REGisfERED COMPANY NUMBER: CE20714 {England and Wales)
REGIsfERED CHARITY NUMBER: 1187978
REPORT OF THE TRusfEES AND
UNAUDITED FINANCIAL sfATEMENTS
FOR THE YEAR ENDED Isr APRIL 2024
FOR
RYE HERrrAGE CENTRE
Glbbons Mannington & Phipps LLP
Charterej Accountants
Landgate Chambers
24 Landgate
Rye
East Sussex
TN31 7U

RYE HERrrAGE CENTRE
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED Isr APIUL 2024
Page
R•port of th• Truste•s
I to 4
Ittdeptndént Ex•min•r's Réport
Statement of Finan¢ial A¢tivitios
Balance Sheet
Notes to the Financial Ststements
9 to 13
Détalled Statémént of Flnandal Activities
14 to 15

RYE HERITAGE CENTRE
REPORT OF THE TRusfEES
FOR THE YEAR ENDED Isr APIUL 2024
The trustees who are also directors of the charity for the purpose5 of the Companles Art 2006, present their
report with the flnanclal ststements of the charfty for the year ended 1st Aprll 2024. The trustees have
adopted the provlslons Of Atcounting and Reporting by Charltles.. Ststement of Recommended Pracbce
applicable to chart￿es preparing their accounts In accordance wlth the Flnanclal Reportlng Stsndard
applicable In the UK and Republlc of Ireland (FRS 102) (effectlve l January 2019)-
OBJECTIVES AND ACTivmES
Objectives and airns
To advance educatlon for the publ1¢ benerrt In the history and heritage of the Antient Town of Rye ty
rnalntalnlng a Heritsge Centre and oryanlslng exhlbltlons and events.
Nothing in thls constI￿￿on shall authorlse an appllcatlon of the propwty of the CIO for the purposes whlch
are not charltable ac¢ordance the Charities Art 2011.
Signlficant artlvltles
To exhlblt the town model, by Tneans of a Ilght and sound model show whlch explalns the unlque h15tory of
the Anclent Town of Rye, by entry fee.
Unked to the model Is a ￿MelIne of supportlng herltage exhiblts.
There are saleg of related herftage items to add Income.
There are related acUv￿eS such as town walks and other herltage athvltles to add Income.
A programme ol digltJsaUon Is under way to enhan￿ the herftsge value.
Theo15 a schools pro9ramme.
Public benefit
The trustee5 have regard to the guléancè on public benefit issues by the Charities Comrnission.
Volunteers
voluntee￿ are fundamental to the operatlon and add value.
Page I

