Keele Community First Responders
(Registered Charity number: 1799199)
FAnancial ststements
for the year ended 30 September 2025
Contents
Ref￿ence and a(kniiistrative d8tals
Trustees. annua report
IrMle￿￿t examin•Vs report
R￿ipts & payments ar￿Unt
Statement of assgts & liabjlrtlas
Notes to acc(xmts

Reference and administrative details
for the year ended 30 September 2025
Keele Communty Fw5t ReSFK¥Mlers
Full name
Roglstsred Charity number
1179199
Prlnclpal address
HoThviM)d I
Kee￿ Universty
ST5 5BG
TnMtees
RKhard Lawton
Chair
Philip M&)re
Treasurer
Christopher Wyatt
Philip BramweH
Trustee lappoinlod 2 April 2025)
FundraisiThJ (rwgned)
Yasmin CanWI s￿rn￿ry
Bank•rs
75 High Streot
Newc85tl&urNler-Lyff
Staffordshife
STS 1PP
Indewident •xamlnor
Daryl Oenson AC
VAST
The ￿dSoft Centre
Hope Street
Stok￿l￿TrenI
ST15DD

Trustees, annual report
for the year ended 30 September 2025
The trustees the ￿nual rép¢Yt t¢getsr TArth the financial slateff* of CIO for the year
ended 30 Septembef 2025.
The charty ￿ 8 CIO operated under the rubs of 118 Consth￿ ath)ptsd 16 Juty 2018. OnL* registered
Ik9kn'1ities, and assets to the CIO in Juty 2018.
Trustees are ei&Xed annualty by the member8 of the charity.
Th• ¢harty'• ory•nknallonal ¥tructhr• •nd wkl•r n¢iM>
The charity is an assrxiathm CIO with fcyjr current trustees who make up the committee. V4È are a
8018ty volunteer t)a*J charrty with no current ernpbyees. The tru¥t888 ufKlwtake the role5 of chalr
tr8a8urer. fundr8wr and se•. Thts year the tru8tee8 uThJerto)k online training in the form of t
ICAEW online truslee training eourse. The truste8 c(ThIMtt￿ B 8l1t1m￿ ty additK)nal non-trusts8
'Iwl rol•s' of medig ￿ad aThJ k)g*tKs knd.
The charity has a direcl link wilh V4*st MKllands Ambulan¢0 serv￿ NHS UnNef8ty FoUndat￿n Trust
(V￿14SuFT) as a v4AIAsU￿ comrnunty first re8PCAKknT {CFR) sc*ffi￿ Vkn•AASUFT pry)vhle
communty frst rnsponder8 ICFR) and tt)e means for the charty to ri8 oty"ectpies of providing
emeryenw resp)nse to patsnts In the kxal communty. Koel8 CFR is Crt of many tharitI￿ working
with VIMAsu￿ fft thi8 rowd throughout the Vbknt Midlands. VknMASUFT provth all operatN)nal
go¥Eman¢e and training for CFR CFR8 Ye8KJing in tho Ke8kn and k)cal areas ar8 invited to join
the membernhp of the ¢harity. Th8 chaiity provKles the rnn$ ft>r CFR8 to P8rform t￿1r ro￿ through
rt8 88S6ts and furKJratsing. Thè rnembevshp of the chanty is wulated with ffthibers who are curronl
and ex CFRS. Thetru8te89 and Th￿be(s th) not ￿rrenty n8•J to r*n8in a(Ji¥e CFRS and may choo8
10 8UFTJOrt the charFty outsKle of the IMAASUFT CFR role.
The major rwks to the charity Cufrenty *KI￿]e of th8 chafity responder vehicfe, bging tho charrti88
maJoras8et. through erther da7wge ortheft. Th¢ r6 in8ured currenty for ts value and in the ¢a8e
of loss ofthe vehtle a reg￿￿81 Veh￿ bg (*rtainod temmnty to 8lky* the charity lo conts'nue
its Fundrasing has chaw in the re￿1t years fc4hxiThJ the viru8 Outbreak. In years prior
to this the large quantity of the chaTrty's funds cth from donatmm. Currenty tha krge8t percentage
of the chanty vK#)m• comes from ￿ants. The charty a reserve fund whth cannot bg U88d In
excepknn ofopwational rw4uIran￿ts. This reserbp hjnd wouhy thè ehaiity to run forone yearwilh
expense8 while funds are rawj again. The chanty has an tstsbltsh6d team of CFR¥ wlth recruitment
planned for eaty 2025 and does n(rt a reduc1￿ in lh8 ol ¥olunteer8 to ￿ a present
Th& Tel￿f ofsickne5s and tho prwrfakn oflite In Keele and the surrwndiTrJ by providing
Service.
To advm the ed(KatN)ft trainityJ d tr* wblic in siwxt of Bas￿ Life suP￿rt.

