REGISTERED CHARITY NUMBER.. 1178352
rt f h Trustee
Flnanciil S
nts For
d31
sireets ISA Ltd
Bulldln8 15
Gateway 1000
Arlington Business Park
Stevenage
Hertfordshlre
SGI 2FP

Anne Robso
ntents of the Flnanclal Staternent
F r Th Year Ended 310ecember 2025
Referenc• and AdmlnlJtratl¥• Detslls
RepDrt of th• Trurte
lrtd•pend•nt Examlnees R•port
stst•m•nt of F5n¥nclil Attlvltle
g•l•n£e Sh••t
Not•5 tp the FINncl1l Statem•nti
7 to 12
D•t•lled St•tem•nt DI Fln*ncl•l Artlvltkns
13

The Annè Robson Trust
Rtferertce and Admini5tratlve Detalls
ForThe Year Ended 31 De¢ember 2025
TRUSTEES
R P Cotton
T M Cotter
A Adle
Plckett-appointed 15 October 2025
D 8ain
G Labriol
H Williams
PRINapAL ADDRESS
Unlts A3 & A4 Mlndenhall Court
17 H58h Street
Stevenage
HertfordshSre
5GI 3UN
REGISTEIIED CHARITY NUMBER
1178352
INOEPENoEl￿ EXAMINER
Streets ISA Ltd
8ulldln8 15
Gateway 1000
Arllngton Buslness Park
Stevena8e
ertfordshlre
SG12FP
P4ge I

e Anne Ro
nrr
ort of th Trustees
ForTh Y
ar Ended 31 December 2025
Ob
tlve5 and A
The Anne Rob50n Trust Is a charity workin8 to help people receive the support. companionship and
iomfort they need at the end of their lile.
The charity's vlslon is that everyone should receive the support they need to face the end of Ilfe,
whether ihelr own or that of someone close to them, and that no cne deserves to die alone.
The charity seeks to improve people'5 experlence of death through cornpa5sion. companlonshlp and
eduCat￿On bv..
helpin8 healthcare or8anisaiion5 build and sustain trained volunteer teams to 5UPPOrt
people who are dyin8 and those close io them.,
educating and encoura8in8 people io belter understand death and dyln8',
br5n8lng fresh Ideas to conversatlons about mortallty and end of life care.
nc
Durin8 2025, the charity continued to ext2nd Sts reach and Impact throu8h It5 5Pttlallsr end of life
¥olunteer service support across NHS partners In England.
As at 31 December 2025. the char5ty had worked wlth a total of 24 NHS parrners. 01 these, 17
currently have attive 5pecla115t end of Ilfe volunteer servlce5 In place. 2 are In the development
nd plannlng stages. and 5 are currently out of contract due to fundlng or recrultrnent challenges.
Acros5 the network of healthcare partners In 2025, volunteers 5UPPOrted 7,000 dylng patient5 Ind
13.3rKI famlly member5 or vSsltors, dellverlng 9,100 volunteer hpurs by the bedslde.
The charlty contlnued to work In c105e partnershlp with NWS or8anlsatlon5. providlng tralning,
Infrastructure, coordlnaiion support and shared le3rnin8 to help each partner develop a hlgh-
quality volunteer se￿Ice embedded withln local clinical SEttlngs.
Feedback gathered during 2025 confirrned that the service continues to be hlghly valued bv
patlents. f3mllie5, Volunteers and healthcare professionals, and that it help5 irnprove the experlence
of dyln8 wh51e also reduclng pressure on ward staff.
In a survey conducted by the chèrlty-
100% of patlents and families recommend the 5ervlce.
92% of healthcare professionals report thai volunteers have significantly improvEd end-
of life care. 7S% Say having volunteers reducÉs theirworklood and emotional pressure.
S8% of volunteers feel well supp(Frted, valued. and looked after in their role.
The charity also contlnued to strenyhen its wider profile and influence by sharlng learning,
developin8 resources and supportin8 Breater awareness of compassionate end of life care.
Page 2

