Charity number: 1177988
THE MERCER CHARITABLE FOUNDATION
UNAUDITED
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
WR
Partners
Protecting your future.

THE MERCER CHARITABLE FOUNDATION
CONTENTS
Paga
Reference and admlnlstratlve detalls of th• Charity, Its Trustees and advisè
Trust8ès' raport
Independent examinevs report
Statement of financlal a¢tlvlUe$
Balanc* $ho•t
Notes to the flnanclal ststements
9-15

THE MERCER CHARrrABLE FOUNDATION
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY, ITS TRUSTEES AND ADVISERS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Tru$tèes
Roger M81aber Mercer, Clvr
Kathryn Julie hAèrcer
Henriella Tamsin Mercer
Robert Percy Mercer
Salty Louise Mer¢èr
Alec Roger Mercer
Philipa Jane M￿Cer
Th¢Thas Alexander MeT¢
Charfty r¢gl8t•r•d
number
1177988
Prfnclpal offl¢•
Blakenhall Pa
Barton Under Needwoc
Burton on Tr￿(
DE138AJ
Accountsnt$
WR Partners
Chartered Accountants
8elmont House
Shréwsbury Business Park
Shrewsbury
Shrq)$hire
SY2 6LG
Page 1

THE MERCER CHARITABLE FOUNDATION
TRUSTEES. REPORT
FOR THE YEAR ENDED 30 SEPTEMBER 2025
The Trustees prosont their annuJ rq)ort logelher wilh tlte financk?I slatements of the Chartty for the year from 1
Octc4Jer 2024 to 30 September 2025.
Objectives and actlvltles
a. Poll¢S68 and oblectSves
Mercer Family Charitable FoundatK)n {forrrerfy known 8$ The Mercer Charilabk Foundalionl seeks to assist the
charitable activities ol organis*ions and IndwiduaLs for such charilabl8 purpjses lor the public benelrt as arè
exelu$lvety charitable 8￿￿rding lo the laws ol England and wa￿ as the trustaès may from time to lime
det&rmine
In setting objectives and planning for actwities. th& Truslees have gN¢n due c￿nSid￿ratiOn lo general guidon¢e
publishéd by the Charity Commiss￿n relating to publK benefit. includin9 the guidanc& 'Public benelrt.. running a
Charity IPB21'.
b. Strat8gl•s lor achlevlng oblacllv
Mercer Famity Chori18ble Foundation supp¢)rts actMli8s and iniuatives run by organisalions- induding charit￿$
and communily gr¢￿p$- Ihal dalNor ￿ne(rt in one cff mow of the follrywing qualifw'ng calegones..
Education.. support of edu¢ationol opportunities and inrtkrytives particularfy in the field of farinliig, ayIILullurg
and loc*J.
Health¢8re.' benefit of haallh 8nd reliefof sickne88 r* sufferirKJ p8rti¢ularfy in ￿s￿et of ¢hildran and aduhs
suffering from incurable Illnesses.
Community.. $upp¢rt lor community f&cilrtles in Staffordshire {e.g. community space8 and actMlle31 with
the aim of improving the lives of k¢al pe¢)ple with parttcul8r need due lo age, ill-health, disability,
homelessness, linancial hardship or dher dwdvanta90S.
Intemalion81'. support for community pr4ects in Ghana wilh the aim of improwng the lives of local people
through educalion. heatthcaro, and kindergarten facilrties.
c. Grantwmaklng poli¢ies
Any application for funding rnust fil wlhin one or more of the above qualifwng calegorie8.11 musl be noted thal
con3ideralion by the TrLFStae$' does not guaranlee provisB?n of grant funding.
The Trustees are agreeable lo wc¥king in partnetship wrth othar g￿nI making t**11e8 where funding for a project
s beyond the scopè tsf any single organisalKJn
Page 2

