Clh8rlty registratloD number 1183829 rtglstr•tlon n¥mb¢r 11624110 (Elllld 4nd Wal¢8) THE ASHDOWN FOREST FOUNDATION ANNUAL REPORT AIYD uNAUDED FINANCIAL STATEMENTS FOR THE YEAR E)ED 31 ocfoBER 2021
THE ASHDOWN FORKST FOUNDATION LKGALAND ADMINISTRATIVE INFORMATIOIW4 C de Mestre KAalto R St ClairJoll¢& J Mills R St Pierre (Appointed l June 2021) (Appointed l June 2021) (Appointed l JuTk¢ 2021) (Appointed l June 2021) {Appointed 12 July 21]} Charity Dvrnber 1183829 Company number 11624110 liegi4tered tsrrt The Asimlown Forest Centre Wych Cross FoEe5t Row E&%t Sussex RH18 5JP Independent eximin¢r thtren HardtDgACAFCCA DChA Ri¢bard Place Dobson Services Limitsj 1-7 Station RoJ CrawlEy RHIO IHT
TFIE ASHDOWN FOREST FOUNDATION CONTE Indqjendent exatDineEs reIMKt Stst¢ment of financial activitie5 Ba]anrK sheet Notes lo the finan¢i81 stat<4Tratts 6-11
THE ASHDOWN FOREST FOUNDATION TRUSTEES, REpoirf (INCLUDING DIREcfoRS' REPORT) FOR THE ENDED 31 OCTOBER 2021 The trustecs pr¢s¢theIr aDoU report atbj fillanciai $thIents forth¢ Year¢nd 31 Oc4ober 2021. The flnancial statcments have becn prcpared Èn &eordanee wtth the couot&tig po]icies set out itt note I to the fiTh8n¢ial statements and comply with the tru5es Meorandn and Articles ofAss(KiatIo the Compaoies Acl 21)06 and 'A¢c4)ufttii and Reporting by Charitie5.' Statement of ReconuDended Practice applirnble to chariti¢5 pr¢pltig thcir acrDunts in accordance with the Financial RqK)rting Sfandtrd ppli¢ble in the UK and Rybli¢ of Ireland (FRS 102) (efft¢tive I January 2019}'. Objeetlyes And #thhks The trjsvs obje¢ts ar¢.. l} To promote for the ben¢fit of the publi¢ the CODservation, ptolectioll 8tHI imptovement of th¢ Datural ond physio environEn¢nt of Ashdown Forest iu¢lllding &s a plxe of amenity and resort 2} The provision of recr¢atioll fe¢ilities for the qui¢t ¢oioyment ofAshdown For¢s¢ in the inlerests of social welfare forth¢ publiG in¢t with the objects (pf improving their conditions of life 3} To advance the ¢(lutIOn of the publi¢ ID th¢ eoL8eryatioD. i(ection znd in]prrnent of the D4tutal and physicwl ¢nvironrnent of Ashdown Forest in fiutheran¢¢ of th¢ aJxTrv¢ Objec but not oth¢rwis¢ th¢ eompatLy shall have power to raise fuuds to 5UPPOrt k and projects to pro 2Dd eD1WAshdDll Forest for future generation8 to enjoy. The trLWees bav¢ paid due regatd to 8uidauce issu by the Charity Cornmissith) iti de¢iding what a1VIll¢S the trust should ul¢rtakc. Acbleyements performance The p&%t y¢ar has seen Sislf1¢ant rxogr&%s through the cthwe in govern with entirtty new board of tswstees appointed. Th¢ new board aLxiYe in UFdating govcrn1tt and ntrol prittdures All addition tts commencing formalisation of th¢ chariti¢s' str4te8y alld fimd raising pl. Th¢ COV1th19 pandemic has again hi]Mlerd..rnay of the xtivities I] cycnts that would have othen¥iye bccn underlakeffj so fo¢u5 on pianDin8 for the fiDaDcial YTh&S af. In additio the Dew trkns h&ve Appiitited Trmstone to d¢v¢lop a w¢ for supp(t and a strategy to id¢ntify a[ ¢ngage with fi]ture donors through a ldls1ftg 0grnmM Fln#ncial revlew The overoll surplus for the y¢ar w&4 £182T3 (2020...£61960) setout th¢ Slxtment of Finallcial Activities on page 4 of the accounts. .It is the policy of the tntst that unrèstrictoj fimds which have not been deSiAled for a specific use should be nm1ntaied at ' a leY¢l equivJl¢nt to between three a[ six fflonth's tApaltUr& Th¢ tntstees ¢onsid¢r that reserves at this level will ensure thal in the ev¢n¢ of g $i8llificaDt drop ID fudiD& they will be thle to COJLtiDue the trust's current activities while consideration is given to ways in which a(tditional be ¢atsed. Thi% level of reserves been maintaine4J throughout the year. Thc lThstccs havc a&sted the major risksto which the trst is and aresatisfied thatsystems are in pla¢e lo miligale exwbsure to the lltajorri5k5. Strurturep governance Jn*mEtjnt The tnist is a ¢h&titable ¢omp4ny bmited by guat2nttt. It controlled ty its 8oYerniD8 which is its Memor8ndLlln athd Articles ofASSl&tlQll.