RYE HERrrAGE CEMTRE
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 1ST APRIL 2024
ACHIEVEMENT AND PERFORMANCE
Charitable artivitles
Several thousand visitors (both local and natlonal and Intemauonal tourlstsl have come to the centre many
of whom also watched the town model show Illustratlng the hlstory of the town gf Rye. Further, local PLFbll¢lty
has meant that many more locals a￿ vSsltlng the centre,. often uslng the model and ts show to Introdu
their vlsltors to the town befts￿ embarklng on a walklng tour,
School patty vlslts have Int￿aSed thls year Includlng those from other countrles. It seems as though schools
from continental Europe are gradually gettlng through thè challenges created by Brèxlt. although this aspett
Con￿nueS to reduce overall numbers compared to pre-Brexlt years. Locally, thls year the centre was able to
offer a work experfence placement to a student at Rye's hioh sd)ool. The student who came on this
placement subsequenyy volunteered to worf( at the centre In the summer holldays.
Enhan￿rnent of the model show continues with projetted Imagès belng used tts add to the audio-v15ual
experlence. The centre Is also investigating projectlon mapplng as a way to provlde a more Immerslve
dlsplay. Centre exhlblts contlnue to be updated ané thls year a new audlts-vlsual walk-through dlsplay called
the "Smuggltrs. Attic" has been added.
More volunteers hove been recrulted, and the range of activities that they perfomi have also been widened.
The volunteer recruitment drlve contlnues.
The planned programme of educatlonal and entertalnlng talks and town tours has been expanded.
The Heritsge centre contlnues to be closely Invofved w6th the Ilfe of Rye Includlng many of the annual
festivals and event5 that the town puts on each year. For example, the Herftage centre participated In. Rye
Arts Festlval"
"Rye Bonfire", "ChNstmas In Rye" and the annual town meetlng. Addltlonallyl the Herftage
Centre put on its own mini-festival with a commemoratlon and reenactment of the 450th annlversary of
Queen Ellzabeth the Nrst's vlslt to Rye.
The dosure of the town's tourfst Offi￿ ¢)Iled the Rye Infomlation Polnt (RIP) was both bad and good news
for the Heritsge Centre. The bad news was that it meant the volunteer stsff and the manager had to handle
many more tourfsm questlon5 from rnembers of the publlc. Thls not only takes up valuable ty.me but can also
be quite challenging for volunteers untrained in this field. On the plus sidè, thDugh, Rye Town Council, that
formerty ran the RIP donated rmth of the unsold stock for sale at the Heritage Centre.
A pa￿Cular highlight this year was worklng wlth several new local volunteers and recelvlng a He￿tage
Lottery Fund grant to produce Rye's Her5tory ProJecV'. Thls venture Involved Intervlewlng local women to
bulld up an audible history and exhIbI￿on of the Ilves of women In the town of Rye.
Fundrai$lng activitie5
We continue to be succes5fv1 In ralslng ftJnd5 from a number of Indlvldual donors, Herltage Centre vlsltors
and grant-glvlng organlsatlons. The fart that over half of the cost for the model show upgrade Y4as donated
was partipjlarly plea51ng.
FINANCIAL REVIEW
Flnancial po$ltk>n
The trustee board made a decislon to retsin a mlnlmum of £5,000 as a reserye. Thls sum represents
overheads and salarfes for approximately three months.
At the year end the CIO held unrestrlcted reserves of £13,374 and restricted reseNes of É5,416. Thls
mount Is suffldent to meet the mlnlmum reserve alm5 Stated above.
Page 2

RYE HERITAGE CENTRe
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 1ST APIUL 2024
FINANCIAL REVIEW
Prlnclpal funding sources
The charfty's printipal source5 of fvnds are:
- income from model shows
shop sales
walks and talks
grants and donations
Going concern
Thls Is a small chailty whlch Is not likely to have huge ￿erveS of capltal to call uwjn. Nevertheless, we are
confident that through the use of pmdent Ilnanclal mana9ement, we Can rernaln solvent and prosper. This
has proven to be the case in this financial year as the avallable funds of the oryanlsatlon are enhanced
cornpared to the financlal year precedlng.
srRucfuRE, GOVERNANCE AND MANAGEMENT
Governing document
The charity is controlled by Its governlng document, a deed of trusL and consdtutes a Ilmlted company,
Ilmlted by guarantee. as deflned by the Companles Act 2006.
Recruitment and appolntment of new trustee$
By the trustee board on the basls of thelr sultsbllity In terms of skllls and eXperIen￿ and thelr wllllngness to
voluntew for the role.
OryaThlsatlonal structure
The Eharlty Is run by a trustee board.
The board fomiulates pollcy whlth Is Implemented through the ernployed manager.
The manager or¥Janlses volunteers to support various aspects of the centre's operatlon.
Inductlon and training of new trustees
There are some twenty policies agreed by the board that serve as guidance for the monager and new
tnjstees.
Internal and extemal tralnlng courses are made avallable for both the manager and new tn&stees to leam
about partlcular aspects of their role as required.
Related parties
The chamty has a good rdatyonship wlth Rye Town Councll whlth owns the slte. The board lease5 the bulldlng
on a pepptrcorn rent basis whlch Is subject to lease and Con￿Ct.
The centre also has good relationships with many organisations In the town and expanding these
connethons. In partl¢ular, contacts wlth the Rye Museum, the Rye Harbour Nature ReseNe and the Chamber
of Commerce have been estsblished with a vièw to working together for the benefft of Rye In the ￿re,
partlculaAy In the area of tOu￿sm.
REFERENCE AND ADMINisfRATIVE DEfAILS
Regist•r•d Company number
CE20714 (England and Wales)
Registered Charlty number
1187978
Page 3

