trusteeg Annual Report and the financial statements in accordance
with applicable law and UnÉte(l Kingdom Accounting Standards (United Kingdom Generally Acopted Accounting
Practlcel.
The law applicable to tharities in England & Wale5 requires the trustees io prepare financial statements for each
financial year which give a true and fair view of the slate of affairs of the charity and of the incomlDB resources
and application of resources of the charity for that period. In preparing these financial statements, the trustees
are required to-
selert suitsble accounting ￿1cleS and then apply them consiStent￿,-
observe the methods and principles in the Charrties SORP 2015 IFRS 1021-
make judgements and estimates that ore reasonable and prudent,.
state whether appllcable accounting Stsndards and statements have been followed, subject to any material
departure5 disclosed and explalned in the financial statements.. and
prepare the financial Statements on the Boing concem basis unless it Is inappropriate to presume that the
Charity will continue in operation.
The trustees are resw)nsible for keeping proper acwunting records that disdose with TPaSonable accuracy at any
time the finawal wsition of the charlty and enable them to ensure that the financial statements comply with the
Charities Act 2011. the charitie5 (Accounts and Reports) Regulations 2008 and the provisions of the trust deed.
They are also responsible for safeguarding the a55ets of the charity and hence for taking reasonable steps for the
prevention and detection of fraud and other irregularities.
Approved by the Trustees on
and signed on their behalf by
fv4..
David Burton
Page 6

Fortsyearebwled 31 Marth 20Z4
I report to the charltytrustees my e￿nI]¥th)N ot the accounts of the £Fwlty for the year ended 31 Marth 2D24
whlch are set out Dn pages 8 to 13.
M8sponslbHhl05 and b#sts of Yoport
As the charltrfs truste•s you are respon%ble *or the preparation of the acwunts kn acctydance wlth the
requ1￿MerI￿ ofthe Chariues Act 2011 (kne ACV).
I report in re&pect of my examlnation of the chartys accounts c3rrled ￿t urtder 5ettlon 145 of the Art and In
¢arrylng out my examlnatlon l Fwve full￿￿d all the appllcable Directlons elven by the Charlty Commlsslon under
5ectlon 1451Sllb} otthe At
Indopendent examin£¢s a•tement
I have Completed my ex3mlnatlon. I conflrni that no materlal matter5 havecome to my attentlon in connection wlth
the examlnatlon glvln8 me ￿Uset0 bdlevè that in any materfal re5kfCt
accounting records were not k411 In r￿pect of the charftyas rewired try5￿[0￿ 130 rlthe Art or
the accounts do not *XOTd wlth thoserewrds.. or
the accounts do rKJt tomply with the appllcable requirerTreTrts Can(￿￿1￿ the form and content of accounts
set o￿t In the chèltt￿S IActouJ)ts and RewKts) RegvlatlorG 2￿8 gther than any reqUIr￿Ent that the
aC￿￿ts gfvèa 'trne and falrwev/ whlch 15 nrt a mattw considered a5 partof an 1fidep￿dent èXamlna￿n.
Slmon Elllngham FCA DChA
Fawcetts LLP
Chartered AccountaTrts
Windover House, St Ann street. Sallsbury. SP12DR
Date.. 22January XJ25
Page 7

Ftythe
24
IIX(IMEAND EXPENtiruR£
y￿al
INcfAIEAND END(g•IMElll5FMJM:
53946
14A69
B￿k it)ierest
Other iwme
L612
Totsl thtoma
53,946
th￿tsb{e at&dltlBS
6.710
18
169
Swporttosts
l391
IB9I
IW74
8,161
18,412
IEXPENDrnJH•[WKDME
IIA741
47
Il3281
T￿nSfer$ brtweefft f￿d9
11.8741
47.659
3281
RKnlKIIATIOII OF FI
4067
195
Totallunds bro￿ frnrd
ToTALFUl￿ QIRWEDFOIIWARD
47,659
All of the Bbove results ￿ dwNed frrATr Ikgre 0th8r 8•lrts or t05W OtIErthan those stated
Comparatl¥BfwJresfttrthe wirtstrfctedu￿ restrktedfvnds are¥hw*nin tsotrl
ThenDtEsfon* p¥t0fthe5Efinanc￿IsI1tÈrnertS

The De¥entsh Bradshaw Charitable Trust
Balance Sheet
As at 31 Palarth 2024
2024
2023
Flxed assets
Tangible fixed assets
94.229
Current assets
Debtor5
Cash at bank & in hand
6.583
4,D67
6.583
4,067
Credltor5: amounts falllng due
wlthln oneyear
50,960
Net current {liabilitiesllassets
144,3771
4.067
Net assets
49,852
4,067
The Funds of the Chaiity
Restricted funds
Unrestricted funds
47.659
2.193
4,067
Totsl Funds
49.852
4,067
The Trustees acknowledge their responsibilities for=
lal ensuring that the charity keeps proper accounting records,. and
Ibl preparing accounts which give a true and fair view of the state of affairs of the charTty as at the end of the
financial year and of its profit Dr loss for the financial year.
The accounts have been prepared in attOrdan￿ with Accounting and Reportbng by Charities= Statement of
Recommended Pr3ttice applicable to charities preparing their accounts in accordance with the Flnancial
Reporting Stsndard applicable in the UK and Republic of Ireland IFRS1021 leffective l January 20151.
Approved by the Trustees on
and $4gned on their behalf by
Davld 8urton
Page 9