THE ASHDOWN FOREST FOUIWATION TRUSTEES, REPORT (INCLUDING DIREcfoRS' REPORT) (coNfINUED) FOR THE YL4R ENDED 31 OCTOBER 2021 The trnstees, who are ytso the direxfy)rs for the of MpanY law. and sefveil th]ring the year and up to the date of si8n&ture of th¢ finan¢i8151atements were: A Ctrden R Clarke R Stogdon SThdy S McA]I C dt Mestre KAaito R St ClairJones J Mills R StPieTrr¢ (Resigwj l June 2021) (Resignal l June 2021) IRe5igned l June 2021) IRe5iglled l June 2021) {Apwint&J l JuDe 2021 aDd resigned 12 Juty 2021) (Appotnted l JunE 2021) (Apwint¢d l Jutse 2021) (App)inted l Jun¢ 2021) (Appoillted l June 2021) {App)illted 12 Juty 202I) TrllSt are recruited followttig a SeltiOn process caThied out by th¢ ChairmAtL None of th¢ trustees has w"beneficiai intef¢St in the cotDPW. All ofthe Inte¢S are membcrs of the cornpany 8nd guaratttee to contribute £1 in the event of asbrynding up. Th¢ trust¢B5' report was approved by th¢ Board of Tn. R St ClatrJone9 Trustee Dated.. pagc2
THE ASHDOWN FOREST FOUNDATION
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF THE ASHDOWN FOREST FOUNDATION
the trust[) ] I report to the trustees on my examination of the financial statements of The Ashdown Forest Foundation[(] for the year ended 31 October 2021.
Responsibilities and basis of report
As the trustees of the trust (and also its directors for the purposes of company law[) ] you are responsible for the preparation of the . financial statements in accordance with the requirements of the Companies Act 2006 (the 2006 Act[)]
Havin[g ] uired to be audited under Part 16 of the 2006 Act and satisfied myself that the financial state merits of the trust are not re[q] are eligible for independent examination, I report in respect of my examination of the trust's financial statements carried out under section 145 of the Charities Act 2011[(] the 2011 Act[)] . In carrying out my examination I have followed all the applicable Directions given by the Chari[ty ] Commission under section 145[(] 5[)(] b[) ] of the 2011 Act.
Independent examiner's statement
I have completed my examination. I confirm that no matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:
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1 or accounting records were not kept in respect of the trust as required by section 386 of the 2006 Act[; ]
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2 or the financial statements do not accord with those records[; ]
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3 with the accountin[g ] the financial statements do not compl[y ] requirements of section 396 of the 2006 Act other than any art of an inde[p] endent
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requirement that the accounts give a true and fair view which is not a matter considered as[p] examination[; ] or
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4 ared in accordance with the methods and[p] rinci[p] les of the Statement of the financial statements have not been pre[p] Recommended Practice for accountin[g ] and reporting by charities applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic oflreland[(] FRS 102[)] .