RYE HERITAGE CENTRE
REPORT OF THE TRUSTEES
VOR TME YEAR ENDED 1ST APIUL 2024
R¢gi$ternd office
The Old Sail Loft
Strand
Rye
East Sussex
TN31 7AY
Trurtees
Mr C R Hoggart Chair
Mr 5 1 Blattman
Mr R A Sperrlng
Or A T B Klmber [￿Igned 281612023}
Ms S R Sherburne Ireslgned 191912024)
MrMWEve
Mr M T Blincow
Mr I Walker Trustee (appolnted 2811112023)
Company 5ecretsry
DrA T B Klmber
Independent Examiner
Glbbons Mannlngton & Phlpps LLP
Charte￿d Accountsnts
Landgate Chambers
24 Landgate
Rye
East Sussex
TN31 7U
Iiliitr,
Approved by order of the board of trustees on .,....,.,..................................
. and signed on Its behalf by:
Mr C R Hoogart- Trust
Page 4

INDEPENDENT EXAMXNER'S REPORT TO THE TRusfEES OF
RYE HER￿AGE CENTRE
Independent examinerfs report to the trustees of Rye Heritag0 Centr• ('the Company.)
I report to the charity trustees on my examination of the accounts of the Company for the year ended
1st Aprll 2024.
Responsibiltties and bas15 of rèport
As the charity's tnJstee5 of the Company {and also its directors for the purposes of company law) you are
rtsponslble for the preparauon of the accounts In accordance wlth the requlrements of the Companles Art
2006 ('the 2006 Att'l.
Havlng sausfted myself that the accounts of the Company are not requlred to be audited undÈr Part 16 of the
2006 Art and are eliglble for Independent examlnatlon. I report In respect of my examinatlon of your
charlty's accounts as carried tsut under Section 145 of the Chat1tles Act 2011 l*he 2011 AcV}. In carrying out
my examlnatlon T have followed the Dlrertlons glven by the Charlty Commls51¢*n under S￿￿On 145{5) {b} of
the 2011 Act.
Independent examiner's statement
I have completed my examlnauon. l ¢onfim) that no matters have come to my attertlon In connectlon wllh
the examlnatlon glvlng me cause to belleve..
accounting records were not kept in ￿spect tsf the Company as requlred by Secbon 386 of the 2006
Act; or
the atcounts do not accord with those retords,. or
the accounts do not comply w￿h the accounung requirements ol Secuon 396 of the 2006 A¢t other
than any requirement that the accounts give a true and falr view whlch Is not a matter considered as
part of an Independent examlnatfjon; or
the accounts have not been prepared in accor(jan￿ with the methods and prfnciples of the Statement
¢f Recommended Prathce ft)r a¢countino and ￿po￿ng by charltles {appllcable to chartues prepamng
their accounts in accordance with the Financial Reporting Standard Jpplicable in the UK and Republlc
¢f [￿laThd IFRS 102)).
I have no concems and have come across no other matters in conneLtion with the ex4minatipn to which
attentlon should be drawn in thls report In or¢Jer to enable a proper understsnding of the accounts to be
reached.
Mr Davld Ashby
Glbbons Mannln9ton & Phipps LLP
charte￿ Accountsnts
Landgate Chambers
24 Landgate
Rye
East Sussex
TN31 7U
Date. ...?. l ! l.T5
Pa9e 5

RYE HERrrAGÉ CENTRE
srATEMENT OF FINANCIAL AcmiiTIES
POR THE YEAR ENDED Isr APRIL 2024
2024
Total
funds
2023
Total
funds
Unrestrlcted Restrfctsd
fund
fund
Notes
INCOME AND eNDOWMENTS FR014
Oon3t)on5 and le9ades
9,917
9.917
7.048
Charitable •ctivities
Education
815
815
15,441
Other trading art5vI￿e5
Investment income
50,625
45
50,625
46,543
22
Total
61.402
61,402
69,054
EXPENDITLIRE ON
Raising funds
36,939
36,939
37.684
Charitable artivitieg
Educatlon
Shop Activty
14,133
7,269
21,402
6,464
23.608
Totsl
57,536
7,269
64,805
61,292
NEf INCOMEI(EXPENDITURE)
3,866
(7.269)
(3.403)
7,762
RECONCILIATION OF FUMDS
Total funds brought forward
Ilfj85
21193
14,431
TOTAL FiINDS CARRIED FORWARD
13,374
5,416
18,790
22.193
The n¢Jtes fom part (l these financk31 stat￿ents

