REGISTERED CHARITY NUMBER: 1178352
Fln•n¢lal Sl
nt F r The Yt•r End
mber 2024
Th•A
Streets ISA Ltd
Bulldlng 15
Gateway ILI)O
Arlln8ton Buslnes5 Park
Stevena8e
Hertfordshire
5fj12FP

Th
Contents of t
artcial Statements
r Ended 31 De
R•f•rnnc• ind AdM[n551r•tl￿ D•talli
R•port otthe Tryst••5
2 to 3
Indep•nd•nt EMmln•r's Report
St•ten*nt of Amndal Adlvft
8•knnreShMt
Not•sto thè Ftn•rKl•l Stst•m•t
7 to 12
O•t•ll•d si4l•mènt ol FlnJncl•l Actl¥It￿l
13

The Anne ROl￿TruSt
Aeferen¢e and
r The Yezr Ended 31
ra
Ive Oetails
TrUSTEES
R P Cotton
T M Cotter
AAdie
F McKenile
O Baln-appolrted 12 March 2024
G Labrlola-appx)inted 18 June 2024
H Wllllams-appolnted 27 June 2024
PRINCIPAL ADDRESS
Unlts A3 & A4 Mlndenhall Court
17 Hl8h Street
Stevena8e
Hertford5hlre
SG13UN
REGISTERED CHARITI P4UMBER
1178352
INDEPENDENT EXAMINER
Streets ISA Ltd
8ulldln8 15
Gateway IC
Arlln8ton Bu$lne5s Pjrk
Stevenage
Hertfordshlre
SGI 2FP
Pwl

The Anne Robson Trust
rt f he Tru$t*ts
he Yt•r Ended 31 De
mbèr2024
*ctl¥es and Alms
We are a charrtyworking to help people racel¥ethe support, companlon5hlp and comfort they need
at the end of thelr life.
Far too many FeoF4e fa￿ the end of lrfe in isolatlon, and many thousands of people dle eath year In
h05pitsls vAthout the comfort of a slngle vlsltor. Ten5 of thousands more a￿ struggling wlth the fear,
sllence afid18TrJrance that surround5 death and dylng.
r vlslon15 for everyone to recelve the support they nttd to face the end of lrfe- whetherthelr
¢)wn or that ol someone clD5eto them. No one éeseNes to die alone.
We alm to help improve people's experlerKe of death throu8h compa5slon. companlonshlp and
ed￿atrOn, bv:
Help5ng healrhcare oryan15atlons to bulkl teams of tralned volunteers who 8lve thelr tlrne
tg people who are dying, and those cbse to thern.
EdLKatln8 ènd encoura8ln8 people to better understand death and dyln8.
Brlng f￿sh Ideas to the d15cussiJn cf rrKirtallty, to foster new thlnklng and break
Conventional taboos.
h14
Hdp pmvlded to Hwlthur• or8•nlsatlon5
In 2024 the charlty s18nllicantly Increased It5 reach and Impact. By the end of the year, we had
established 16 partnershlw with acute NHS Trusts, daublln8 the 8 we were workln8wlth at
the end of 2023.
Through the efforts of ourttam, working closely wkh healthcare partner5, 220 tr•ln•d
luffleers provlded comfort and cornpanlonshlp to 5300 ￿tle1￿ and 9,800 ¥lsltors,
delfverlng 6,643 hours of support In patlents, final days. This represents a doubling of aCt￿lty
and suprxjrt provlded from 2023, ensurfn8 ￿er people face thelrllnal moment5 alone.
Addltionally, we are proud to have forged new partnershlps wlth J ujmmunlty NH5 Trusts and
hosplcts. further extendln8 our reach and thepenlng ourcomrnltment to gettin8 compa555onate end-
ot-life care lo 85 many people a5 wecan.
Imp•tt on Patlont and Famlly Expert•￿.
We contlnue to recEfve leedback from fornilie5, healthcare profewiona15, and someifjmes paiients
themsefves bEfore they dle. that confirms the $18nlflcant lrnpatt of the volunteer teams. Famllles have
conslstently and frequently shared thelr 8ratltude lor the compasslonate sUPPOrt of volunteers and
the often describin8them a5 thelr key source of comfort and strength through an incredibly dlfficu
tlme. Here arelu5t some of theirexperfences:
The volunteefSSUPPOrted Mrs G who wosadrnittedut the end ofherlifE, vlsltlng her twice
dolly. Of)d moklng sure herfomllyhodeverything they needed. The wlunteer5 urronged
comp bedandcure boxesfor Vlsitlllgfvrnilymembers and encouroged them to getfresh uir
undgofor coffee to oidthelrown wellbefftq.-
Pag¢ 2