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understandin[g ] of the financial statements to be reached.
Darren Harding ACA FCCA DChA
Richard Place Dobson Services Limited
1-7 Station Road
Crawley West Sussex RH!0 !HT
28/07/2022 Dated: ...... , ................ ..
pa[g] e 3
THE ASHDOWN FOREST FOUNDATION STATEMEiYf OF FINANCIAL ACTIVITIES INCLUDING INCOME AND EXPENDITURE ACCOLTh FOR THE YE4R ENDED 31 OCTOBER 2021 UmstrAe¢ed Umrntrkled R¢8trl¢ted nds geBeral dKlgni¢ed 2021 ZQ21 Tot•1 Unrestrleted fullds ge•eral 21120 2021 2021 Income froJD: DoThatsons and le1¢3 Other ¢rnding ac¢iviti¢s Investmeuts 13.442 30 19 25.616 10,944 50,¢K>2 30 19 88,782 Total Income 13.491 25.616 10.944 50,051 88.782 ditllre OD: Charitpble tivItieS 31,T18 31,778 26,822 N¢t (ou¢golnglikneomlNg ruourcts bef• trnwfers ' (18287) 25.616 10.944 18,273 61.960 Gloss traLgfcr5 bEtF¢ll fullds (25.657) 25.657 Net (exp•Ddi¢urnyln¢ome for tbe rI Net rnovernellt An fllnds (43.944) 51xr3 10.944 18.273 61,960 Fund at l NoYember2020 61.9) 61.900 Fulld li JI October 2021 18.016 51273 10.944 80,233 61,960 The 8tateti)ent of finallc1 activiti&4 ineludes all gains and lo&¥cs rccogThis<l in tbe y&ar. All income and expenditswe derive from rtInuinglIVl17cS. The statement of financial activiti&s 8150 complies with th¢ requirvnents for 8n ine4)tDe and ¢xtwdiltue coUnt under the CompaniesAct 2006. e4
THE ASHDOWN FOREST FOUM)ATION BALANCE SIIEET ASA T31 OCTOBER 21)21 Cmrrent 48s¢ts Dcbtors at bBnk aThd in hand 2.784 61,276 81.733 81,733 64.060 CTedlt•rs: fAlllng due y¢4r {1.5(M)) (2.I¢NI) Net Current assets 80.233 61,960 come tstt41s Restricted fvnds Unrestricted fimds . designated nr¢stri¢ted fiLllds- en -De&ignated funds General unrestiicted fimds li 10,944 51273 12 51.2n (33.25TJ 61.960 18,016 61,960 80.233 61.960 .. The company is entitled to the exemption frn thc audit tcquirement C4)tttatned in section 477 of the CompaTri&8 Act 2006, for the Y ended 31 (ktober 2021. .The darectors a¢knowledge their responsib.ilities for CQD)plyiThg with the wirements of the CDmpatiie8 A¢t 2006 with respect (o a¢countiThg records and the preparation of finan¢ial stswnents. .The nembers Ie nat requird.the cornpw toobtsiD an a111 of tts fiDanCi81 StateMts for the year in quion ID a¢¢ordance with section 476. Thege fitWiel&l statemellts have been ptq)wed itt )[d wtth the pt0visio aN>licable to ¢ompanles Subject ¢0 the S1 comp8nies regim¢. £?16 The financi stmfflts were aprmva by the Tn&ea on......................... R St Cloir Jones lknstee Comwny registratffiom llumb¢r 11624110