Look6n6 ahead, the charsty intends to build on thi5 progress by supporting more NHS partners,
streh8thening existing volunteer seNce5, and extending the chaNty's contrlbutlon to end
of life care through trainin&, education and 5nnovation.
These achievement5 were made possible by the dedlcatlon of volunteers, the support of NHS
partner5. the work of staff and coordlnators, and the 8ener051ty of funder5 and doncrs.
20th May 2026
Approved by order of the board of trustees Dn .....................
behaw bv..
- and slgned on its
R P Cotton- ChaSr of Trustees
Pagc 3

nde
en
Ann
nt Examlner,
n Trust
to the TN5tees
Independtnt •xamlnerfs reportto the twstee5 rfTh•Aftne Bobson Trurt
I report to the charltytrustees on my exaMIna￿D￿ of the accounts ofThe Anne RobsonTrust (the Trust) for
year ended 31 December 2025.
Ae5pon4bllFtlesand b¥￿%0f report
As the charitytru5tees of the Trust YOU aTe w$pO￿l￿le for the preparatlon of theactounts In ¥cordance
wi(h the requlrements of the CharltlesArt 2011 (the Acr'l.
I report In respect of my examlnatlon of theTrus¢'5 accounts carrted out undèrSectkJn 145 of theAtt
and In carrylng out rny examlnatlon I have fdh)14ed all appllcable Dlrectlons glven bythe Charfty
Comm1$51on under Settlon 14515llbl of the Act.
Indepandent e¥•mlnerfs $￿tIm•fi¢
Slnceyour charlty'5 8ross Income exceeded £250.0￿ your examSner must be a member of a115ted body.
I can conflrm that l am quallfled to undertake the examinatlon because l am a mtmber of the
In5tltute of Chartered AccouThtsnts In England and Wales, whlch Is one of the11sted ￿dIes.
I have completed my examlnatlon. I conflrm that no materlal matters havecDme to rny attentlon In
onnectlon ￿th the exarnlnatlon 8lvlng me cause to belleye that In any rnaterial respect..
accountln8 records were not kept In respectof the Trust as requlred by Sectlon 130 of the Act,. or
the accounts do notaccord wth those records.. or
theactounts do notcornpty wlth the applkable requirements ¢oncernin8 the lomi and content
ol accwnt5 setout In the Charkles IAccounts and Reports) Regulatlons 2008 otherthan anv
requlrement that the accounts ¥lve a true and falr ¥lew %thlch Is not a rnatter consldered
Is p•rt ol an Indepèndent exarnlnatlon.
I havè ￿ concerns and havecome across no other matters in connectloTh with the examlnatbn to whlch
attentlDn should be drawn In thls report In order to enèble a proper understaThdln8 of the account5
to be reached.
C Hubbard FCA
St￿et5 ISA Ltd
Buildlng 15
Gateway 1000
Arlington BusSne55 Park
5teven38e
Hertford5hlre
5GI 2FP
Date..
! o.lo.6.l &oa&
Page 4

The Ann
bsonTru5t
Stat
nt of Flfianclal A
F r The Year Ended 31 0
cember 2025
2025
Total
funds
2024
Tota1
funds
Unrestricted
fund
Restrlcted
funds
Note5
INCOME AND ENIKIWMENTS FROM
Donations and leBaEies
321.541
157.156
471,697
321,626
Investment Income
4,43B
Total
325,979
IS7,156
327 153
EXPENDITURE ON
Ch•dt¥ble oCtfvStle5
General expenditure
Ralslng funds
187054
92.775
119,656
307,510
111975
259,371
Total
280,629
138,856
419.485
327.277
NET INCOMEIIEXPENOITUREI
45J50
18,300
11241
RECONCILLITION OF FUNDS
Total lund5 bfou8ht forward
150.335
ISO,335
150,459
TOTAL FUNOS CARRIEO FORWARD
18.300
213.985
150.335
The notes fonn part of financial staternen
Page 5

The Anne Rob50nTrust
Balance Sheet
31 December 2025
2025
Total
funds
2024
Total
funds
Unrestricted
fund
Re$tritted
fund
Notes
FIXED ASSETS
Tangible assets
2.982
1982
5,173
CVRRENT ASSEf5
Debtors
Inve5tment5
Cash at bank and in hand
8,183
S,568
197,053
8.183
5,568
215,353
7.449
5,827
150,820
18,300
210,804
18,31XI
229,104
164,096
CREDITORS
Amounts f811in8 due wrthin one year
118,1011
118,934
NET CURRÉNT ASSETS
192,703
18,300
211,003
145,162
TOTAL ASSETS LESS CURRENT LIABILITIES
195,685
IB,300
213.985
ISO.335
NET ASSETS
195,685
18.3QO
213,98S
150,335
FUNDS
Unrestricted funds
Aestrlcted fuThd5
io
195,685
18,300
150,335
TOTALFUNDS
213.985
150.33S
The flnanclal statements were approved by the Board of Trustees and authof15ed lor Issue on
and were Signed on its behalf by..
20th May.2026
R P Cotton- Trts$tee
The notes fonn part of these financial statement5
Page 6