RYE HERZTAGE CENTRE
BALANCE SHEET
Isr APRIL 2024
2024
Total
fvnds
2023
Total
funds
Unre5trlcted Resirfcted
fund
fund
Notes
FJXED ASSErs
Tangible assèts
1,625
035
3,660
2.167
CURRENT ASSErs
Stocks
Cash at bank
io
1,500
12,941
¥500
16.323
1.500
21.218
3,382
14,441
3.382
17,823
22.718
CREDXTORS
Amounts falling dve within one year
li
(I692}
{1)
{¥693)
(2,692)
MFf CURRENT ASSETS
11,749
3.381
15.130
20,026
TOTAL ASSETS LESS CURRENT
UA￿UTIEs
13,374
5.416
22.193
NET ASSErs
13,374
5,416
18,790
22,193
FUNDS
Unre5trlcted funds
Resirlcted funds
12
13,374
5.416
9,508
12,685
TOTAL FUNDS
18,790
22,193
The Char￿able company Is entliled to exempkn from audlt under Sertlon 477 of the Companles Att 2006 for
the year ended 1st Apiil 2024.
The members have not requlred the company to obtsin an audlt of Its tlnanclal statements for the year ended
1st April 2024 in ac¢or(lance with Sertion 476 of the Companles Act 2006.
The trustee5 acknowledge thelr responslblllUes for
(a)
ensurfng that the charltable company keeps accounung records that compty wth Se¢tlon$ 386 and
387 of the Companles Art 2006 and
preparfng financial statements whlch glve a true and falr vlew of the stste of affalrs of the chadtsble
company as at the end of each finanoal year and of Its surplus or deficit for ead) financfjal year In
accordance with the requlrements of Sectlon5 394 and 395 and whlch Othe￿Ise comply wlth the
requ1￿Ments of the Companies Att 2006 rela￿n9 to financlal ststements, so far as appllcable to the
char(tsble company.
(b)
The note5 forrn part of these finandal siatements
Page 7
con￿NJed...

RYE HERITAGE CENTRE
BALANCE SHEEf- wntinued
Isr APIUL 2024
These financlal ststements have been prepared In accordance with the provislons applicable to charitsble
ry>rnpanies 5ubjert to the small companies re9ime.
The
nanclal statements were approved by the Board of TNstees and authorised for issue on
21,/.1./.l.f.,,,....
. and were slgned on bts behalf by:
Mr C R Hoggart- trustee
The notes fomi pJrt gf ttRse fI￿n¢1?1 statements
Pa9e 8

RYE HERrrAGE CEvfRE
NOTES TO THE FINANCIAL sfATEMENTS
FOR THE YEAR ENDEO 1ST APRIL 2024
ACCOUNTING POLlaES
Basls of preparlng the financial statèm•nts
The financial statements of the charftable company, whlch Is a publlc benefit entlty under FRS 102,
have been prepared In accordance wlth the Charfues SORP {FRS 1021 'Accounting and Reporbng by
Charltles.. Statement of Recommended Prath￿ applicabte to charftles preparing thelr accounts In
accordance wlth the Nnanclal Repo￿ng Standar(l applicable In the UK and Republic of Ireland IFRS
102> leffectyve l January 2019),. Financial Reportlng Stsndard 102 The Flnancial Reportlng Standard
applicable in the UK and Republlc of Ireland, and the Companles Act 2006. The financial statements
have been Fyepared under the historical c05t convention.
Inubme
All Income Is recogni5ed in the Ststement of Flnanclal Acdvltles once the charlty ha5 entmement to the
funds, It Is probable that income wlll be received and the amount can be measu￿￿ relSably.
Expendlture
Llablll￿e5 are recognlsed as expendlture as soon as there Is a legal or construrtlve obllgatlon
commitkn.ng the charfty to that expenditure, It Is probable that a transfer of economic benellts wlll be
ulred In settlement and the amount of the obllgatbon can be measured reliably. ExPend￿Ure 15
accotsnted for on an accrua15 bast5 and has been classified under headings that aggregate all cost
related to the category. Where costs cannot be dirertly attributed to pa￿(ular headings they have
been allocated to actlvltles on a basLs consistent wlth the use of resources.
Tangible fixed a$￿t$
Depretiatlon Is provlded at the followlng annual rates In order to wrlte off each asset over its
e5Umated usefvl life.
Plant and machlnery
25% on reduclng balan
stock5 are valued at the lower of cost and net rea115able value, after maklng due allowance for
obsolete and slow movlng Items.
T•x•tion
The charity is exempt from corF*)ratlon tax on Its charftable acUvltle5.
Fund accounting
Unrestrlcted funds can be used in accordan￿ with the charltsble objecuves at the dlscretlon of the
trusteeg.
Resthrted funds can onty be used for particular restrfcted purposes wlthln the objects of the charity.
Restrictions a￿se when 5peufied by the donor or when funds are ralsed for pafbtular restrlcted
purposes.
Further explanation of the nature and purpose of eath fund Is Included In the notes to the financlal
st*ements.
Hlre purthjw and leasin9 commitments
Rentsls pald under operating leases a￿ charged to the Staternent of Flnanclal Artlvltles on a straight
Ilne ba51s over the perlod of the lease.
Page 9