THE ASHDOWN FOREST FOUNDATIOh' NOTES TO THE FINANCIAL STATFMFiYrs OR THE FEAR ENDED 31 OCTOBER 2021 Aewuntkng poIltles Charlty informatio The Ashdown Forest FouJLdstioD is a priYat¢ Company limited by gDardrth incoryoratsj in England and W41¢8. The r¢gistered office is TheAshdown FoTeStCentr4 ch Cros4 Fwest Row. Ea%t SUSS RH18 5JP. l.A Actthbnthig tonvrntlon The finAttcial statcments have be¢n prepared im AOrdaNC< with the lrysvs M¢morandurtt andArticlu ofAsso¢iatiQD. th¢ Companies Act 2006 and 'A¢c¢xmting 8t ReportitiE by CharitiLS: Statemetrt of ReC4JMmend Pra¢tic¢ applicable to harities preparingtheir 0nts in attordonce with th¢ Financial Retthing Standttrd P11tble in thc UK and Reyublic of Irelslld (FRS 1tr21 {effe¢tive l Jalltw 2019).. The is a Publi¢ B¢D¢fft Entity as defined by FRS 102. The tr81 h&s taken afvantsge of the EWOViSiDllS ID the SORP for ¢hariti¢s applying FRS IIY2 Utdate Bulldin I nDt to prepare a statemenl oFCash Flow& The financial State¢llts are prepared in slerling, whi¢b is the fullGtioMJ c of th¢ tmst. Monetary athounts in th¢8¢ fllJall¢ial statLets Are rouDdcd to th¢ ne8r¢sl £. The fi]wcial statements Iwe t¢en prepaterf IiDder the hisknrid cost cOnvtIOn. The princip a11ng policies Jopted are set out below. 12 GolDg ton¢ern At the tim¢ of approving the st8tementy.the trusttts have a re&%onable exttttstion that Ihe trust IMS ad4uN resources to ¢ontinue in operational existejkce for the foreseeable futur& the trustees ¢ontinue to adopt the going ryJn¢¢rn basis of accouttting An preparing the fllwi¢ial stat¢men 1.3 CbArltsbie fumds un8trICt¢d funds are available forwe atthe discre of the tne¢S in furthe ofth¢ir¢baTitsble objeAtiYes. 1.4 Incom¢ IncMe 15 tCCO8nisd Whe the Irusl is legally cntÈlled to it after aoy perfornwice Lxmditii)ns have been the Ollts Can be measured reliably. a1 it is piobable that incotne wil] bc tc¢eived. Cash donations att recognIs on rcIPl. oth dO[tIo[l$ ate re¢ogttised ollee the trust h&q been notified of the donation, unless performa¢ ronditioDs wuirg d¢f¢r[ of th¢ am¢)ullL tn¢ome fax >Veable ill relation to donAtioDs [e1Ved .uTrdey GiftAid or deed8 of cova]atLt is rwised * the tim¢ of thGdonation. LegAcies are recogni5ed on rtteipt or otherwise if the tnt ixen Dotified of all impending di5tributiw the anwun¢ is known, attd receipt is expecteit. Ifthe amount is not known, thc lew is treated as nting¢llt 1.5 Expenditure Expenditure ts recogllisd on¢¢ the is a legal orroA%tnKtive obligation to 1ransferecotmIC benefitto a third pty, it Is probable that a Iransf¢r of e¢onomi¢ I)eELer will b¢ rowircd in settlemu( and the amount of th¢ obligation can be measured relithty. Bxpenditur¢ is ¢lassified by livity. The costs of eath adivity ate tnade up of the total of direct Costs at¥J shared costs, including support costs illvolved in ulld¢rtakin8 ¢a¢h activity. Direct cosL8 attributhle to a single activity bre