Charily registration number-. 1190442
John's Charity CIO
Annual Report and Financial Statements
for the Year Ended 5 April 2025
WESTCOTTS
CMAHTERED ACCOUIITANTS

John's Charity CIO
Contents (continued}
Reference and Administrative Details
Trustees. Repxjrt
2to4
Accountants, Report
St8tement of FÉn3ncial Activities
Balance Sheet
Notes to the Financial Statements
8t012

John's Charlty CIO
Reference and Administrative Details
P Lewis
M Saywell
S Lander
M Wading
Charlty R•glstratlon Numb•r
1190442
Prlnclpal Offlce
Clo Mi¢helmores LLP
Woodwaler House
es Hlll
Exeter
Devon
EX2 5WR
A¢¢ountants
Westcotts (SWI LLP
Chart8r8d Accountants
47 Boulport Street
Bamstaple
Devon
EX31 1SQ
Pag¢ 1

John's Charity CIO
Tru5teo$' Report
The Iruslees present the annual report together with the finand81 statemen15 of the charity for the year
ended 5 April 2025.
structur•. governance and manag•m•nt
Organisalional Structure
Thelogal and admlnistrative detai18 are listed on page 1. The trustees who sarvad during the ygar are
Ilsted on paga 1.
Trustee Appo.inlment and Induction
New Tnjstees are appointed by a resolution pa55ed al a PToperfy convened rneeung of th8 cha￿ty
Trustees. In selecting individuals for appointment as Tnjslees, the Trusleès must have regard lo the
skills. knowledge and experience needed for the efftictive administration of the CIO.
Naw Trustees will b8 provldèd with 8 Copy of the current ccfflslltullon of the CIO along wlth a Copy of
the 5atesl Trustees, Annual Report and accounts.
Governance. Intemal_control and_Risk Management
The trustees have reviewed the major risks of the charity and have taken action and ostabli8hed
systems which will mitigate any known risks. All policles and procedures are updated ragularfy.
Objèetlvos and aetivitiès
charitab.le Objecis
The objects ol the CIO are to assist in the treatment and care of persons who suffer from mental,
physical or age-relaled illness or infirmity of any description including those who are in need of
rehabilitation as a result of such Illness or infimiity, by the provision of such facjlities, services and
support as the Trustees think fil, In any part of England but induding in particular West Somersèt and
North and W8$1 Devon.
Public Benefit
Throtjgh OUT work, we beliwe that wa have fulfilled our obligation lo be of benefit to those people of
West Somerset and Noth and Wesl Devon, or any charitable institution wherever situated in England
In assisting In mental health issues in these areas. The Tnjslees further consider that they have
complied with the duty, imposed by s17151 of th¢ Charibes Act 2011, to have due regard for the
guidance published the Charity Commlssion.
Achievem$nts and perforniance
Reviow of Actimtios and Athievements_April 2025
During the year lo April 2025 we were able to continue to help thosa Charities in our local community
and fvrther afield by providing grants to help with various projècts.
Page 2

John's Chartty CIO
Trustees. Report (continued)
HospisGare rereived further funds towards their Bereavement counselling and an adjustsnenl lo their
premise5 to allow them function even more efficiently and Madewell received further funding towards
a new minibus to assst in the transportation of their clients. We were particularfy pleased lo be able lo
help n8lion81 charities such as th8 Strok8 Association to assist them in their client's mental health
challenges post a stroke and MND lo assist their client'5 and families in their mentsl health challenges
following diagnosis of this currently incurable disease. We provided a sen50ry garden and
Landscaping work al Wesl Heanlon 8nd contribulgd signifi¢anUy lo a new hydro pool at Northam Care
Trust.
As we move in 2025 we have now very nearfy exltnguished our fiJnd3 and will look to wnd the Charity
up although this m8y gxtend In 2026.
Through our work, we believe that we have fulfilled our obligation to be of benefit to Ihose peO￿e of
Wesl Sornersel and North and West Devon. or 8ny Charitable institution wherever sltuated in England
in assisting in rnental health issues in these areas. The Trustees further consider that they have
o)mplied with the duty, imposed by s1715) of the Charities Act 2011. to have due regard for the
guidance pttblishèd th8 Charity Commission.
It only Temains for me to thank the Trustees for their enorrnous hard work and dedication in running
th¥ Charity. Thoy aro a real credit to Ih8ir local community.
Fift#neial rèvièw
During the year the only income the charity received was interest lotalling £363 {2024= £7201. There
were grdnts paydble in the year lotalling £209.63712024: £241.9461.
At the year end the￿ were total unrestricted funds of £13.341 (2024 £222,998). Of these funds
£13.72812024". £223.4221 represent the bank balance.
Reservgs Policy
The charity was Sel up to distribute fvnds from the lats John Page's eslalo. Grants aro applied for and
dislribtjtéd from these funds in accordance wth the charitable objecb'ves. Costs incurred outside of
grant distributions are minirnal and $0 the trustèès do not feel a rèsarves poll¢y is n&c￿ary.
Investment powers. policy and performance
The Charity has th8 powar to makè Inv8Stments which the twstees feel is appropriate to the charity.
Any surplus fvnds are held in intsiest bearing accounts.
Pago 3

