REGisfERED CHARITY NUMBER: 1182S84
REPORT OF THE TRusfEES AND UNAUDrrED FINANCIAL sfATEMEl+lTS
FOR THE PERIOD I fvIAY 2023 to 30 APRIL 2024
FOR DREAM BEAMS

REPORT OF THE TRUSTEES FOR THE PERIOD 1st MAY 2023 TO 30 APRIL 2024
FOR DREAM BEAMS
The trustees present their report with the financial ststements of the charity for the period l May
2023 to 30 Aprll 2024.
The trustees have adopted the provlslons of the Statement ot Recommended practi￿ ISORPI
'Accounting and Reportlng by Charltles, Issued in March 2005.
REFERENCE AND ADMINISTRATIVE DETA115
Registered Charfty number 1182584
Prfnclpal address
Rookery Vlew. Pexhill Road, Henbury. Maccle5field, Cheshire, SKII 9PY
Trustees
S Baker- appolnled 21.3.19
KJordan- appointed 21.3.19
M Lockhart- appolnted 21.3.19
STRUCTURE. GOVERNANCE AND MANAGEMENT
Go¥emln8 document
The charity is controlled by its constltution document and Is registered as a Charitable Incorporated
Organisation ICIOI.
Rlsk management
The trustees have a dLrtyto identlfy and revlew the risks to whlch the charity is exposed and to ensure
approprlate controls are Sn place to provide reasonable assurance agalnst fraud and error.
OBJECTIVES AND ACTIVITI£S
O*rtl¥es and alms
The objertlves of the ch3rlty are. for the public benefit, the rellef of children and young people who
are in need through the provlslon of grants, the provlslon of household and other items, and paylng
for essential services, and the provision of facilities for recreation or other leISu￿ time occupation In
the interests of social welfare with the object of improving their CDndition of life.

Slgnlfkant a¢tb¥ltles
During this financial year, due to famlly and other commltments of the Trustees, Dream Beams have
not hel(J anyfundraising events. However, it isour intention that duringthe next financial year. further
fundraising activSties will be organlsed, inclu(Jing a Padel tournament.
Grantmaklng
The charity's Grant Making Policy establlshes the criteria of what and who the tharity support In order
to achieve its objectlves for the public benefit and to improve the lives of children and young people
who are in need.
ACHIEVEMENT AND PERFORMAMCE
Charltable artbVitI•s
No charitable events have been held during the current financlal year.
FINANCIAL REVIEW
Reserves pollcv
The charity aims to retaln a small amount of free reserves to 5UPPOrt a response to meet any uigent
requests for help to fulfil its oblertlves.
Approved by order o* the board of trustees on
lol
2oiS
. and slgned on Its behalf by: .
S Baker- Trustee

DREAM BEAMS
DETAILED sfATEMENT OF FINANCIAL AcllviTIES
FOR THE PERIOD 1ST MAY 2023 TO 30Th APRIL 2024
INCOMING RESOURCES
Voluntary Income
Gifts
Donatlons
Refund Cost of Generatlng voluntary IncOm￿alf day
200
2￿
GiftAld
200
Activities for Generating Funds
Fund ralslng events
Sponsorship
Total IncominB Resources
200
RESOURCES EXPENDED
Cost of Generatln8 voluntsry Income
Insurance
Sundries
Bank Charges
175.02
554.9
28
Accountanry Fees
817.92
Charltable Actfvltes
Grants to Institutions
Total Resources Expended
817.92
Net Income
-617.92

te: 1310212025
rime: 15:09:49
Dream Beams Char-
Period Trial Balance
Page:
Month 12, Aprll 2024
Nan
Bank Currert Accourt- 39994108 vlrgln
Accruals
Funds
FurKI Ralslng Experts
Web Design
Subscrlptl¢Jns
Insuran
Bank Charges/Card Charge5
&wernan￿ Cost . Accouhtsncy Fees
Deblt
6,526,52
Credit
1210
2109
3200
6100
7351
7354
7,084.44
2IXI.¢)J
108.50-
446.40.
175.02-
28.Ll
7701
7902
Totals:

1310212025
Tlme: 15:10:16
Dream Beams Charl
Profft and Loss
From:
To:
Month I, May 2023
Month 12, Aprll 2024
Chart of Account&
Default Layout of Accounts
, PerEod
Year to Date
0.00
Purchases
0.00
Cost of Fund Generatk)n - Fund Ralslng
(200.00)
(200.(Ki)
(200.00)
(200.00)
Gross PrnfiVILoss):
200.00
200.00
Support Costs- Web Desrgn arkl SU￿rIptIons
Support Costs- Generdl EwIrs & Sundry
Management & Admin - Bank Chargeslother
Management & Admin - Professlonal F￿$
554.90
175.02
28.00
554.90
175.02
28.00
60.00
817.92
817.92
Net Profftl(Loss):
(617.92)
(617.92)

Date: 1310V2025
Tlme: 15:10:27
Dream Beams Chari
Balance Sheet
Page:
From: Brought forwan1
Month 12, Aprll 2024
Chart of Acc4>unts:
Default Layoyt of Accounts
Year to Date
0.00
Deposits and Cash
6,526.52
6,526.52
6,526.52
6,526.52
Current Uabllltles
Credltors . Short Tem
60.00
60.00
60.00
60.00
6,466.52
6,466.52
Current Assets less Current Uabllltles:
6,466.52
6,466.52
Total Assets less Current Liabilities:
Long Term Uabllltles
0.00
6,466.52
Trtal Assets less Total Uabllltleg:
Capltal & Reserves
Funds
P & L Account
6,466.52
7,084.44
(617.92)
7,084.44
(617.92)
6,466.52
6,466.52