REGISTERED CHARITY NUMBER: 1187991
Report of tbt Tru5ttes and
Unaudited Financial Statemtttts for the Yt*r Ended l April 202$
for
Htnrik's Trooper5
Harris Lacey and Swain
The Riverside Building
Hessle
Easi YorkshiT¢
HU13 ODZ

HeDrik's Troopèrs
Contents of tht Ftnaneigl St¥temettt3
for tht Y¢ar Endtd l April 2025
Page
Report of the Trustees
lthdeptndent Examiner's Report
Stittmtni of Finlntial A¢tLVlties
Balance Sheet
Note5 to the Financial StatenJellt$
7 10 10
Detailed Statement of Financhal A¢tivi¢ie5

Henrik's Trooptrs
Report of the Trustees
for the Year Ended l .4pril 2025
The tru51ee5 pr¢s¢nt their report w'ith the fIJ￿i¢la[ staiements of the charit>. fo>r tht >'ear ended l April 2025. The Iiustees
have adopied Iht prO￿lS1onS of Accounting and Rewrting bj Charilles." Staiement ofRecoTnmended Practic¢ applicable
10 chariti¢s preparing Ih¢ir accounts in accordance with the Financial Reporting Standard applicable in th¢ UK and
Republic of Ircland IFRS 10?} Icffeciive l January20191.
OBJECTtVES AND ACTIVITIES
Obje¢tives and xim5
This organization KNas fonntd in 2020 and ils ObJe￿iVe is the relief of 5ickn¢5s and pr¢s¢r￿atiOn of health amortg
Lhildien suffcring from Certbral Palsv. providing grttnts tu pzrenis or Ltsrer5 Seeking 10 self- lund children qualifving
loi. S¢leciiv¢ Dorsal Rhizoiotny surgeryl Ircaitncnl. including pre and post- operative iherap>' and equipment.
Wt ￿all1 to help families who don't have ihe financial mtans or ability io self- fund childr¢n qualifying for Selective
Dorsal Rhizolotny.
Formed in 2020, the charity's purrM)se is to ￿lieve sickness and pr¢5¢rve he￿th among children affecied by Cerebra]
P215>. This is ach&eved b%. providiiig grants lo parents 01 Lareis who dre sell-.funding Seltclive Dorsal Rhi79tomy ISDRI
siirg¢Tr. including associated therapy and equipmeni before and after th¢ op¢rolioD.
We airn to supwrt families who do noi have the fiiwicial means to fvnd SDR surgery indepetKltnily.
In th¢ LIK. approYimaiel>' l in 400 children is born with a form of Cer¢bral Palsv each yeaT.
SDR mav be considered for children whose cerebr￿ Pals) piimaril> aIfccis their lower limbs wilh spasiicity bui
minimd we3kness.
SDR is a neurosur￿e￿I procedure aimed at reducing spasiiciry (muscle stiffness) in Lhildren wilh Ctrebral PaisN. Th¢
eondilion itsclf arises from irr¢versibl¢ datnage to the brain occutrirtg before, durin& or shortly after birth. Whil¢ the
brain injury doe5 not worsen 0￿er lime. Ihe resulting rnobilTty challenge£ tan evolve as thl Child wws, often
accompanied by pain. lightness. and inCTeased diffieulty walking.
The paittrn and severity of niotor itnpairments depend on ihe location and extent of brain injury.. which rnay re5uII in
5PU5ticitw, muscle weakness, or diifieulty coordinating t￿0￿¢m¢￿t Idysiortial. These issues are clas5ifi¢d using lh¢ Gross
Motor Fullciion Cla5sili¢alion Syslem IGMFCSI. thhich ranges Iroin Ltvel I Il¢asl s¢v¢r¢l lo L¢￿e1 V lrnost scNerel.
SDR involves severing 5p¢cific n¢TV¢S in the lower spinal cord Ihal contribute to tnuscle 5tiffne$s. thus h¢lping 10
i[npro￿t movement and mobility. Cotnprehet]sive phvsioih¢rapy before 2nd after the surgLry is ini¢gral lo tli¢ trtaimenr.
B¢tore 2019. SDR surgery nor funded by the NFIS. Sinre then. NHS commisstontng has mad¢ SDR available 10 a
selcci wup of children. specificalli. Ihos¢ in GMFCS Levels II and ILI. He￿'t￿er. childr¢n ID L¢vels I, IV, and V Ivere
not inLluded in thL NHS-led clinical studies. d¢spil¢ ¢Trid¢nce thai sutne rna) bcnelii Irom Ihe surg¢r>'.
ACHIF.VEMENT AND PERFORMANCE
Ch*riiablt *£tiviiies
During the >'ear ihe chariry r¢reived applications 10 fund t￿0 surgeries knth of which w'ere accepted ftsr furtdin> The
harity continues io accepi applicaiion5 tor funding on an ongoing basis.
Grants will be publicised through specialist surgical t¢atns. who ma). infurtn families ofthis funding option. A w¢b5it¢ is
also available for ih(>se researching SDR 5UPFK>rt.
Grants are noi paid directly to applicants but arc disbursed lo the hospitals or therapy centres adtnsnisicring the
Irealm¢nt.
Pag¢ I