allocated diT¢¢tly tr> that aetivity. Shared costs whith aJtJtrtbut¢ to mort than one pdiyity and support ¢05ts which 8r¢ not attributable to a siD8le activity aTe app)rtIed tttween tknse aciivits&8 on a basis consistent with the use of r¢SoUr. Central staff costs are ll118t basis QT time 5P¢DL deprKia¢ion ¢bg¢S are allLated OD the portiL)n of the asset's use. Expenditure is re4x>gnised once there 15 a legal Dr constructive obligation to rnakc a payment to a third pw, it is probable that settl¢fft¢Dt will requi1 and.th¢ aroouot of Ihe obligatioll can be measwd reliably.Expenditure 18 ClSIfied under the followirJ8 hcadill85.' e6
THE ASHDOWN FOREST FOUNDATION NOTES TO THE FINAIYCIALSTATEMFiYrs (coiYrINUED) FOR THE YEAR ENDED 31 OCTOBER 2021 Aeeountthg Wleles (Contlnue Grants payable are payrnents to third rArties in fllrther of the charitablc activitie& these payments are pN>posed and reviewd in the trustees medings and are (xjiy ld OD agrecmeut of the tnth5. The grants Jre aw>un¢ed fw when the payment beell made to the recipieDt whirh is $alty within a timety manner of the meeting dth. Support costs are thoBe ftil]S that l51the WO of the cbrity Imrtdo directly Ulldke th4ritsbl¢ aclivities. . Govemance costs in¢lude those c4th &sMKialtd.wilh medi1 the coltilUttoaI al stalutory wuirements of the Charity and include the Itependent examirAtion fee5 and costs linked to the strate8ic malla8em¢nt of the ¢h8rity. staff costs include those who are employed by the ChaTilable Cornpw or self contr&t freela¢ workers (split in the wages ).. Bre recoled in tirne thty It worked for th¢oIB4nkwtio 1.6 Cash 8Dd eqthalents C&th and c&%h equivalents include cash in h8Dd. h¢ld at with ban&s. other short-term liquid iDvestments with original maturities of three OnthS or I a[ bgDk ovcrdtaft5. BaDk overdra(ts are shovrn within bOowing$ in rellt liabilities. Th¢ ¢haritsbl¢ company onty has assrts and liabiliti of a kind thst qualify &8 b&si¢ financial instrthn¢nts. BasiG rinon¢iai instruments or¢ initially rttogtiised * traLwtionvaJue and subsequ¢lldy measuTThI at their settlement lUC. 1.7 Employee belleflts The cost of any unUd holiday entidanent.is TKO8nis¢d ID the wiod in whith the employee's seThAces are received. Termination b¢fits are rewisd immediatslyx8 all expeLse when the trusi is demon5tr&bly committd to terniillate the employmeDt of an employee orto provid¢ ¢¢nninioD ben¢fits. DoD•tiow #nd legatie Total Unr&%tri¢ted fvnds ¢rnl 2020 f•nds ds . gellernl de8iwted 2021 runds 2021 Donations and Eifts Grants Revivable 8,192 5250 25.616 10,944 44,752 5,250 78282 10.500 l3,442 25,616 10944 50,002 88,782 T.h¢ Don8tions Gifts mplIse of £25.616ffi0rn the Pony GKaiDg & Cons¢mtion Tn aud £4.225 of memorial donations.