John's Charity CIO
Trustees, Report (continued)
Statement of Trustees. ResponslbllW•s
The trustee$ are responsible for preparing the trustggs. report and the financial statements In
accordance wth the Uniled Klngdom Accounting Standards (United Kingdom Gen8rally Acceptsd
Accounting Pracli¢el and applicable law and regulations.
The law applic8ble lo charits'es requires the Irustefjs lo prepare financial stalemenis for •ach fin8n¢ial
year which give a true and lair view of the stsle of affairs of the charity and of thè Encorning resources
and application of resources of Ihe charity for that period. In p￿paring these financial statements. the
Iruslees are required lo..
s818ct suitsble accounting policies and then apply them conslstenuy.
obs8Ne the methods and principles in the Cha￿￿¢$ SORP..
makejudgemenls and estimates that 8re reasonable and prudent..
state whether applicable accounting standards have been followed, subject to any material
departures disclosed and explained in the financi81 staternents., and
prepare the financial statements on the going concern basis unless it is inappropriats lo presume
that the tharity will continue in business.
The trustee$ are responsible for keepin9 proper accounting record5 that disdose with reasonable
accuracy at any time the financial position of the charity and enable them to ensurè that the financial
statements comply with the Charities Act 2011, the Charities IAccounts and Reports) Regulations
2008, and the provisions of the conslilution. The trust8es are also responsible for safeguarding the
assets of the charity and hence for taking ￿$Sonable steps for the prevention and d$le¢lion of fraud
and other irregUlar￿e$.
The trustees ara responsible tor the rnainlenance and integrity of the corporate and finanaal
infonnalion included on the chariiable companls website. Legislation goveming the prapardlion and
dlssemination of financial statèments rnay differ from legislation in other jurisdiction5.
Thea
be
rt was approved by the thjslees of the charity on .................... and Signed on its
by..
PLe
Trustee
Page 4

Chartered Accountants. Report to the Trustees on the Preparation of the
Unaudited Statutory Accounts of
John's Charity CIO
for the Year Ended 5 April 2025
In order to asssst you to fulfil your duties undér the Charf(ies Act 2011. we have prepared for your
approval tha a¢counts of John's Charity CIO for the year 8ndad 5 April 2025 85 set out on pages from
the companys a￿￿untIng records and from infomiation and explanations you have given us.
As a practising member fimi of the Instituto of Chartered Accountants in England and Wal&s IICAEWI
wtr 3rtr subject lo its ethical and other professional requiremènts which are detailed al
httpjlwww.icaew.comlenlm8mberslregulations-stan¢Jards4nd4Juidancel.
Thi5 report i8 rnade solely to the board of directors of John's Charity CIO. as a b￿y. in accordan¢e
wilh the lernis ofouf engagement letter. Our work has been undertaken solely lo prepare for wjur
approval the financial statements of John's Charity CIO and 51ale those matters that we have agregd
lo sl8le lo the board of directors of John's Charrty CIO. as a body, in this report. in accordance
ICAEW Technical Release 07116 AAF. To the fulle51 extent pemiitted by law. we do not a¢￿p1 or
assLJme responsibility lo anyone other than John's Charity CIO and its board of directors as a body for
our work or for this report.
11 is your duty lo ensure that John's Charity CIO has kept adequats accounting rocords and to prèp8r
ststutory accounts that gwe a true and fair view of the assets, liabilities, financial position and of
John's Gharity CIO. You consider that John's Charfty CIO Is gxgmpt from the statutory au¢J
requirernenl for the year.
We have not been in51rucled to cary out an audit or a re￿8W of the accounts of John's Charity CIO.
For this reason, we have not verified the accuracy or completeness of thg a¢¢ounling records or
Snfomation and explanations you have given to us and we do not, thereft)re, express any opinion on
the statutory accounts.
Westcotts ISWI LLP
Chartered Accountants
Bamstaple
Devon
EX31 1SQ
Date:.............................
Pag8 5