RYE HEIUTAGE CENTRE
NOTES TO THE FINANCIAL sfATEMENTS- contlnued
FOR THE YEAR ENDED 1ST APRIL 2024
OTHER TRADING ACTIVITIES
2024
2023
Shop income
Commission
50,202
423
46,543
50,625
46,543
INVEsfMENT IP4COME
2024
2023
Deposit account Intwest
22
RAISING FUNDS
Other tradlng •¢tivities
2024
2023
Openlng stock
Purchase5
Cl¢sing stock
Stsff costs
Repairs & Maintenance
Rates an¢J Water
Insurance
Ught and Heat
Telephone
Post and Stationary
Advertlslng
Commlsslon
Interest payable and slmllar charges
¥soo
16014
(I,soo)
I1￿11
I,S32
820
12,316
{1,500)
10.750
8,986
1.074
1,357
1,779
694
350
1,015
858
502
1.365
43
36,939
37,684
I•Ef INCOME/(EXPENDrnIRE)
Net income/(expEndibJre} is stated after chargIngl(c￿lting)',
2024
2023
Depredauon . owned assets
Other operaong leases
Indepèndent Examlners fee
1,219
722
960
1,150
P•3e 10
continued...

RYE HERITAGE CEP￿RE
NOTES TO THE FINANCIAL STATEMENTS- ¢ontlnued
VOR THE YEAR ENDED 1ST APRIL 2024
TRusfEES' REMUNERATION AND BENEFITS
There were no trustees, remUnera￿On or other benefits for the year ended 1st April 2024 nor for the
year 1st Apr(12023.
Trustees. expenses
There were no trustees. expense5 pald for the year ended 1st Aprfl 2024 nor for ihe year ended
1st Aprll 2023.
STAFF cosrs
The average monthly number of employees during the year was as follows:
2024
2023
Manager
NO employees recdved emolurnents in excess of £60.000.
COMPARATZVES FOR THI STATEMENT OF FINANCIAL ACTIVrnES
Unrestrfcted
hjnd
Restricted
fund
Total
funds
INCOME AND ENDOWMEIITS FROM
Donations and legades
7,048
Charitsble activitits
Education
441
15,000
15.Hl
Other tradlng artovltles
Investment income
46,543
22
46.543
22
T¢)tal
54,054
15,000
69.054
EXPENDITVRE ON
Ra15ing funds
37,684
37,684
Charitable actlvlll•s
Educatoon
17,793
5.815
23,608
Totsl
55,477
5.815
61,292
NIT INCOMEI(EXPENDmiRE)
11,423)
9.185
7,762
RECONCIUATION OF FUNDS
Total funds brought foThvard
10,931
3,500
14.431
TOTAL FUNDS CARRIED FORWARD
9,508
12.685
22.193
Page 11
contlnued...