Statement of assets and liabilities
at 30 September 2025
Cash assots
2024
Bank AC￿Unts
6,194
6.194
5,725
5,725
Llabllltk8
Indep￿nt Ey4mineVs fee
267
Signed
Dated o /a
RKthard Lawton
Chair

Trustees. annual report (continued)
for the year end•d 30 Septèmber 2025
Tho iYgan15atlon's pokcy on resems
The charity holds a resen￿ fund of £20￿. fuTrts are equal to or below the resep4e the charity
ean onty have expenses for immediate aThJ essential c¢wationd requirements. This reserve fvnd is
deS￿ned to aL4)w the ch*rty to OP8rate for one year while furtherfvndraising is done. At 30 September
2025 the charity held reserves of£6,194 {2024: £5,725) ot vthich £504 was restricted (2024: £373) and
£5.690 UnreStr￿d (2024.. £5.050).
SwJned bohalfof the Trnstee8".
Srgn8d
Date oz/ts8 /2&
Richard Lawlon
Chair

Indepen￿nt examinarfs report to the Trustees of
Keele Community First Responders
for the year ended 30 September 2025
I report to the charity trustees on my eXwnV￿tNjTr of th8 of the dlarlty for the perirml erKled 30
September 2025 ￿ are set on ￿eS 7 to 9.
RespBctive r8sponsibilitl•s of InMtoBs aiml examiner
Ay the chaws trustees of Keele Communty First ResporKlers. yw are responsible the preparation
of the accounts in accOrth￿ce with th8 wurrements of th8 Charities Act 2011 ('the Arf).
I report in respect of my examlnatton of the Keele Comwmjnty First Responders, aixounts Ca￿led out
under Sect￿ 145 of the 2011 Acl and in carytng out my examinat*)n I have followed all the applicabte
Directions givon by Ch•ty under sectx)n 145(5Mb) of the Act.
Inde￿ndent exami￿r,8 •tatem•nt
I have completed my examinath￿. l eonfimi that no mat8rial matters have wme lo my attention In
nne¢tion wilh the a¥amina￿n wh￿h gives me ¢wse to believe that in, any maietial respecL"
acc￿ racords were not kept in accordance wsth sectK)n 130 of the Act or
tho accounts do not act(￿d wilh tha act(￿nting recx)rds
I have no concems *xl havo across no other matters In connacuon wlth the examination to
which attentk)n sI￿uld be drawn in order to enable a proper underslandlng of the accounts to b&
reached.
Stgned
Date
0610312026
Daryl Denson ACMA
VAST

Receipts & payments account
for thè year ended 30 September 2025
2025
Tolal
Funds
2024
Total
Funds
Funds
Funds
Recelpts
FurKlratsY
Grant
Mileage reimbjmment
Car Sale
Insuran￿ p8ltyJt
Total r•telpts
1.702
1.702
8S3
730
730
6.500
469
11,813
1932
Paym•nts
Equipment
Unrform
Fuel
Car mainlenan(x
Insurdr
Fundraising
Accounts costs
Website
Postage. stationary & prinling
Travel Costs
Total payments
76
10
521
714
1,(K12
2,514
313
521
714
1,127
1.505
1,528
23B
254
60
181
92
8,282
124
267
124
267
1827
Net ra￿lpts1(paYffle￿tS1
Cash funds al start of Ihis perM)d
Ca•h funds al gnd of thls p•rlod
125
379
469
5.725
6,194
3,531
2,194
5.725
5,346

Statement of assets and liabilities
at 30 September 2025
Cash asgets
2024
Bank Accounts
6.194
6.194
5,725
5.725
Liabl11t￿$
IrKleperthit Examir*s fee
267
These fina￿la1 Statem￿ are a(* on bthalf ofthe dwity by:
Signed
Dated o /1
Rthard Lawt
Chair

Notes to the accour
for tho perfod ended 30 September 2025
1. Tru¥t•os' rnmunerallon and rnlatod party trarwllo
No remUfterat￿ C￿ expenses V*tre paid to Tntstees or ￿Y rdated W dwing Ihe year 6XCePt
the folknving:
Richard Travel Expenses. £nil (2024: £92)
2. Grnnts
2024
Freemasons
Ctrop FLYhJ
853