"One of the 8utterfly Volunteers come to to￿ tts my mother. She5poke In my rnothersfirsr
Iot)quoge. which helped to stimulote her0s5he Irudhod 05troke. Thank youso muclL"
Volunteers v15ited opotient who wos dylng- ondsUPPOrted herthlldren who were vtsiting.
Theroom wos cmwde4 0ndemOt￿n3 were hi9h. Herchildren wereproylnofora mtrocle.
Yhe Buttety7y volunteers spent tlme with us. helping to e%￿trIn why mum couldn'tbefrd rt
this pt%n¢ ond rhot now wos the time to be wirh herandloDk oftereuch other. The volunteer
gove mum o gefttle htsnd mossooe wilh oil thotwe huGlbrouohtln, which shelound very
cornfvrtino. Thonk you to the volunteers whostt7yed wlth us oll dty."
We have extended our dlgltal footprint, more than doubllng our reach and connectlon compared wlth
2023. We ach¢eved a tDtal of 45,￿)0 website VIe￿ from 146￿ artlve u5Èts and 3x1,000 comblned
onlkne lrnpres51on5 acr055 our soclal channels.
Lookln8 ahead to 2025 we Intend to further èxpand the reach of the charlty ond help more people
than ever before. We ￿11 do thls sn th￿e ways..
En•bllng heglthcar• ory•nlutlaro.' cont1Thulng to grow Dur workwlth healthcare
or8anlsatlons who are worklng wlth people approachlng the end of thelr Ilfe.
Edutthlon ind l•amlni'. bulld on our work to help provlde edu￿tIOn and leamlng throu8h
our dlgltsl resouTce5, workshop$ and S￿&31 medla.
B•lwexceptlonal •nd Innov•tlv•.. further enhance our cultufe and siakeholders tsv
contlnuln8 to c￿ate an exceptlonal and Innovatfve envlronnRnt to W￿r*.
These achlevements would not be p0551ble wlthout the dedlcatlon of thè sFecl•llst volunteers, the 5UPPOrt ol
our partners, and the 8enerosiiV of our donors.
On tsehI￿ of the charfty. l èxtend ry heartfelt thanks to all who contrlbute to ourm15510Th. To8ether, we ire
rnakln8 o real dIffe￿nCe to those who need It most.
Approved by orderof the board of trustees on
15th Sepelember 2025 and slgned on Its beha
R P Cotton- ChaSr of Trustees
Pa8e 3

Inde
endent Examirter's Re
Thè Anne RobsonTru$t
rt to the Trus
Ind•p•ndert eM3mlnerfs r•port to thé tru￿¢*$ of The ATr￿ RobsonTNst
I report to the charity tru5teE5 on my examlnation of the accounts of The Anne Rob50n Trust Ithe Trustl for
the year ended 31 Oecernber 2024.
Re5pon51bllFtles and ba51iof re￿rt
As the charity trustees of theTrust you are responsible for the preparation of the accounts In accordarb¢e
wlth the requlrement5 of the Charltles Act 2011 l*he Act'l.
I rep)rt In respect of rny exirnlnatlon of the Trurt's accounts carrled out under 5ectlon 145 of the Act
and In caryin8 Out my examlnation I have followed all appllcable Oirectlon5 gl¥en by the Charlty
Ctsmmlsslon under Section 14515llbl ol the Act.
Indep4ndent exam1￿￿$ statement
Slnce your charfty's 8ross Income ex￿eded E250,000 your examlner must be a member of a Ilsted bodv.
l £an conllrm that l am qualffied to undertakethe examlnation because l am a member of the
Instltute of Chartered Accountsnts In En8land and Wales. whlch Is one of the Ilsteé bodles.
I have cornpleted my examlnation. I conflrm that no materlll rnatters have come to my attentbn In
connectlon wlth the exambnatlon glv5n8 me cause to belleve that In any m•terlal respect..
accountlns ￿CordS were not kept In respett of the Trust a5 requlred by Sectlon 130 of the Art., or
the account5 do not accord wlth those records.. or
the accounts do not cornply wlth the appllcable requlrements concernln& the form and contert
of accounts set out In the Charltles (Accounts and Reports) Re8ulatlon$ 2008 other than anv
requlrement that the accounts 8lve a true and falrvlew whSch15 not a matter consIde￿d
as part of an Independent examinatlon.
I have no £oncem5 and have come across no other matters In connectloTh wlth the exarnlnation to whlch
attentlon should be drawn lft th15 repjrt In order to enable a proper understandln8 of the account5
to be reached.
C Hubbard FCA
Streets ISA Ltd
8uildlng 15
Gateway IOCIJ
ArliTrBton BU￿ne$S Park
Stevenage
Hertfordshire
SGI 2FP
Date..
Page 4