TheAnne Robson Trust
Notes to the Financlal Statements
ForThe Yeai EndÈd 31 December 2025
Accouf4TING POLICIES
8a515 of pr•parlng the financial statements
The financial staternents of the charity, whlch is ? public benEflt entlty under FRS 102, have been prepared in
accor(Jance with the CharitSes SORP IFRS 1021'Accounting and Reporting by Charities: Statement of Recommended
Pracrice applicable to charities preparing their accounts sn èccordance with the Flnèncial Reportin8 Standard
applicable in the UK and Republic of Ireland IFRS 1021 leffectlve I january 20191,, Financial Reportin8 Standard 102
'The Financlal Reporting Standard appllcable in the UK and Republic of Ireland, and the Charities Act 2011. Th¢
linancial statements have been prepared under the hlstorical c05t convention.
Crltl¢•l accountlniludg•menti and key sources of estlmatlon unc•rtalnty
No sl8nificant judgements or estlmate5 have had to be made by the trustee5 in preparing these financial
statements.
Incom•
All income Is reco8nlsed in the Statement ol Financial Actlvlties once the charlty has entitlement to the fund5. 5t Is
probable that the income will be recelved and the amount can be measured rellably.
EJtpendltur•
Liabilities are reco8nised as expenditure as soon as there Is a legal or consirtsctive obll8ation commlti5n8 the
charity to thai expenditure, it Is probable that a transfer of econornic beneflts wlll be requlred In SEttlement and
the amount of the obli8ation can be measured rellably. Expenditure Is accounted for on èfi accruals ba515 and h8S
been cla551fied under headlngs that aggreeate all cost related to the citegory. Where costs cannot be dlrectly
attributed to particular heading5 they have been allocated to actlvlties on a basis consistent with the use of
resources.
Tinilble flxed a$5et5
Oepreciation 15 provided at the followlng annual rares1n order to write off each asset over its estimated useful Ilfe.
Cornputer equ5pment- 25% on cost
Tax4tlon
The charlty Is exempt from tbx on its charitable artlvitie5.
Fund ?¢cowtlng
Unrestricted funds can be used In accordance wlth the charltable objectives at the d15cretion of ihe trustee5.
Restricted funds can only be used for particular restricted purposes withln the objerts of the charity. Restrictions
arise when specified by the donor or when funds are ra15ed For par(icular re5trlcted purposes.
Further explanatlc+n of the nature and purpose ol each fund is Included in the notes to the financial stotements.
Page 7
continued...

The Anne RobsonTrust
Notes to the Finan¢lal Statements- c
F rThe Ye3r En
Èd 31 December
DONATIONS AND LEGACIE5
Z025
2024
Individua15, cornpanies and other donatlons
Trust and Foundations
28,312
450.375
24,557
298,069
478,697
322.626
INVESTMENT INCOME
2025
2024
Bank account Interest
4A38
4,527
TRUSTEES, REMUNERATION ANO 8ENEFITS
There were no trustees, remuneration or other beneflts lor the year ended 31 December 2025 nor for the year
ended 31 December 2024.
Trustees, •Mpens
There were no trustees, expenses pald for the year ended 31 December2025 nor lor the year ended
31 December 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIALACtwmES
Unre5trlcted
fund
Restrided
funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donatlon5 and legacies
236.925
85,701
322,626
Investment Income
4,527
4,527
Totil
241,452
85,701
327,153
EXPENDITURE ON
Charftable adlvlties
General expenditure
Ralsin8 funds
147,430
67.906
111,941
259.371
67,906
Total
215,336
111,941
327.277
NET INCOfvIEIIEXPENDmJREI
26,116
126,2401
11241
RÉCONCILIATION OF FUNDS
Total funds brou8ht forward
124,219
26.240
150,459
TOTAL FUNDS CARRlf D FORWARD
150,33S
150,335
Page 8
onlinued...