THE ASIIDOWN FOREST FOUNDATION NOTES TO THE FINANCIALSTATEMKNfS (CONTINIJED) FOR THE YE4R ENDED 31 OCTOBER 2021 Oth¢r trAdlAg admties Unrutrieled ruDds Total 2021 2020 Fwidrnising ¢vA)ts 30 lllvestmemts Unrestrleled fllDd$ Total 2021 2020 Int¢r6st recrivable J9 Charltsble &rtiviti¢s Crints payxbk Othet charltsbit pendithre TotAI 2021 GrAllts payAble 202(1 Grants payable Web5tte Costs 15.142 15,142 5,384 20,OQO 5J84 15,142 5J84 20.526 20,000 Share of8UPPOrt costs (see note 6} Share of gov¢manc¢ ¢¢)sts (see note 6) 360 10.892 fl0.82 2,826 26J94 5J84 31,778 26,822
THE ASHDOWN FOREST FOIJIYDATION NOTES TO THE FINANCIAL STATEMENTS (COIYTINUED) FOR THE YE4R ENDED 31 OCTOBER 2021 Syport t05ts Support Costs Govtrmatyee 2021 suPrt costs Go¥em8nce 2020 Tr&vel costs 360 360 Legal and prot¢58ional Bank Char8es A¢GOUlltancy FEes &488 8.488 2,820 2.820 360 10.892 I 1,252 3.996 2,826 6,822 Atdy5ed bthee CILatitabl¢ aGtiYities 360 10,892 11252 3.996 2,826 6.822 GoYerJLaDce costs i]Jdud¢s to th6 ltido¢ lMitte of £1.8(KI (202 £1100) for independent exa[tiitiati fees. Trnsttts None of the trn (or atry perM8 wlth them) wRived atry muneralion or benefits from the trust during th6y¢Br. mpioyeos Thc Hv¢Thg¢ fflODthly number ofemploy¢esdurtng theyw was: 2021 N¥mb¢r 2020 Number Total .There w¢r¢ employeu wlu)se fUDyneration motethan £60.IX)O. Debto 2021 2020 knoumts falllng d¢ wltblll one ye•r: 2,784 lil Creditors: mouAts flli*g dué Y4ithkn w¢ yur 21121 20 Accnthls and deferred income 1.51K 2,100
THE ASHDOWN FOREST FOUNDATION NOTKS TO FtNANCIALSTATEMENTS (CO.YnNUED) FOR THE YE4R ENDED 31 OCTOBER 2021 11 Restrieted fwid8 The income funds of the ¢harity include restr1d c4imprisiDg th¢ following Ullexpendtd balances of donations and grants hdd on tt for Slfie puryoses: Mov¢mext I nds Blte1t JI OetobEr2W41 l NoTrnber2V20 Memorials RNqWButtertty 4,225 6,719 6,719 10.944 10,944 M¢morials- th¢se are lega donations for the spo1 of a me)rIal on the foresL typidly in th¢ forni of a b6ttC gate or bridge. . RMW Buttertly . a fomily donation for work on the forest attd a bcnch to be completd over auttm)JLlwillter of 2022r23. 12 DEsigllxted funds "Th¢ irieome thnds of the charity include the following desi8Dated fimds which have been set wid¢ out of uorestricted funds by the truste&s lor specific purwscs: Movement ID (Mnds t l#eDmLThE Irsollrttj l N0veIra11 Balanre t 31 Octthr21ni Pony Grazing - Forest CentreDevelopmMt . 25,616 25,616 25.657 25,657 25.616 25,657 51,273 13 Anity815 of Met a&8ets be¢weett fMdy Unreslritted DttiRllted Restrieted filnds Totsl Unrestricted fiuid5 2020 2W21 2021 Z021 Fund balancu at 31 O¢tober 2W21 &Te TreSented by.. Current atsIlabilltic*) 18,016 51.273 10944 80.233 61.960 18,Ol6 51.273 10.944 80,233 61,960 p8gr 10
THE ASHDOWN FOREST FOIJIWATION NOTES TO TItE FTh'ANCLILSTATEMENfs (CO.YTINUED) FOR THE YE4R ENDED 31 OCTOBER 2021 14 Rdated rty traDsaetloMg There were no discl(thle lated party trdfL8xiorL8 duriug theye•r (2tr2O-ThX). 15 Covid 19 At the reporting date Covid-19 widespread lockd¢)wn meuS to be imposed in the UK and worldwide. This has ." resulted ID a TeductioD I tM)th supply alld in the ¢c(Yw. It 15 llot currently p(>tsibl¢ to esti]natr the impaci this will have on the futur¢ f2cIal results of the charity ixrt m#llagement co]Lsider it to k a $18Dle&t llnenty. Manage]nent have &55e&sed the impaGt of Covi&19 on the results Iqd for the financia] year ended 31 October 2021 and ¢oThsider that ail COVID 19 related costs aThl effects hav¢ been refleded ID thr accounts. F•8¢11