TheAnne Robson Trust
tstement of Flnanclal Actlvltles
For Th• Y•ar Ended 31 D￿￿rnber2024
2023
Totsl
funds
Unrestricted
fund
Re5trlct8d
funds
Totsl
fvnds
Notes
INCOME AND ENDOWMENTS FROM
DonatlCffl5 ond le8acle5
I￿.925
85.701
322,626
293.821
Inve￿ment Income
4527
4.527
2,238
Totsl
241A52
85,701
317.153
296,059
EXPENDITURE ON
Charlt•bl• •¢tb¥rtl•s
General expendlture
Ra5slngfund5
147A30
111.941
259,371
67.906
236,674
54,063
Tot•1
215 336
327
290,737
NET IIKOMEIIEXPENDITUREI
26.116
{Z6.Z401
11241
5,322
RECONCILIATION OF FUNOS
Total lunds brou8htforward
124.219
26340
IYl.459
145,137
TOTAL FUNDS CARRIED FORWARD
150
150.335
150,459
The no￿ fom? wt of thes¢ financial 8tatementS
Page 5

TheAnnè Robs<>hTrust
Balan¢• Sheèt
31 De￿rnber 2024
2024
Totsl
funds
2023
Total
fund5
UnrEstrkted
fund
Notes
FIXED ASSETS
Tanglble assets
5.175
5,173
CURRENT ASSErs
Debtors
Investments
Cash at bank and In hand
7A49
5A27
150i20
573
5.679
151,898
SW27
150020
164m6
164,0%
158,150
aiEDITOR5
Amount5 fallln8 du2 wlthln one year
118J341
I￿￿34)
19,1951
NET CURRENT ASSETS
145,162
145.162
148,955
TOTALAssm LESS CURRENT UABILITIES
150,3aS
150J35
150,459
NET ASSErs
ISOA35
Iso
150.459
FUNDS
Unrestricted fund5
Restrlcted funds
150,335
124,219
TOTAi FUNDS
ISOJ3S
150 459
The flnènc5al statement5 were approved by the Board of Trustees and authorlsed for Issue on...
and we¥e slgned on its behaW by:
R P Cotton- Trustee
The notes form p8rt of these financial sutements
P4e6