Henrik's Trooper5
Report of ttle Trustees
for the Year Ended l April 2025
FINANCIAL RE￿'IEw
Princip￿1 funding 50urttS
Related Plrty Di￿losUre
During the p¢riod ended 01 April 2025. donaiions of £50.QOO 12024_ £iQ,0001 wh¢re made by Mr F Elllrter and Mrs R
Ehtner, both of ivhi¢h ar¢ irusiees of the charity.
£50,000 was received from Ap&x Partners during the year12023 - £1 li,OOQI. F Ehmer is a partner ai Apax Partners
as w¢ll as being a trust¢¢ for Henrik's Troop￿r5.
Restrves policy
Th¢ Trustees aim 10 carry such reserves as enables ihem 10 laciliiat¢ operations for all who nttd their help.
The charity. 5 oDgoing administration cosi will be lo￿/0 funded by RiDa and FT2nk Ehmer. Consequenily. IOOQ/o of
dvnationg will go toivards providing grants.
Th¢ wst of a sureery ai iht PortlaThl Hospital is U7,000 ￿h1¢h includes the cost of the surgery, l N'ttk of inpati¢ni
Iphjsio Iwice dail￿] and then ? weeks of outpatieni ph>'sio twice daily and the follow ups al 6, 12 and 24 monik%.
The charity hold enou￿ funds in reserve to Cover this expense should iho" be r¢quir&J to.
The Chariiies r¢serv¢ policy is therefgre lo hold a minimum o1-£37,000 in reserve io cov¢r th¢ cost of a surgery should
they b¢ required.
The level olfree funds available in (he charity is currently £310,80212023.. £260,381).
FUTURE PL4NS
The charity was founded follo￿ ing the personal expLrience of the toundtrs. ￿'hOSe son Henrik under￿'c￿l SDR. Ai Ihe
lim¢. th¢ procedure was not NHS-liinded, and (he high costs und¢rswred the fi[￿nCIal batritrs faced bN rnan￿ tamilies.
This experience inspired a comtnitment lo supwrt others in similar situaiions.
STRUCTURE, GON'EtWANCE AND MANAGEMENT
Governing docurnent
'fhe LharitTr 19 eonirollcd bN lis governing docutn¢nl. a deed of tr￿1 and consriiu1¢5 unincortN)rai¢d charity.
Org2nis¥tion415tru¢ture
The Organi5ation m.ill lak¢ a leEtsI forni of Charitable Incorporated OTgani5aiion I'CIO") who's onl>. voiing members are
its Ghariry tru$iees.
The Organisxtion will be govtmed by a board of 3 Trustees;
Rina Ehffler
Philip Muelder
Frank Fhtn¢T
Th¢ day lo day operation of ihe Organisaiion will be done by Rina Ehm¢T. Ai this stage there is no nea tor any further
staffjng.
The organisaiion will be based and operated out 01. 13 Clareville GTOV¢. London. SW7 SAU. Ai this $tage there is no
need for any other pretnis¢s.
Ittdu¢tion and training of new trustees
Th¢ Trusteesl Funding Lommiiiee lakes no view on whether a ¢hild qualifies or noi qualities for ihe 5urgeryl Ir¢atment.
That dccision is made bv th¢ sp¢cialist surgeon and their ieajn. The TTUSi¢¢sI Funding committee rely on the surgeon s
r¢cotntn¢ndation 10 perform or noi perfortn th¢ surg¢r)'I treatsnenl.
There is no pr¢*xi5ting relationship between the Trusree5 and th¢ #pplic8ni$.
Page 2