THE MERCER CHARITABLE FOUNDATION :. .
TRUSTEES, REPORT ICONTINUEDI
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Achlèvamtnts and performanc
a. Maln achievements of the Charity
The Foundation continued lo support a range of charities across the prewously established areas Of
81 Education130°h Of donalioThsl
bl Healthcare123% 01 donat￿￿$} and
cl Communily147% of donations). 'CommunitW includes food povaty. hoMe￿$SneSs, inclusion for disabled
chlkJr8n, and village projects in Ghana.
The Foundation continues lo learn from and evaluat$ th& sectors il supports.
Flnanclal rèvl•w
. Golng concorn
After making appropriate enquiries. lh• Trustees have a reasonable expedation that the Charfty has 8daqualg
resources to continue in operation81 existence for the foreseeabla future. For this reason. they continug t(> adopt
the going concern b8$i$ in preparing the I￿)ancIal slalernenls. Furth8r daiails regarding tho adoption ol the g¢ing
concern basis can be lound in the accounling policies.
b. Reserves poll¢y
Reserves at 30 September 2025 amounted to £S28,39812024.. £467.78SI. Th8 Trustees alm to ho￿ wrs,
aV8rage expendrture in reseNe. This currenlty equates lo £560,CK)O.
Th& Iree reserves a￿ made up of unrgstricted fvnds which are the total nel 8ssais of the Charity. Tho Charity
rnade a surplus of £60,613 d￿rIng the yaar {2024'. £14.6991.
Structure. govemanco and managèment
Cons¢ltutlon
Mercer Family Charitable Foundation is a Charitab￿ IrKorpot8tèd Organisalion. numbèr 1177988, and is
constituted under a Trust dee£l. It is registereil vMth the Chanty Commission (England & Walèsl.
b. Methods of appolntment or electlon of Trustees
Tne management of the Chalty Is the resPOn5ilJilily ul UiE* Tiuslees who are $lectad and Gwpted undor Ihe
terms of the Tiust deed,
Every trustee musl be appointed for a lem of Ihree by resoluti￿ passed al 8 propedy convened meeting
of the charity INst6es. The charity trustees must have regard to the skills, kN￿￿edge and exporien¢e needed for
effective admilli8tr3titin of the CIO.
The Trustees are curTenlly all membèrs of the Mefcer famity.
Page 3

.' THE MERCER CHARITABLE FOUNDATION
TRUSTEES. REPORT ICONTINUEDI
FOR THE YEAR ENDED 30 SEPTEMBER 202S
Structure, governance and managèmènt Icontinuedl
c. Organ15atlonal structure and doci¥ion4naklng pollcies
Any decision may be 18ken esther at a meeting of the Charity Trustees. w by iesdulK)n in writing or eleclronic
lorrn agreed by a rnajorrty of all charity trustees. whid) rnay comprise erther a single documènt or several
documen15 containing Ihe text of the resolulM)n in like fom lo e&h of which one or more charity trustees has
signified their agreernent.
d. FlnancSal rlsk management
The Trustees have ass&$$ed the maior risks to which the Charity Is exposed. in particular those related lo the
opérations and ftnances ol the Charity, and are 3at18fied that systems and pr(xedure8 are in plBce lo miligale
ew8ure lo the major risks.
Stat8m¢nt of Truste88' r•sponsibllrtl•s
The Trusl8e8 are responslble lor pr8P8riryJ the Trustees, report and the financwl statements in accordance with
applICab￿ law and Uni18d Kifigd￿ Accounling Standard8 (United Kingdom Generally Accepted Accounting
Practi¢$l.
Th• law applicabl• lo ¢hafiti88 in EF)gland 8 Walc8 requir¢• the Trualees to prepare finaiicial stste(Ti¥iil¥ fL)r
each financial whi¢h give a true and lair view ol the stale ol affairs of the Charity and ol its incoming resources
and application ol resources, induding rts income and eX￿ndIt￿re, for that period. In preparing Ihese finana81
slalemenls, the Trustees are required Its..
select suf(8ble accounliro policies and then app￿ Ihem conslstenity,
observe thé mdhods and prinapbs of the Charitios SORP IFRS 1021:
make judgments and aceoL¢nting estimates thal are ￿sOnable and prudent.,
slate whether applicablè UK Accounling Standards IFRS 102) have been lolkA¥8d, $ubJ'ecl lo any matèrial
dgpartures disclosed and explained in tha linanc481 slalements..
prep8ro the financial slalements ¢)n the going con¢em ba$is unless tt 1$ inappropriate to presume Ihat the
Charity wll continue In business.
The Trustees are responslble for keeping adequate accounling ￿ordS Ihat ar& suffi¢ienl lo show and explain
the Charitls transactions and disclose wrth reasonable ￿Ur8¢Y al any time the financial position of the Charity
and enable them lo ensure that the financial slalemenls compty wth the Charities Act 2011. the Charity
(Accounts and Reportsl Regulations 2(X)8 and the prow$ion8 of Ihe Trust déed. They are also responsible for
safeguarding the assets ol the Charfty 8nd hence for taking reasonable steps for the Pfevenllon and detection of
fraud and other irregularities.
Appr()véd by order of the m8mbÈrs of the bwd ￿TrUstee$ and signed on their behalf by.
allaber Mercer
Date..
a1311
Page 4