The Annt Robson Tru$1
Not
he Flnancial Stattme
For The Year
31
cember 20
ACCOUNTING POLlaES
Ba￿1 of preparlng the 15nanclil stat•ments
The flnanclal ststements of the charfty. which 15 a publlc Eenefit ￿tIty under FRS 102, have been p￿Pared In
accordance wlth the Charities 50RP IFRS 1021'Accounting and Rewrring by Charltles.. Statsment of Recommended
Practlce applicable to charlties preparing their account5 In accorLlance wlth the Flnancial Reportlng Standard
appllcable in the UK and RepublSc of Ireland IFRS 1021 leffectlve l January 20191,, Flnancial Reportin8 Standard 102
The Financial Reporting Standard applicèble In the UK and Republlc of Ireland, and the Charltie5 Act 2011. The
f5nancial 5ta¢ements hav4 beèn prepared underthe hlstorital cost conventlon.
Crltltal ¥ccountln8 lud8ements Ind key souitesof •*lmotlon uncertalnty
No $18nrficani judgements or estlmates have had to be made by the trustées In preparlng thèse flnanclal
Statement5.
Incom•
All Income Is reco8nlsed In the Statement of Flnanclal Actlvltles once thè charlty ha5 entitlement to the fund5. It Is
probable thatthe Income wlll be recelved and the amount tèn be measured reliably.
Expendlture
Llabilltles are retO8nlsed as expendlture as soon as there Is a le8al or constructlve obllBatlon commlttlnB the
charlty to thai expenélture, It ￿ probable that a transfer of economlc beneflts will be requlred in settlement and
the arnount of the obllgitlon can be rneasured rellably. Expendlture Ss accounted for on an accruals bos15 and has
been classifled under headlngs rhat aB8reBate all cost related to the cate80ry. Where costs tannot be dlrectlv
attr5buted to particular headings they hJve been alkjcated to activltles on a basls con5isrent wlth the use of
resource5.
Tanglbl• flx•d JM•ts
Depreclatlon 15 provlded ai the followln8 annual rates In order to wrlte off each asset over Its estimated useful15fe.
Computer ?qulpment- 25% on wst
TIKotlon
The charlty Isexempt frorn tax on Its charftable actlvltle5.
Fund I(￿￿ntIn8
Unresrritted funds can be used In accordance wlth the charltable oblectfves at the dlscretlgn of the trustee5.
Restrfcted funds can onty be used for partlcular restrlrted purposes wlthln the objects of the charty. Restrlctlons
3rf5e when speclfted bythedonor or when funds are ralsed for partlcular restrlcted purposes.
FurthereXp1anatl￿ of the nature and purpose of eath fund is Included In the notes to the flnancrdl statements.
Pagc 7
continued...

Th Anne R4bson fru
Note
to tht Financlal Stat
ment$. contlnu
r The Year Ended 311)ecember 2024
OONATIONS AND LEGACIES
2023
Indfvlduals. cornpanles and other donation5
Trust and Foundatlons
24.5S7
298,069
S2.391
241,430
312￿26
293,821
INVESTMENT INCOME
2024
2023
DepJslt account Interest
TRUSTEES, REMUNERATION ANO BENEFITS
There were no trustees, rem¥￿ratIOn or other benefits for the year ended 31 Dec•mber 2024 nor for tho year
ended 31 Decernber2023.
Tru5te•J' exp•nMs
Thets were no triJstee5' expenses pald for the year ended 31 December 2024 nor for the year ended
31 Decernber 2023.
COMPARATWES FIJI THE STATEMENfoF FINANCIALACnVITIES
Unrestdcted
fund
Restrlcted
funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donatlon5 and le8acles
242,754
51,067
293,821
Investment Income
2.238
Totsl
296 059
EXPENDITURE ON
Ch•rlt8ble a(tivlt1•5
General eXpen￿ture
Ralslngfund5
201.845
54,063
34.829
236,674
54,063
Tot*l
255,908
34.829
290 737
NET INCOMEIIEXPENDITUREI
110.9161
16.238
5,322
RECONCILIATION OF FIJNDS
Total fuDd5 brought forward
135,135
10,CiJ2
145,137
TOTAL FUNDS CARRIED FORWARD
124.219
26,240
150,459
Page 8
coniinueL..

Th
o the Financlal Statement$- ¢ontlnued
F T The Yeai Ende
31
cember 2024
TANGIBLE FIXEDASSETS
Computer
èqulpmunt
COST
At l January 2024
Additlo¢)s
8ffi5S
5J70
At 31 December 2024
14ffi25
DEPREaATION
At l January 2024
Char8e lor year
7.151
1301
At 31 D•t•mber 2024
9A52
NET BOOKVALUE
At 31 December 2024
At 31 December 2023
1,504
DEBTOAS: AMOUNTS FALLING DUEWITHIN ONE YEAR
2024
2023
Trlde debtors
Prnpayments 4nd accrued Income
2,160
573
573
CURRENT ASSET INVESTMENTS
2024
2023
Unllsted Irwestments
5.679

