Trustees, Annual Report for the period
THE
From 1 Aprll 2023
To 31 March 2024
Charlty name: The Bryntall Cottag• Charfty
fryv,Idil
COTTAGE
CHARITY
Charlty reglstratlon numb•r. 1190062
Objectives and Activities
Pu
ose of the cha '
'To provlde in the interest of social welfare affordable accommodatFon and facilities
for educational, recreational and other leisu￿ time occupation for chiklren and young
persons who by ￿asOn of their youth or social and economic Circumstances are in
need of such facilities wilh the object of improvirvJ the ￿nditionS of lrfe for SLtth
children and young persons..
Re
rtin
Public Benefit
In order to fuffil our charitable purpose. Ihe charity has to restore Bryntail Cottage lo
a physical state to enable schools and youth groups to visit for residential activities.
Therefore. the principal activities conducted in this reporting period have been
twofold:
1. To raise furKls to enable professional buildiThJ contractors to make good the
schedule of work identified in the lemis of Ihe new lease.
2. To gain planning pennission to enable redevelopment of the property to make
it fit for purpose in the 214 century.
These activities are reflected in the ac￿unts. Complimenting these activities has
been a concerted effort to build up good wll amongst the alumni of Bryntail Cottage.
The trustees consider these actsvilies satisfy the guidance provided by The Chaiity
Commission surrounding delivery of public benefft.
Achlevements and Performance
In this reporting year the chaiity has achieved the following milestones:
1. Received conditional planning approval subject to mitTrgation.
2. Re applied for approval for a reduced scale of remediation.
3. Received approval for item two. above.
4. Approval for large capital grdnt applications to the Heritsge Lottery and
Community (Jvnership Fund.
S. Complete repair work short of redwpk)pment to work towards making ood the
schedule of work required for the lease.
6. Removed the unsightly old Portakabin and re4aid the hedge.

Financial Review
Financial
sth'on as at 31st March 2024
The balan￿ on the account was £155063 in cash. Of this £140690 is restrlcted for
use on the redevelopment of the cottage.
In addition. the charity had been award￿ grants of £36000 payable in arrears.
Reserrfes Polic
The tharity will ly)Id reserves sufficient to cover one yearfs revenue costs.
Whllst the ￿ttage is being refurt)ished this r￿Ure is £4000. The trustees will review
thls once the property is once again used by ￿lS and yDUth groups.
Princi
le Sources of Fundi
Whilst the priority of the tharity is refurblshing the tsJildiThJs the principal sources of _
funding are grants and donations.
Structure Governance and Mana
oment
The charity is a Charitable Incorporated Organisation governed by a constitution.
There are seven trustees who are appointed. Tile Cross Academy is entitled to
appoint one trustee.
Reference and Admlnistrative detalls
Chari
name
Re
ist8red
number
Charity's principal address
119(XJ62
o rile Cross Academy
Gressel Lan8
8imingham
B32 9UF
Narnes of tho chaTIty trusteos who Mana￿ the charity
Tru8t•• nam•
Plam• of (or body) entTrd•d
nt trv•t••
Neil Mackintosh
Paul Marano
Chris Etheridge
Richard Fryer
Adrian Murphy
Andy Hioms
Calrin Meredith
Chair
Tile Cross Academy

Declarations
Tha trustees declar• that they hava approved tho trustsog. report above.
sIgn￿ on behalf of tho charws trustees
Slgnaturols)
Full namels)
Poslllon (eg Secretsry.
Chalr. etc)
Neil Mac￿ntosh
Paul Marano
Chair
Trust88
Dat•
10 April 2024

(HARIIY (OMMISSION
FOR *I￿LAND￿j WhlES
140 lrf•rN)
1190002
ments accounts
11 C•
Recei
tsand
CC16a
For th• pwlod
To
31103n024
Section A Receipts and payments
Unfestrict•d
funds
fund¥
funds
tr•th• w•r••¢ t th the rwTr¥iÉ toth• rmi•8E£ to th• h••rote
Totsl fund¥
L4•iy•ar
A1 Recei
Grarts aruj dona1v￿*
Intere¥1
eJ71
974
1974
AR)
4346
nT
8e•tsbl•.
FL
rn•nts
Chèriiatye objethes
&297
14lOS
19,W2
Sub tot•1
A4 As￿1 •nd inve#tment
Sub total
14105
Net of rn¢elpts/(payments) .
AS Tran8fer• b•twwn funds
A6 Ca•h funds la•t ￿Or and
Cash fvnds thls rnr end
14.
143
140.
185.063
CCXX R3 ar￿￿nIS ISSI
2810Y2024

Section B Statement of assets and liabilities at the end of the period
Unrntrlctod
Re8trlcted Endowment
fundB
fundÈ
•Jrg•¢£
Categories
Deiails
to
B1 C￿h fufftds
1&3n
140,690
Tot•l cash funds
14.373
140.690
lund8
fund
fund$
Detal
to
to noaT￿tE
Detalls
Cox lopthJMrJ
or•
B3 Inva8tm•nt 8886ts
towP4ch
Curr•ntval
ilona
Dotalls
B4 A88ets retalned for th•
charlty's own u8•
111-
Futhj th whl¢h
Arnwntd
Detsll$
B5 Llabllltle•
S¥ned by one crf tr￿￿On
behaw of all tfuslees
Date of
roval
Print Nan
r-24
CCXX R4 accounls ISSI