. THE MERCER CtrIARITABLE FOUNDATION
INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Indep8ndent Examinerfs R¢port to the Trustees of The me￿¢r Charltable Foundation I'the
Charity'l
I r8POrt lo c.h8rity TA￿t￿￿$ on my èxamination of thè accounts ol the Charity for the year wided 30
September 2025.
Responsibilitie5 and 8asls of Report
As the Trustees of th& Charity you ara responsible for the preparat*Jn of the accounts in a¢¢ordance with the
requirernents ol thts Charities Act 2011 nhe 2011 A¢t').
I report in resp￿1 ol my examination ol thè Charitys accounts carried out undèr section 145 01 the 2011 Act and
in carrying out my examinat¢on I have folbwad the appluble Oireclions gwen by thè Charity Commissh)n under
section 14515llb} of the 2011 Act.
Page 5

THE MERCER CHARITABLE FOUNDATION
INDEPENDENT EXAMINER'S REPORT ICONTINUEDI
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Ind8pèndènt Examiner's Statement
Since the Charitls gr¢Jss income exceeded £250,000 your examiner must be a member of a body listed in
seclion 145 of th¢ 2011 Act. l Confirm thet l em qualified to undertake the examinaiiorE beGau5e l ani a Imember
of ACCA, which 1$ on8 ol Ihe listed bc¥Jies.
Your attention is drawn to the lact Ihal the Charty has prepared the accounts in accordance with Accounting and
Reporting by Charitie5". Stslement of Recommended Pracli¢e applicable lo charities prep8rillg thelr accounts in
accordancé with the Financ*al Reporting st￿dard applicab￿ in the UK and Republi¢ of Ireland IFRS 1021 in
preference lo the Accounting and ReFy)rting by Charities." Sialement of Recommandsd Practice ￿SUed on 1 April
2005 which is referred to in the exlant regulatk)ns bul has been wthdTawn.
l understand that this has bettn done in order for the accounts to Provide a true and lair view In accordance with
the Genefally Accepted Accounting Practice effecti￿ lor ieporting periods beginning on or after 1 January 2015.
I have compl8t8d my examination. I confirm that no matters have come to my atlenlion in ¢onne¢tlon wlh the
examination giving me cause lo believe that in any material r•spè¢t..
ac￿JD11￿g records were nol kept in r8spe¢t oflhe Charity as Iwuir•d by sttdK)n 130 of tha 2011 Ad., or
the accounts do not accord with those records.. or
Ihe accounts do cornpty ￿th thè appllcable requlremenis concéming the form and c¢nlent ot
a¢¢oun13 sel out in the charit￿$ (Accounts and Reports) Regulation$ 2008 other than any requiigmenl
that the accounts give a 'true and fai¢ wew whth is nol a mattar ¢ons1d#red as part ol an ind6pènd&nl
exarninalion.
I have no concems and have come acn)ss no other matl8rs in connection wrth the examination lo whth
attention shouky drawn in Ihis report in order lo enable a propér understanding of the accA)unls lo bè rèa¢hed.
This report 18 rnade s01e￿ to the Chantys TDjst￿. a8 a body. in 8ccordatU with Part 4 of the Charttle8
IA¢¢ounls and Reports) Regulations 2008. My M)rk h8s been und&rtakern $0 that I rnight slate to the Charitls
Trustee5 those mallers l am required to stsle to them ￿ an Independènt examiner's report and lor no other
purpose. To the fullest extent pemiitl•d by L3w. I do not accept or assuTne rèsponsibility lo anyone other than the
Charity and the Charity's Truste￿￿ as 8 ￿y, for my work or for this ieport.
Sioned=
Dated..
T Lunt
BA IHons} FCCA MTPI
WR Partners
Shrewsbury Business Park
Shrewsbury
Shropshire
SY2 8LG
Paoe 6