John's Charfty CIO
Statement of Financial Activities for the Year Ended 5 April 2025
Unr•8trlctsd
funds
Total
2025
Total
2024
Incomo and Endowments from:
Investment income
363
363
720
Totsl Income
363
363
720
Expondltur• on:
Charitsblg activitiès
210.020
210.020
242,486
Total expendiluro
210,020
210.020
242,486
Net eX￿nd1[￿re
209.657
209.657
241,766
Nel movement in lunds
{209.6571
1209.6571
1241.766)
R•eonciliatlon of funds
Total funds brought fO￿ard
222,998
222.998
464.764
Total lunds carriad forward
10
13,341
13,341
222,998
All of the charity'5 activities derive from ctsnlinuing operations dudng the above ttyo periods.
The funds breakdown for 2024 is shown in note 10.
The notes on pag8$ 8 to 12 form an Integral part of those flnancSal statements.
Page 6

John's Charity CIO
(Registration number: 1190442)
Balance Sheet as at 5 Aprll 2025
2025
2024
Note
Current a55ets
Cash al bank and in hand
13,728
223.422
Creditors: Amounts falllng du• wlthln one ypar
387
424
Net assets
13,341
222,998
Funds of tho charlty:
Unrestrtcted Income fund$
un￿StriCted funds
13.341
222,998
Total fund$
10
13.341
222.998
Thè fina
alements on pages 6 10 12 wfj￿ approved by the Iruslee5, and authorised for Issue on
and signed on their behalf by.
P Lewis
Trustee
The notes on pages 8 to 12 fomi an Integral part of these finartcial ststements.
Page 7

John's Charity CIO
Notes to the Financial Statements for tho Year Ended 5 April 2025
1 Accounting policl•s
Stotpment of compliance
The financial $lalernents have b88n prepared in accordance with the second adition of the Charittes
Statement ol Recommended Practice issued in Octob8r 2019. the Financial Reporting Stsndard
applicable in ihe United Kingdom and R9publlc of Irèland IFRS 1021 and the Charities Act 2011.
Basis of preparation
John's Charity CIO mee15 the definition of a public benafit gntity under FRS 102. Th8 accounts
lfln8ncial 51alementsl have been prepared under the historical cost convention with items recognlsed
al cost OT transaction value unless otherwise ststed in the relevant notelsl lo these accounts. The
financlal stat8rn8nts have been prepared in 8lerfing whlch is thg functional currency of the charity.
Going concern
The trustees consider ihal there arg no material uncertaintlg5 about the charitys ablllty lo oJntinua as
a going concem.
Incomè and endowm•nt$
Expenditure
All expenditure is recognised once ther8 Is a legal OT constructive obligation to that ex￿n￿lIure. it is
probable setuernenl Is requlred and the amounl can be measured reliabSy. Al costs are allocated to
the applicable expenditure heading that aggrggate similar costs to that ￿tagory. Where costs cannot
b8 directly attributed to particular headings they have been allocated on a basis consistent with the
US8 of rgsource5, with central staff costs allocated on the basis of ts'me spent. and depreaatKJn
charges allocated on the PQTtion of the asset's use. Other support costs are allocatsd basoij on the
spread ol staff costs.
Charltable actfvlues
Charitable expenditure comprises thosè cos15 incurred by the ¢harity in the delivery ol ils activities
8nd Services for its beneficiaries. It includes both costs that be allocated direciiy to such activitiès
and those Costs of an indirect nature necessary to support them.
Grant provlslons
Provisrons for grants are made when the intention to make a grant has been communicated to tho
reapient but ther8 1$ uncertainly about either the liming of the grant or the amount ol grant payable.
Cash and cash equivalents
Cash and cash equivalents comprise cash on hand and call deposits. and other short-tem) hl9hly
liqurd investments that are readily convertible lo a known amount of cash and are subjgrt lo an
insignificant risk of ¢hange in value.
Fund structur•
Unrestricted income funds aw general funds that are available for use at Ihe trustees discretion in
furtherance of lh& objectives of the charity.
Page 8