HÈnrik'$ Troopers
Report of the Tru5tte5
for the Ytxr Ettdtd 1 .4pril 2025
STRUCTLRE, GOVERNANCE AND MANACEMENT
Mlrktting Strategy and Grant Funding
'rhe grants will initially be marketed through specialist surgeons. who ￿.111 be empoiver¢d lo mention lo families this
alternaiii't for funding. Dr Kristian Aquilina ￿'hO 15 th¢ 5UTgeon that pertorms Ihis surgery at Greai Ormond Street
Hospital and Ihe Ponland Hospital has alreadj ag￿ed to do so. The idea is io broad¢n ihis rnarkeiing basis ov¢r lime.
The tiinding for the granis will not b¢ made diT¢cII)" to the applicarti. bui direcilv io th¢ hospltal. organisation andjor
therapy tenter where the S￿gtryI Irtaitnen( is being performed.
REFERENCE AND ADIMINISTRATIVE DETAIIS
Registered Charity ttumber
1187991
Principil Addre55
13 Clar¢vill¢ Gro￿¢
Lottdon
SW7 SAU
Trustee5
Mrs R Ehmer Chair
Mr F Ehmer Trusiee
Mr P Ehtn¢r Trust¢e
Independtnt Examiller
HaTris Lacey and Swain
The Riverside Building
Easi Yorkshire
HU13 ODZ
AppToied bj order of the of trusiees on 30th Jun¢ 2025 and signed on its behalf by..
Mr$ R Ehmer- Trusiec
Page 3

Jnd¢p¢Ddent Ei#mirttr's Rtport to the Trustees of
Htllrik's Troopers
IAdepeDdent examiner's report lo the trusttès of Héttrik's Trooptrs
reFx)ii to ihe charit), trustees on tny cxamin8tion ol. the aLcounis ot. HenriW5 Troopers Iihe Trust) for the year ended
l April 2025.
Responsibilillts and b*si5 of report
As the charl￿. tru51¢es of ihe 'frust you ar¢ r¢5PODSible for the PTeparalion ol the accounts In accordanct %4'ith the
r¢quiTetnents of the Charities Aci 2011 I'the Aci'l.
I rewn in respect of tny exatnination of th¢ Tr￿11,8 accounts carried out under Section 14) of the Act and in carr)"ing out
my Lxaminaiion I have to110￿ed all applicable DIr￿lon$ giN'en by the Charity Commission ￿der Seciion 14515llbl of
th¢ Act.
Independent examiner's statemtnt
I have completed my examination. l eonfjrm thai no material tnatt¢r5 hav¢ corn¢ to mv aitentivn in conne¢iion with Ihe
examinaiion giving nie caus¢ lo b¢lie￿e that in any tnalerial Tespeet..
acc4)uniing records were not kept in r¢sp¢ct of the TTUSt as required by Section 130 of ihe Act., or
the acL(Trunts' do noi accord with those records.. or
ihe accounts do not coillply ivtth tli¢ applicable requiretnents conccrning thc form and conttni ot'accounts sei out
in the Charitl¢5 IActounlS and RetM)rtsl Regulaiions 2008 other than anv requirement that th¢ accouDts gil'e a
true and fair vi¢w which is noi a mall¢r consid¢r¢d as Fyart of an inde￿ndent examination.
I ha￿t no concems and hake come across no other matters in connerlion w'ith th¢ exatnitfdlion to ivhich aiteniion should
be drawTr in this Te￿rt in order to enable a proper understanding of the accoun¢8 to be r¢ach¢d.
Rich2rd D tacey
Harris Lacey and Swain
Thc Riverside Building
Hessle
East Yorkshire
HIJ13 ODZ
Date..
Page 4

Henrik's Troopers
Statement of FinaDci#l Activities
for the Year Endtd l April 2025
202)
Unrestricted
2024
Total
funds
Notes
INCOME AND ENDOWMENTS FROM
Donation$ and legacies
102.000
167.623
EXPEYDITURE or4
Charitable ietivitie5
Surgerie8
50,133
19.827
Other
1.446
,385
Total
51,579
21,212
NET INCOME
50,421
146.41
RECONCILIATION OF FUNDS
'lolal fuDd% brought forward
260,381
13.970
TOTAL FUNDS CARRIED FORWARD
310.802
260.381
Th¢ Dtries fom) part of these fjnancial statements
Page S