.. THE MERCER CHARITABLE FOUNDATION
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Unrestri¢ted
funds
2025
Total
funds
2025
Total
funds
2024
Note
Incomè from:
Donalions and I￿ja￿e$
Investmen15
395,239
4.777
395.239
4,777
281, 738
5, 165
Total Income
400,016
400,016
286,903
Expendlturè on:
Charitablè adivitses
339.403
339,403
272,204
Total expendlturè
339,403
339,403
272,204
Net movèment In funds
60,613
60.613
14.699
Recon¢lllatlon of funds:
Tot*1 funds brought fon￿rd
Nét mvernenl in funds
467.78S
60,613
467.78S
60,613
453.OS6
14,699
Total funds carrled forward
528,398
528,398
467, T8S
The Stslemenl of Finan¢io1 Ac1Ml￿5 indud8s all gains and losses recognisgd in the year.
The noles on pages 9 to 15 form part of these financjal sl*$mènls.
Page 7

THE MERCER CHARITABLE FOUNDATION
BALANCE SHEET
AS AT 30 SEPTEMBER 2025
2025
2024
Note
Fixod aets•tB
Current assets
Cash at bank and in hand
580,528
475, 771
680,528
475, 771
Current Ilabllltles
Creditors." amounts falling due within one
yeor
(52,1301
(7,986J
Net current a$50¢s
528,398
fj7, 785
Total a8set$1088 ¢urrent Ilabllltl¢s
528,398
467, 785
Total net ass8ts
528,398
467, 785
Charlty funds
Restricted funds
Unre8lricled funds
10
10
S28,398
467.785
Total fund¥
528,398
467, 785
The linancial staternents were approved and authorised for issue by tho Trustees and signed their behalf by..
Rog
allabér M&rc•r
eel
Date..
a1311
The notes on pages 9 10 15 form p8rt of these financial Statem￿ts.
Page 8

". THE MERCER CHARITABLE FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
General Infomiation
The Mercer Charitabk FoundatK)n is a Charitable In¢(xporated Organi5atKJn registe￿ 17 April 2018.
The Mercer Family Chantable Foundat￿n supports actwiiies and Inttlarives run by organlsaiions
induding charrties and community groups that deliver benefrt in one or more of tho following categor￿6.,
Education, Healthcare, Communty.
Accountlng pollcles
2.1 Ba$ls of prepar•tlon ol flnancl81 stst¢m•nts
Thé financial statements have been prepared in accordance with the Charities SORP IFRS 1021-
Accounting and Reporting by Charilies." stat￿￿nI ol Recommended Pr8clice applicable lo chariti86
preparing their accounts in accordance with thè Financial Reporting Stsndard applicable in the UK
and Republ￿ of I￿land IFRS 1021 {effective 1 January 20191, the Finan¢ial Reporting Standard
applicable in the UK and Republi¢ of Ireland {FRS 10218nd the Charities Act 2011.
The Mercer Charitabk Foundation meets the definrtion of a publ¢c benefit entity under FRS 102.
Assets and liabilities are initialty recognised at historical cost ¢y transaction value unless oth9￿¢s8
Slated in the relev¥nl accovnting policy.
2.2 Incom•
Ail incom& 1$ recognised onea the Charily has entitlement lo the incomg, il is probable th81 the
incorne will be re¢8ived and th¢ any)unl of Income f￿1Vable can be me3sured reliabty.
Income lax rew&rabl8 in relatson to inveslmenl incom• 1$ iacognised at the tirne the investmont
Income is receivable.
2.3 Exp•ndltur•
ExperKlilure 1$ recognised once there is a legal or ¢onsiruclive obligation tts transfer econcmic benefit
to a third party, it is prob8ble that a Iransler ol economic benefits will be requiréd in settlement and
the amount of the obltqalion c8n bè measured reliably Expenditure is classified by activity. The costs
of each acliv¢ly a￿ made up of Ihe total of direct cost$ 8nd shared c051s. Including SUPPQrt costs
involved in undertaking each activity. Direct costs attributabl8 to a singk activity are allocated directly
1¢ that actiwty. Shared cosls which ¢ontrit%rte to more than one actiwty and support costs which 8ra
not attributable lo a $lngle &Xivity 8re apportioned befv4een tho$8 activilies on a basis consislenl wilh
the use of resour￿$.
Expenditure on charitable activities is incurred on direc1￿ undertaking the actniities which further the
Charitls obie¢twas, as well as any aSSc￿ated support costs.
GT8nts payable are charged in the year when the offer 18 madè except in those ca3e$ where the offer
13 condrtional, such grants being recognised as expenditure when the conditions attaching ar8
fulfilleil. Grants offered suLiecl to condrtions which have not been rret at the year end are noted as a
commitment. but not accnyed as expenditure.
All expenditure is Indusive of irrecoverable VAT.
Page 9