RYE HERITAGE CENTRE
NOTES TO THE FINANCIAL sfATEMENTS - continy•d
FOR THE YEAR ENDED Isr APIUL 2024
TANGIBLE FIXED ASSErs
Rye Town
Model
Plant and
mathinery
Totals
cosr
At 2nd Aprll 2023
Addl￿On5
3,851
2.712
3,852
712
At 1st Aprll 2024
6,563
6,564
DEPRECIATION
At 2nd Aprfjl 2023
Charge for year
1,68S
1,219
1,685
1.219
At 1st April 2024
191M
NEf BOOK VALUE
At 1st Aprfl 2024
3.659
3,660
At 1st April 2023
2,166
2,167
Rye Town Model - See Note 13
io. STOCKS
2024
2023
Stocks
1,500
1,500
11. CREDITORS: AMOUNTS FALUNG DUE wrrHIN ONE YEAR
2024
2023
Soclal securlty and other taxes
Other ¢redliors
rued expenses
1,728
1.728
960
960
1693
2,692
12.
MOVEMENT JN FUNDS
The ￿t￿Cted fvnd wresents grants rttaved for specific purposes.
Page L2
¢ontlnued...

RYE HERITAGE CENTRE
NOTES TO ThE PIMANCIAL STATEMEpifs- ¢ontinu•d
FOR THE YEAR ENDED 1ST APRIL 2024
13. RELATED PARTY DISCLOSURES
There were no rdated party transattions for the year ended 1st Ap￿1 2024.
14. RYE TOWN MODEL
On l Apiil 2020 Rye Heritage Centre CIO purchased the Rye Town Model from Rye Town Councll for
the nomlnal fee of £1.00. Under the terrns of the purchase Rye Herltage Cefitrè CIO agreed that
should the CIO cease to opet7te in the future, Rye Town Coundl has the first refLtsal to purchase the
Rye Town Model for the £1.00 nominal fee.
The Rye Town Model Is shown within a separate asset category at ivs nomlnal value of £1.00.
15. REKr
On l April 2020 Rye Heritage Centre CIO entered a lease agreement with Rye Town Councll to rent
the Herltage Centre bulldlng on a peppercorn rent basls at the nominal annual fee of El.00. This
agreement Is for the term of 5 years and will be re negotiated at the end of the lease.
Page 13

RYE HERITAGE cEl￿RE
DEfAILED sfATEMENT OF FINANCIAL AcfiviTIES
FOR THE YEAR ENDED Isr APIUL 2024
2024
2023
INCOME AND ENDOWMENTS
Donations and l*ga¢l
DOna￿onS
9,917
other trndlng actlvltles
Shop Sncome
Commlsslon
50,202
423
46,543
50,625
46,543
Inv•stment Income
Deposit account Interest
45
22
Charitable activities
Grants
815
15,441
T¢)tal incoming resoyr¢•s
6¥402
69,054
EXPENDITURE
Other trpding xtivitie*
Operbing Stock
Shop Purchases & Equipmènt
Ticket Fees
Wages
Repairs & Maintenjnce
Rates and Water
Insuran
Llght and Heat
Telephone
Post and Stauonary
Advertising
Commission
HMRC interest
Closlng stock
1,500
13,713
3,101
11,811
532
820
9.675
2,641
10,750
8,986
1.074
1.357
1.779
694
350
1.015
858
502
L365
400
43
(1,500)
(1,500)
36.939
37.684
Charltable actMtI•s
Wages
Rent
Rates and water
Insuran
Light and heat
Telephone
Postsge and stationery
Carrfed fO￿ard
11,811
10.750
358
452
593
231
350
12,735
736
286
502
13.819
Thks page doe5 not fom part of the ststtjtory financial statements
Page 14

RYE HERrrAGE cE￿rRE
DEfAILED STATEMEKf OF FINANCIAL AcfIviTXES
FOR THE YEAR ENDED Isr APRIL 2024
2024
2023
Charltable artivitie•
Brought forward
Adverts.￿ng
Sundrfjes
Equlpment
RepaiTS & MalntenarKe
Subscrlptions
Waste Dlsposal
Donations
Travel
Printing
Projett expenses
13.819
1,365
478
260
3,814
1.509
239
413
12,735
1,015
161
6,81S
754
173
¥837
1,627
25,609
21.653
Support costs
Finan¢e
Bank charges
Plant and machlnery
83
722
1.219
1.297
805
Governance ¢osts
Accountanry f￿S
960
1.150
Totsl resources expended
64,805
61.292
N¢t {•xp¢nditur•)lincome
{3,403)
7,762
Th15 page doe5 not fomi part of th2 5tattrtory finanaal ststements
Paoe 15