TheAnne Rob
Tr￿
Note5 to the Flnan¢lal s￿te￿￿n15- contl
For The Y•ar Ended JIDe￿mb r2
CRÉDITORS: AMOUNTS FALUNG DUE WITHIN ONEYEAR
2024
2023
Trade credrtors
Taxatlon and soclal securi¢v
Other credltCrf5
5.142
3,589
18,934
9,195
MOVEMENTIN FUNDS
Net
movement
In funds
At
31.12.24
At 1.1.24
Unr•rtrfcted fvnds
Unrestrlcted
IZ4319
16,116
ISOJ3S
R0rtrIrt￿ fvnds
Re5trlcted
26,240
116,2401
TOTAL FUNOS
ON59
11241
ISO335
P￿e 10
continued...

Ann
otes to the Flnancial Statemtnts. ¢ontlnued
For The Year End¢d 31 December 2024
io.
MOVÈMENT IN FUNDS- contlnued
Net m¢ivement in funds, Included In the above are asfollows-.
Incomin8
resource5
Resource5
expended
Mo¥eft￿nt
in lunds
Unreslrfrted fvnds
Unrestricted
The AlbDrada Trust
Garheld Weston
171A52
50MIO
iomo
1145,3361
150XWI
26,116
R•5tr1rted lunds
Tru5t5 and Foundatlons
Natlonal Lottery
Virlous othersmall unnarned restricted lunds
42,741
69,ZOO
262410
1417411
1692001
126,2401
85,701
11149411
126,2401
TOTAL FUNDS
327,153
1327.2771
Comp•ratlv•s lor mo¥qment In fvnth
Net
movement
In funds
At
31.12.23
At 1.1.23
UM•strftted funds
Unrestrlcted
135.135
110,9161
124,219
Re5trkted fvnds
Trust and Foundatlons
Natlonal Lottery- Reachlng cornmunlth?S
26,240
lo,¢￿2
16,238
26.240
10.002
10,CWJ2
26.240
TOTAL FUNDS
145,137
5.322
0059
Pagell

TheAnne Ilobs￿TI￿$i
oiesto the Financlal Statement
. contlnu
ForTheY
ar Ended 31 De£ember2024
io.
MOVEMENT IN FUNDS- contlnu•d
Comparative net rrw)vement In funds, IrKlud8d In the above are as follo￿-
Incomln8
resources
Resources
expended
Movement
In funds
Unre5trftted fur￿5
Unrestilcted
244,992
1255.9081
110.9161
Restr5cted funds
Trust and Foundati0Ths
Natlonal Lottery
50,236
831
123.9961
110,8331
26,240
(lo.(￿2)
51,067
34,8291
16,238
TOTAL FUNDS
2%,059
290,7371
5,322
IL
RELATED PAATY DISCLOSURES
Thefe ￿re no related partytransattions forthe year ended 31 Dec•n*er 2024.
Page 12

Tho Anne RobsonTwst
OetaTred Statement of Flnaficl•lArtl¥ltles
For The Y•or Ended 31 December 2024
2024
2023
INCOME AND ENDOWMENTS
Donatlons and leBackTr5
Indivldua15. companies and other donatlon5
Trust and Foundation5
24,557
298A169
52,391
241,430
293.821
Investr￿nt IncomE
Depolt account Interest
4.527
2,238
Totsl I￿ornIn4 re50ur¢•%
327.153
296,059
EXPENDifuRE
t￿rtIable •¢tlvlt1•5
staff 5alèry costs
Subcontrartor
Advertlsln8
Fundraising cost5
Bank charge5
Insurance
IT and n￿rketIng
OFflce e¥pense$
Tra5nlng
Staff recrultment
ReTht and rates
Profe55ional fees
Sundry expenses
170,699
192,653
30,496
2,737
6.677
223
1,419
11.944
10,672
266
6,708
15,963
9.666
1,612
257
L212
10.113
10362
7.335
I6￿19
Z4Z
324J76
288,299
Suppwt w#$
FlnarKe
Depreciarion of tan8lble flxed assets
L055 on sale of tawible fixed assets
zJoi
1301
2.438
Total re50urce5 expended
327277
290,737
Net lexptndltur•ilincom•
11241
5.322
This page does not fortn wiofth¢ $ta(utory financial 5tatem¢nts
Page 13