THE MERCER CHARITABLE FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Accountlng pollcl•s Icontlnuèdl
2.4 Interest receivable
Interest on funds hekl on deposit is included when receivable aTrd the amount can be measured
reliably by the Charity", this ￿ normally ¢Jpon nobfThth)n of the interest paid or payabl8 by the
inslrtution wth Wh￿ the funds are deposited.
2.5 Cash at bank and In hand
Cash at bank and in hand includes cash and $hort-terrn hEghty INJuh1 investments with 8 Short maturity
of three rnonlhs or less from the date of acquipilion or opening of the deposit or similar 8¢counl.
2.6 Llabllltles and provlslons
Liabilrties are recogniséd whan thérè is an thlIgat￿ at tho Bal8n¢e 3heel dale as a result of a pagt
event, it is prctjable that a transfer of economic benefit will bè rèqulred in 8ettlemenl. and the amount
of the selllement ¢an bè eslimaled reliabty.
Liabilili&s are re¢¢gnised al the arnounl ihat the Charity antKipat#s il wll pay lo settle tho debt or the
amount it h¥$ re¢ewed as adva￿ed payments lor th• gr*)ds or services il must prowda.
Provi•ion5 are rneasured at the best estima¢e of the aiiwuTil¥ iequiitsd lu ¥¥11￿ the obligallon. Wttere
th¢ &flecl of the lime value of money is material. the provision is based on the present value ol those
arnO￿nIs, discounted at the p￿-laX discount rate that rellecls the risks spacifi¢ t¢ the liability. The
unwinding of the dlscount b5 rwnigad in Ihe Statement of finana81 a¢tiwtle8 a8 a financè cost.
2.7 Flnanclal Instruments
The Charity onty has finan¢ial 8$8ets and financial liabilrties of a kind that qualify as baslc Iln8ncial
instruments. Basic financial instruments are inilialty rwni8ed at Ir$nsadion value and subs8qu¥nlly
meaS￿red at their settle￿ent value.
2.8 Fund a¢¢ountlng
Genèral I￿ndS ale unrestricted funds wh￿h ar& awlable for use al th& discretion of the Trustees in
lurtherance of the general obiectNes of the Charity and wh¢ch have not been designated for other
purposes.
Investment Inc￿8, gains and losse8 are altocated to the appropriate Ivnd.
Page 10

. THE MERCER CHARITABLE FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Income from donatlons and lega¢lès
Unréstrfcted
funds
202S
Total
funds
2025
Total
runrls
2024
Don*i¢ns
395.239
395,239
281, 738
Tulal 2024
287,738
281, 738
AnalyslB ol *xp•ndlturo on charltable actlvlties
Summary by fund ty
Unrestrlcted
lunds
2025
Total
2025
Tot81
2024
Independént examination
Bank charges
Grants paid lo inslilulK)ns
1.920
13
337.470
1,920
13
337,470
1,986
13
270,205
339.403
339,403
2T2,204
Total 2024
272,204
272,204
Page11