The t)eventsh Bradshaw Charftsble Trusl
Notes to the FiTrandal Ststements
For the yearended 31 Marth 2024
l. Accounting poliiie5
Basis of accounting
The charity consti￿te5 a public benefit entity as defined by FRS102. The accounts have been prepared in
accordance with Accounting and Rewrting by Charities: Statement of Recommended Practice applicable to
charsties preparing thÈir accounts in accordance with the Financial Roporting Standard applicable in the UK and
Republic of Ireland {FR51021 leffective l January 20151.
Taxation
No tax is provided for a5 The Devenish Bradshaw Charitable Trust. being a charty. is exempt. Because of it5
current activities The Devenish Bradshaw Charitable Trust is not registered for VAT and therefore cannot recover
VAT on its expen5e5.
Funds accounting
General funds are unrestricted funds available for use at the discretion of the trustees in furtherance of the
general activities of the charity and which have not been designated for other purposes.
Restricted funds are to be used for specified purpose5 as laid down by the donor or which have been raised by
the charity for particular purposes.
Incomlng resources
All incoming resources. including legacies, are recognised once the charity has erbtitlement to the resources. it IS
certain that the resource5 will be re￿ived and the monetary value of incoming resources can be measured with
sufficient reliability.
Resources expended
Liabilities are recognised as resources expended as soon as there is 3 legal or con5truttive obligation committing
the charity to the expenditure. All expenditure is accounted for on an accruals basis and ha5 been classified
under headings which aggregate all costs related to the operating artivities of the charity.
Grants ere recogn15ed when any conditions necessary for payment have been met.
Charitable activitie5 comprise all the resources applied by the charity in ¥Jndertaking its work to meet rf(s
charitable objectives.
Flxed a55ets
Tangible fixed assets C05ting more than £l,(m are capttalised and are included at cost. Depreciation 15
alculated at appropriate annual rates estimated to write off the costs of fixed 35set5 le5S their estimated
residual value uver their useful INes as follows:
Equipment
33% on a straight line basis
Freehold land is not depreclated.
Judgements and key sources of estimation uncertainty
The preparation of the financial statements requi￿$ management to make judgements, estimates and
assumptions that affect the amounts rewrted. These estimates and judgements are continually rewewed
and are based on experience and other fartors, intluding expectations of future ￿ents that are believed to
be reasonable under the circumstances.
No signtficant judgements have had to be made in preparin8 these financial Statements.
Page 10

The Oevenish Bradshaw ChaTltable Tvust
Note5 tt¥ the Financial Statements
Forthe
rendEd 31 March 20Z4
2. Vojuntary Income
Unrestricted
Restrirted
Total
Total
2024
2024
2023
Grants
8,946
40,((JO
5,000
14,469
Donations
P Bradshaw
M Shallcr0s5
53,946
53,946
14,469
3. Dlrect costs of the tharity
Unrestricted Restricted
2024
Total
2024
Total
Preservation and maintenance of the meadows
and rlver banks
I￿uranCe
6.287
6.287
483
498
18,243
6,287
6,770
3. Support ¢0sts
The tiust incur5 a number OF costs whith are used to support its mission generalty and which are not
directty applicable to its charitable function. These costs are..
Unrestritted
Restricted
Total
2024
Total
2023
Bank char8es
Sundryexpenses
Independent examiner's fees
Cost of trustee meetlngs
102
329
102
329
154
15
1,391
1,391
169
4. Trustee remuAéTatioft and related paTtytransactions
No trustee received any remuneration during the year. No out OF pocket expenses were claimed bv
trustees12023 £Nill.
No trustee had any personal Inte￿$t in any contract or trdnsachon entered into by the charity-
Page 11

The Devenlsh Brndshow Charltable Trust
14otes lo Ihe Knandal Statements
For the year ended 31 March 2024
T8nEiblefixed asset5
Freehold
property
Totsl
Cost
At l April 2023
Additions
Disposals
At 31 March 2024
1.229
94,229
94.229
94,229
Depreclativn
At l April 2023
Charge for the year
Eliminated on disposals
At 31 March 2024
Net book valu¢
At 31 Marth 2024
94.229
94,229
At 31 Manth 2023
Induded in cost orvaluation of freehdd property i% freehold land of 94,22912023: £NIII whlch Is not
depreriated.
l fixed assèts are held for the directfurtherance of the charity's object5.
6. Dèbtors
2024
2023
Taxation recoverable in respect of donat￿n5 made under Gift Aid
7. Llabilities: Amounts falllng due within one year
2024
2023
Accruals
Loan
50,000
50,960
8. Commitments
The charity had no capital commitments at the year end.
Page 12

The De¥enish Bradshaw Charltable Trust
Ilotesto the Fknandal Statements
Forthèyèar ended 31 Marth Z024
9. MOVEMENT IN FUIIDS
Stattrmentoffvnd5
Balan￿*t
In¢omlnB Transfers
toilfroml
Balarte at
31324
Re5trfcted f￿1
Land purchase
Water meadow and grasdand mana8Èment
4$.￿)0
45.000
2,659
47,659
6,287
6,287
53,946
Unrestrlcted fvnd5
General fund
4j￿7
1.874
2.193
TOTAL FUND5
4,067
53.946
8,161
49.852
Land purchasÈ- this relates to funds donated to assi5twtth the Purd￿se of water meadows at iaverstoc
WatÈr meadow and 8rassland managemert- lh￿ relatesto grants received to asslst wtth the management of the
meadows.
10. knafy$15 of tiet assetsbetween lun&
Net
curreTht
assets]
Ilfatslili¢sl
assets
Total
Restritted funds
Unrestricted funds.. general reseThe fund
45,0(M)
49,229
2,659
147.0361
47,659
2,193
Net assetsasatthe end ofthvyear
94.229
144,377)
49￿2
Comparative analysis of nel assets between fund5 forthe year ended 31 March 2023:
¢urrent
Totsl
Restritted fvnds
Unrestrided fund5- general reserve fund
4.(i67
Net 8$5ets as at31 Mar¢h 2(riJ
4,067
Page 13