Henrik's Trooptr5
Balance Sheel
l April 2025
2025
2024
Total
funds
UtLTestricied
fi￿d
Notes
CURRENT ASSETS
Cash ai bank
312,188
261,701
CREDITORS
Amounts talling due within one year
11.3861
11,3201
NET CURRENT ASSETS
310,802
260,381
TOTAL ASSETS LESS CURRENT
LIABILITIES
3 IQ,802
260,381
NET ASSETS
310.802
260,381
FUNDS
Urll'estricied twids
310.802
260,381
TOTAL FUNDS
310.802
?60.381
The financial siat¢rn¢nis w¢r¢ approved by the Board of Trustee8 and authoris¢d for i$5ue
30th June 2025 and weie signed on its behalf by..
on
Mts R Ehmer- Trusiee
The tN)ies form part of ihese finallcial stai¢m¢nts
Page 6

Hellrik's Trooper5
Notes to the Finxntial Statements
for the Yeir Ended l April 2025
ACCObNTING POLICIES
Bgsis of preparing the financial Statements
The financial stui¢tnenES of the Lharify. ilhich is a public benetii entiry und¢T FRS 102. haTr¢ been prepared in
3ccordance i%'ith Ihe Charities SORP IFRS 1021 'Accounting and Rewrling bj Chariiies.. Siaiemtni ol-
R¢comm¢nd¢d Practice applicable to chaTilics preparing (heir accounis in accordance Th'ith the Finanrial
Reporting Standard dppIiLablc in Ihe UK and Republic of Irelund IFRS 1021 leffective l Janvar) 20191,.
Financial Rewrting SiandaTd 102 The FinanLial Rewrling Standard applicable in the UK and R¢publi¢ of
Ireland, and the Chaiities Aet 2011. The financial siatemenls hav¢ been prepared under the hisioiical cost
conv¢ntion.
Critit#l *ctollnting judgemtnts and key sources of e$timation unttrt#inty
Lsliniates and judgements are continuall) evalualcd and are based on hisiorical ¢xperi¢nc¢ and ot￿r factOT$.
including expectsiions of fuiurc ci'enis thai are belIe￿"¢d to be reasonable under the cireurn5tances. Alihough
these esiimates based on lh¢ DiTeL10￿, besi kno¥sledge ol the ￿nOun[. evenis or actions. aclual result$
uliitnalel! differ fiom these esiimaitt. The Directors do no>1 consider there lo be anv material esiimaies and
judgemenis.
XM¢omt
Incorn¢ re¢eiv¢d for seTrices Provid￿ is accounted foron an accrua15 ba51S.
Cash doiiation5, gifts dtMI legaeies are included in full in Iht incorne and expenditure account as Ihey are
ectivtd. Any signifieani non-cash donations ar¢ included in the income and expendiiure accouni at th¢ trusl¢¢5'
¢5timate of their m3rk¢l Val￿ ￿'hen received. The valuc of volunrary help 15 not included in the accounis.
Expenditure
LiabilitiLs are recognised as expenditu￿ as soon a5 there ig a legal tsr con￿rUctIVe obligaiion committing the
charity io thai expendiiur¢. it is prob2ble thai a transfer of tconomic ben¢fits will be required it) getilemeni and
Ihe amount ot'the obligation can be measured reliabl>'. Expenditure ig acLouni¢d lor on an accruals basis and has
been classified uiider headings that aggregate a]1 cost related ro the categorv. Wh¢re costs Lannot be direcilv
aiiribuied to pantcular headings the). huv¢ been alloeat¢d io activities on a basÉs consistent with th¢ use of
resources.
CJTanLS nfteTed %uhject i(> cDndilil)n% which have nnr been ma al th¢ y¢ar end date 8Te noied as a conmiitmeni but
noi accrued as expenditure.
TaAation
The charitv is exetnpt frotn ￿ on it$ th￿Ilable aciiiiiies.
a¢¢ounting
UnTe5tricted funds can be used in accordance with the charitable objectives at Ihe discretion of ihe Irusie£s.
R¢stri¢led tunds can only be used lor particular resiricted purposes within the objects of iht chariry. Restriction8
aTise when specified b! the donor or when funds are raised for panicular restricted purp05¢S.
FurthLr explanation of the natUTe and purpgse of each fund is included in ihe noie5 10 the financial stst¢tnenlS.
Finkllti#l itkstrumtnts
The compans onlv has fitwiti21 assets and fjnancial liabilities of a kind that qualify. as basit financial
instrurncnts. Basic financial tnslrumenis. including irade and other dcbiors and creditors are initially r¢cogni5ed
ai IranSa￿￿On y￿U¢ and subsequently tneasured at their sL>ttlemet]i value.
Page 7
coniinued...