' THE MERCER CHARITABLE FOUNDATION
NOTES TO THE FINANCIAL STATEIAENrs
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Analysis of expenditure by actlvhles
Activities
ndertaken
directly
2025
Support
costs
2025
Total
funds
2025
Tolal
fuiids
2024
Independent examin8bon
Bank charges
Grants lo In8lilulions
1.920
13
1.920
13
J37N70
1,986
13
270,205
337.470
337.470
1,933
339,403
272,204
Tolal 2024
270.205
1,999
272,2Q4
Grants to Instltutlèna
2026
2024
Convoy 4 Ukrain¢
Liberty Liberty
Farm Fresh
Rainbows
Village by Village
st Gile$
MS SOc￿ty
YMCA
Burton College
Burton Mind
I hi$ Is Enough
Just Farmers
Derbyshire Bk¥)d Bikes
Harper Adams
Other grants lo Inslituthins
60,000
40,000
30,000
25,000
20,000
20,000
20,000
15,000
15,000
15,000
15,lJOO
12,000
10,800
6,000
27,670
i&ooo
40,c
25,QOO
20,000
12,000
70.1Y)O
75,000
15,000
15,000
20,000
2,000
70.205
331N70
270,205
Page 12

. THE PIERCERCHARITABLE FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Independent examinerf$ rémuneratlon
2025
2024
Fees payable to the Charitws independent exwniner for tho independent
examinat￿r$ of the Charrtls annual accounts
Feé$ payable io the Charitys indep8n¢Jènl examiner in resm ot.
Taxalion compliance 8eN¢8S
1.920
1,776
210
210
Trustees. remun*ratlon and expenses
During the year, no Tru8lee$ received any remuneralion or other beneffts (2024- £NIL).
During the year ended 30 Seplembsr 2025, no Trustee expenses have been incurred (2024- £NIL).
Credltorn: Amounts falllng due wlthln on? yo•r
2025
2024
Accruals
Grants a¢¢rued- institutional
2.130
so.000
1,986
52,130
7,986
Page 13

THE MERCER CHARITA8LE FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
10. Statem8nt of funds
Stat•m¢nt of funds- current year
Balance at
30
S8Pt8mber
2025
8alance at 1
(ktob•r
2024
Income Expendlture
Unr¢$tricted funds
General Funds
467.785
400.016
1339,4031
528,398
Stat8mènt of funds- prlor year
8alanco 81
30
Sepl&inbar
2024
i October
2023
It￿ Exp6ndilur6
Unr•strlct•d fund$
G•nei81 Funds- all funds
453.086
286,903
(2T2,204J
467, 785
11. Analysls of net assats bètwa¢n funds
Analysls of n&t ass•ts between funds- current yéar
Unr•strletéd
funds
2025
Total
funds
2025
Current assets
Creditors due within one
580.528
152.1301
580,528
152,1301
Total
528,398
528,398
Page 14

THE MERCER cHA￿TABLE FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
11. Analysls of net assets b￿￿Èen funds Icontlnuedl
Anatysls of net assets between funds- prlor year
UnresliFGl6d
runds
2024
funds
2024
Current a8sels
Credrtors due within one year
474771
(7.986J
475, 771
(7,986)
Total
467, 785
467, T85
12. Rolated party tran$actlons
Ouring the year ending 30 September 2025-.
Sally Mercer and Rob Mercer (Trvs¢8081 ar• Trust88s of Fami Fresh Revolut￿n Its whith a grant W8S
91ven ot LJU,OUU.
Donations ￿re receNed from..
Hadaslon P￿kIngton Ltd - £167.500 - Rob M¢r¢•r and Rcger Mercer ITrusteesl are shareholdèrs ol
the company
- Tom Mercer Lirniled- £25.000- Tom Mercer and Roger Mercer ITru31e•$l are ￿rIo￿t dir8clors.
41ercer Farn Partners- £20,0fy)- Al￿ Mercer. Rc43er Mercer, Rob Mercer and Tom Mercer (Trustees)
are current directors.
-Pa¢kington Poultry Ltd- £157,900- Ak¢ Mer¢er ond Rogar Mercer, (Trustees) 8re GU￿nt diroctors
Page 15