The Ann
orh Trust
tes
he Flnancizl StatemÈnts- contlnued
F r The Year Ended 31 De
ember 2025
TANGIBLE FIXED ASSErs
Cornputer
equipment
COST
At l January 2D25
Addltlons
14,615
At 31 December 2025
14.625
DEPRECIAnON
At l January 2025
Charge for year
9A52
2.191
At 31 Oecember 2025
11,643
NET BOOK VALUE
At 31 December 2025
2.982
At 31 December 2024
5,173
DE8TORS: Amoumfs FALLING DUE WITHIN ONE YEAR
1025
2024
Trnde debtors
Prepayments and accrued Incorne
Z,5(Kl
2,160
5,289
8.183
7,449
CURRENT ASSET INVESTMENTS
2025
2024
Investments
5.568
5,827
Pagc 9
Itinued...

nne Robson Tru
Notos to the Finènrial
tatements- con
F r The Year End d 31 December 20
CREDITORS: AMOUNT5 FALUNG DUE wrrHIN ONE YEAR
2024
Trade creditors
TaxatSon and social securlty
Other creditors
5,601
8,117
4383
5,142
9,706
4,086
18.101
18.934
io.
MOVÉMENT IN FUNDS
Net
movement
in funds
At
31.12,25
At 1.1.25
Unr•rtrlrt•d fvnds
Unrestrlcted
150,335
45,350
195,685
R•5trlct•d lun
Restricted
18.300
18,300
TOTAL FUNOS
150,335
63,650
213,985
Page 10
continued...

The Ann
RobsonTrust
o the Financial S
temonts- continu4d
F rThe Year Ended 31 December 2025
io.
MOVEMENT IN FUNDS- c•ntlnuÈd
Net movement sn funds, Induded in the above are as follows..
Incomln8
resources
Resources
expended
Movement
in funds
Vnrestrlded fvnds
Unresiricted
The Alborada Trust
250,979
7S,000
1205,6291
175,1)001
45.J50
Ilestrf<ted lund5
The Eveson Trust
Trusts and Foundaiions
National Lottery
Various othersmall unnamed restrfcted funds
7.51JO
52.000
97.$00
156
17.5001
151,0001
179,2001
1561
18.300
157.156
1138J561
18,31)0
TOTAL FUNDS
483,135
1419ABS1
63.650
Compir•tlves for fflov¢rn•ni In funds
Net
movement
In funds
At
31.12.24
At 1.1.24
Unrestrlrt•d lunds
Unresrri£ted
124.219
26,116
150.335
Reslrl<ted lunds
Re5trlcted
26,240
126,2401
26.240
26.2401
TOTAL FUNDS
150N59
150,335
Page 11

The Anne Ro
on Tru
tes to the Fln
For The Year En
atements- contlnued
31 December 2025
io.
MOVEMENT IN FUNDS. contlnued
Comparatlve net movement in funds, included in the above a￿ as follows:
Incoming
resource5
Resources
expended
Movement
n funds
Unrestrirted funds
Unre5trlcted
The Alborada Trust
Garfleld Weston
171.452
50,000
20,OTrJ
1145,3361
150,0001
120.0001
26,116
Restrl¢ted funds
Trust and Foundatlons
National Lottery
Varfous other small unnamed restrlcted funds
42.?41
69,2C
26,2401
142,7411
I69,2￿)
126 2401
85,701
111.941
26,2401
TOTAL FUNDS
327,153
1327,2771
ii.
RELATED PARTY DISCLOSURES
There were no re14ted party transadions for the year ended 31 December 2025.
Page 12

The Anne Ro
n Trust
Statement f In
nclal Artlvltl
The Year En
l December 20
2025
2024
INCOME AND ÉNDOWMENTS
ODnètlons and lepcles
Individuals, companies and other donations
Trust and Foundations
28.322
450,375
24,557
298.069
478,697
322,626
14westrnent Incom•
Deposit account interest
4,438
4.S27
Total Incomlna resources
483.135
327.153
EXPE14DmJRE
CharStabl• actfvltles
Staff salary costs
Advertising
BJnk charBes
Insurance
IT and marketlng
Offlce expenses
Training
Staff recrultment
Rent and rares
Professional fees
350.784
6,455
219
1,134
14.992
10.5Z8
382
423
15391
16,986
270,699
2.737
257
1,212
10.113
10,362
7,335
16.019
6,242
417.294
324.976
Support costs
Flnanc•
Depreciation of tangible flxed assets
Loss on sale of tan8lble fixed assets
2,191
2,301
1,191
2,301
Total ￿sOurceS expended
419,485
327,277
Net lexpendltureMln¢ome
63,650
11241
Thi5 page does not f¢JrrrL part ot'the 5tthiory linancid statements
Pag¢ 13