Hebrik's Troopers
Notes to the FinancTal Statements- tothtinued
for the Year Ended l April Z025
TRU5TEES' REMUNETL4TION AND BENEFITS
There were no trust¢¢s' remuneration or other b¢n¢tits for th¢ year end¢d l April 2025 nor for Ihe )"ear tnded
April 2024.
TTu5tees' expenses
There Th'¢Te no trus¢¢es' ¢xpense5 paid for the year ended l April 20?5 mr for the year ended l April 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIALACTIvrriES
Uttresiricitd
Fund
INCOME AND ENDOWMENTS FROM
Donations and LegaLie5
167,623
EXPENDITURE ON
Support Costs
1.385
Chgritable llctivitit$
Surgeries
19.827
Totsl
21.212
NET ITrICOME
146.411
RECONCILIATION OF FUNDS
Total funds brought forward
113,970
TOTAL FUNDS CARRIED FORWARD
260.381
CREDITORS: Ai¥iouiYfs FALLING DUE WITHIN ONE YEAR
202)
2024
Other creditors
1,386
1.320
movE￿IE1¥T IIY FUNDS
Net
movemeni
in fund5
At
1.4.?5
At 2.4.24
Unrestricted funds
General fund
260,381
50,421
310.802
TOTAL FUNDS
260.381
50,421
310.802
Page 8
onlinued..

Henrik'5 Troopers
Notes to the FinAncial Siatements- continued
for the Year Ended l April 2025
MOVEMEI¥¥T IN FUNDS- contiknutd
Net rnov¢Tnent in funds, included in the above are as follows..
Incoming
resouices
R¢sour¢e5
cxpended
Movement
in fijnds
Unrestritttd futtds
General fiind
102,000
151.5791
50,421
TOTAL FLINDS
102,000
151,5791
iO,421
Comparatives for movement funds
Nei
tnovement
in funds
At 2.4.23
.4.24
Unre5tricttd funds
General fund
113,970
146,411
260.381
TOTAL FUNDS
113.970
146,411
260.381
Comparattve n¢t movetnenl in funds. included in the aLNJve are as follows=
Incoming
resources
Resources
expended
Moietneni
in tiinds
Unrtstritted funds
Genttal fund
167,623
TOTAL FUNDS
167.623
146.411
A curreni ytar 12 months and prior year 12 months ¢ombined position is &$ follows..
Ner
moTrement
in funds
At 2.4.23
1.4.25
Unrt$¢rict¢d funds
General fund
113.970
196,832
310.802
TOTAL FUNDS
113.970
196.832
310.802
Page 9
coniittued...

Henrik'5 Troopers
Notes to the Fin*nti*l St*ttmtthts- tontinued
for tht Tr'ear Ended l April 2025
MOVEMENT IN FUNDS- tontinued
A current year 12 rnonths and prior vear 12 rnonths combined net movemeni in funds included in the above are
as lolloivs-.
Incoming
T¢sources
Resources
expended
Movetnenl
in funds
Unr¢5tricted fuDds
G¢neral fund
269,6?3
172.7911
196.832
TOTAL FUNDS
269.623
172.7911
196.832
RELATED PARTY DISCLOSURES
Dtsring ihe period ended 01 April 2025. donaiions of £50.00012024- £50,000) wh¢rc made by Mr F EhmeT atKi
Mrs R Ehmer. knth of which are tru51¢¢5 Ot th¢ charity.
£50.000 was r¢ceiv¢d from Apax Foundation during the year12023 £115,0001. Mr F Ehm¢r is a partner ai
Apax Partners as well as being a Irustet for Henrik's Troopers.
Page 10

Henrik'5 Troopers
Detailtd Statement of FiDan¢ial Activitie5
for th¢ Year Ended l April 2025
2025
2024
INCOME AND ENDOWMEIYTS
DollAtIODS and legY4eies
Donaiions
102.000
167,623
Total inCOmTng resourtes
102.000
167.623
EXPENDITURE
Charitable xctivitits
Grants lo individiials
50,133
19.827
Support costs
Financt
Bank. charges
60
65
Governante costs
Accountancy and legaj f¢¢s
1,386
,320
Total resources expend¢d
51,)79
21,212
Net income
50.421
146.41
Thi5 page doe5 not form part of the staiuiory. financial statements
Page 11