John's Charlty CIO
Notes to the Financial Statements for the Year Ended 5 April 2025 (continued)
Finaneial Instruments
Classlffcatlon
Financial assets and financial liabilities are recognised when the charity becL)me5 a party lo the
ntradual provisions of the instrument.
Financial liabilities and equity instruments are dassified according to the substance of the ¢ontractual
arrangements entered into. An equity instrument 1$ any contract th81 gvidèn¢os a re&dual interest in
Ihe asseis of the charity after deducting all of its liabilities.
R•oognltlon and measurement
All financial assets and liabilities are init¢ally meas¥Jred at transaction price lincluding transaction
costs), except for thos8 financial assets classifiod as at fair valye through profit or loss, which aro
inibally measured at lair value Iwhich is nomially the transaction price excluding transaction coslsl.
unless the arrangement conslitules a financing transaction. If an arrangement conslitules a financing
transaction. the financial asset or financial liability is measured at the present vaue of the fulura
payments discounted at a market rale of interest for a Similar debt instrumgnl.
Financial assets and liabilitigs arg only offset in tho statement of financial Position when. and only
vthen there exists a legally enforceable right to sel off the recognised amoun15 and the charity intends
either lo setue on a nel basis, or to realise the asset alld settle the liability simultaneously.
Financial assets are derecognised when and only when al the contractual rights lo the cash flows
from the financial asset expire or are settled, bl the charity transfers to another party subslanb'ally all
of the risks and rewards of ownership of the financial asset, OT cl the Charity, despite having ￿tained
$ome, bul not all. significant risks and rewards ol ownership, has transferred control of the asset lo
another paty.
Financial liabilitr'es are derecognised only when the obligation speclfied in the contract is discharged,
cancelled or expires.
2 Investment In¢ome
Unrèstrict8d
funds
Gonoral
Total
202S
Interest recewabte on bank de￿SItS
363
363
Unrestricted
funds
General
Total
2024
Interest r8e8ivablè Dn bank deposits
720
720
Page 9

John's Charity CIO
Notes to the Financial Statements for the Year Ended 5 April 2025 (contlnued)
3 Expendlture on chartlablo a¢tlvltle$
Unre5trtcted
funds
G¢ngral
Total
2025
Note
Grant lunding of activities
located support costs
209,637
383
209.637
383
210,020
210.020
Unrestrlcted
funds
G•n•ral
Total
2024
Noto
Grant funding of activities
Allocated support cosis
241.946
540
241.946
540
242,486
242,486
4 Analys58 of support costs
Support costs allocated to charltable actlvltl•s
Support
costs
Total
2025
Totsl
2024
Wèbsite hosting
untancy fee3
Bank charges
60
420
60
323
60
323
60
383
383
540
Page 10

John's Charity CIO
Notes to the Financial Statements for the Year Ended 5 April 2025 (continued)
5 Grant-rnakirtg
Analysis of grants
The support c£Jsts associated wth grant-making are £Nil15 Aprfl 2024 - £Nill.
Below are details of materi81 grants made to institutions.
2025
2024
Name of institution
Bickford Rest Centre
Made Well
Northam Care Trust
Strawpatch Project
Survivors Allian
Clarity
Ilfra¢ombe Men's Shed
West Hoantgn Ltd
Royal Marines
Hospicecare
Stroke AssocSation
Motor Neurono disease
10,526
84,000
28,500
44,847
40.000
3.128
8,183
7,200
51,783
74,383
10,000
18.500
19,880
20,000
30,000
209,638
241,292
6 Trustees T•muneration and expensès
No trustees, nor any persons connecled vAth them. have received any remLtneration from the charity
during the year.
No trustees have received any reimbursed oxpenses from tha charity during thè year.
7 Staff costs
The average head count of employees dLtring the year was Nil12024.' Nill.
No employee received emoluments of more than £60.000 during the year
Cash and ￿$h equivalents
2025
2024
Cash at bank
13.728
223.422
Page 11

John's Charity CIO
Not8S to the Financlal Statements for the Year Ended 5 April 2025 (continued)
9 Creditors: amounts falling due within one year
2025
2024
Ac¢ru815
387
424
10 Funds
Balance at 6
April 2024
Incoming
rèsourcès
Resoufces
èxpènded
Balance at 5
April 2025
unrestrIct￿ funds
General
General Funds
222,998
210.020
13,341
Balance #t 6
Aprfl 2023
Incomlng
rosources
Resources
expended
Balanc• at 5
Aprll 2024
Unrèstrlctéd funds
General
General Funds
464,764
242,486
222.998
11 Anal￿1* of net a$$ets between fundg
Total funds
at 5 Aprll
2015
Unrestricted
funds
Current a55ets
Current liabilities
13,728
387
13,728
387
Total nel assets
13.341
13,341
Total funds
at S Aprll
2024
Unrestricted
funds
Current assets
Current liabilities
223,422
424
223,422
424
Total net assets
222,998
222,998
12 Related party transactions
There were no ￿lated paty transactions in tha yèar.
Page 12