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2024-03-31-accounts

REGISTERED COMPANY NUMBER: CE023386 (England and Wales) REGISTERED CHAIUTY P4UMBER: 11911780 Report of the Trustees attd Unaudittd Flngncial Statemettts for the Year Ended 31 March 2024 for The Active Pregnancy Foundation

The Aetive Pregnancy Foundation ConteDts of the Finanelal Statements for the Year Ended 31 March 2024 Page Report Of tbe Trustees Independent Examlner'$ Report Ststement of FinancSal Activities Balance Sheet Notes to the Finanelal Statements 9 to 14 Detslled Statement of Financial Aetlvfities 15 to 16

The Aetive Pregnsn¢y Foundatlon Report of the Trustees for the Year Ended 31 March 2024 The t￿￿teeS who are also directors of the charity for the purposes of the Ctsmpanies Act 2006, present their report with the financial Statements of the charity for the year ended 31 March 2024. The truslees have adopted the provisions of Accounting and Reporting by Charities.. Stsrement of Recornmended Practice applicable to charities preparing their accounts in accordance with the Financi￿ Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective l January 2019). OBJECTtVES AND ACTtVlTtES Objectives and aims The objectives of the charity are the preservation and prote¢tion of the good physical and mentsl health of women who are pregnant. planning a pregnancy. or who have recently given birth, for the public benefit of promoting physical activity through.. l) Raising public awareness of benefits of physical activity throughout pre￿ancY and the posthatsl period, particularly but not exclllsively by.. Promoting the Chief Medical Offieer's Guidelines on Physical Activity for Pregnani Woman and Physical Activity for Women After Childbirth Developing and disseminating messages which encapsulate the latest research and safety guidance, whilst promoting physical activitie5 that pregnant and postnatal women can do - Illustrating best practice through the engagement of case study I role model expectant and new mothers 2) Working wtth the sports and fitness professionals, sports industries and health and social care provision to promote access to safe and beneficial sporL fitness and healthy activity by women during preconception. throughout pregnancy and the posthatal period 31 Conducting research snto activity and exercise during pregnancy and the postnatsl period. and publishing the useful results 41 Promoting and developing best practice guidelines in the field of activity and exercÉse during pregnancy and the postnatal period Page I

The Active Pregnancy Foundation Report of the Trustees for the Year Ended 31 March 2024 OBJECTIVES AND ACTivrrtES Significant aetivitie$ During the period the Foundatioll h&8 been working on the set up of the charity and starting to raise awar¢n¢ss of the charity and ils aims. including= (l} Raising public awareness through the following- a. a. Promtstion of the APF website, which signposts 10 resources, advice. and guidance, and is targeted at pregnant and postnatsl women, their support network and healthcate and fitness PTofessionals. b. Growing of social media outlets, with an aim to bring on a social medi& specialist when fijnds allow. Conduct an annual suryey over ihTee years (2022. 2023, 2024), which evolved from the COVID-19 Lockdowry) survey5. This survey aims to build a picture of women's experience5, challenges. and the support they need to be active during pregnancy #nd beyond. (21 Continuation of the This Mum Moves educational programme deliver¢d in partnership with the Instithte of Health Visiting liHV). The programme is a CPD accredited upskilling course to equip professionals with the skills, knowledge, and confidence to discuss and promote physical activity during the childbearing years. The programme has now been included in the CMO Physical Activity Guidelines CommuTJication Frarnework (31 Working with healthcare. sports, and fitress professionals. physical activity and sports industries,. health and social cate provision setvices- etc. by- a. Continlling the work of the multi41isciplinary Scientific Advisory Board ISABI. This has included producing an Expert Statement on behalf of the British Association of Sport and Exercise Sciences (BASES) on Pregnant and Postnatal Athletes. This ha5 included producing 'A Bllmp in the Road? The BASES Expert Ststement on Pregnant and Postnatal Athletes, published in April 2023 and produced on behalf of the British Association of Sport and Exercise Sciences. b. Continuing relationships with Sport ETrgland, CIMSPA. ukactiv¢ and the Active Partnuships (41 Holding our first annual Active Pregnancy Foundation Awards, in association with Natal Active. The Awards recognised and celebrated the people and organisation5 who inspire or support women to become or stay active throughout pregnancy 2nd beyond. We also highlighted the products and progralnrnes that enable women to enjoy the any physi¢al and mental h¢alth benefits of an active pregnancy. The event was a huge sllw¢ss, being greatly received by all attendants. and plans are in place to hold the next awards ev¢nt in June 2025. {5) Continuation of the Mother Board and holding several meetings during the year. The Mother Board is an advisory board made up of women from a diverse range of backgrounds. experiences, and skill sets who represent the ￿11 breadth of tommunities thai the Foundation works with. The aim of the Mother Board is to be the 'voice' for pregnant and postnatal women, ¢hildbeating people. and the family and friends that support them. providing insight and feedback on the projects, caTnpaign4 and resources we have, or intend io develop. Page 2

Tbe Active Pregnancy Foundation Report of the Trustees for the Year Ended 31 March 2024 OBJECTIVES AND ACTlVtTIES Public benefit In accordance with the duties in the Charity's Act 2011. it is incumbent on the trnstees to conduct a Public Benefit Tesi to assess if the ¢hariry h&% complied with its duties in due regard to the public benefit guidance published by the Charity Comrnission. The trustees are satisfied thai The Active Pregnancy Foundation h&% cornplied with its duty in regards to the Public Benefit Test over the past period, based on the four principles En the Corninission'$ Guidance. l. There must be an identifiable benefit.. Funds raised from donations, sponsorships or concessions ar¢ used to raise awarettess of the foundation and how people cart access the foundations resour¢es. 2. Benefit must be to the publi¢ or a section of the public.. All the charity's services ar¢ open to all members of the public at large and access lo our services is not restrictive. 3. People on low incomes must be able to benefit.. As the charity offeis free inforn￿tion and guidance to the publit, they do not ¢ODsider any monetary restriction on the services offered. 4. Any private benefit must be incidental-. The trnstees do not consider that any individual or organisation receives a brivate benefit, from the work of the Charity. Grantmaklng There was no grant making during the year for the charity. ACHIEVEMENT AND PERFORMANCE Charitable aCti￿tieS During these difficult times. we feel one of our greatest achievement to date is the establishment and continuation of the charity. During the period we have also brought on new volunteers, and in the next financial year we are brintsing on new tNstees, who we believe Mryll assist the charity in meeting its aims. We are a150 continuing to recrnit and masntain a volunteer base e.g.. our trustee board. ScientifIc Advi50ry Board, the Mother Board. and student interns. We have continued to esrablish ourselves as the go-to org2ni5ation for advice and collaborations in the sector. The'Find Your Active" resources are still proving to be extremely popular, allowing us to dispense much needed inftsmation to pregnant and postnatal women, but also establish new relationships with a broad selection of professionals who hav¢ provided their experttse. The This Mum Moves educational programme has continued throughout the yeat and has been highly success￿] Wlth 8r¢at feedback from those who aitended. We proudly partnered with the Defence Women's Network as they hosted the first Defenee Perinatal Festivai in September. The event is aimed at both military and civilian members at any stage of pregnancy, as well as those who have experienced pregnancy loss Wlthin the last 3 ycars. The event aimed to enhance their understanding of fitness thioughout preg)ancy. It wa5 a great success with plans for another event to be held in September 2024. FINANCIAL REVIEW Financlal position The balance sheets shows a net current sU￿]uS of £13,020. Reserves policy The trust¢es and management regularly review the finances. budgets, and cash flows to aid effectivc stewardship of the charity. The tNstees and management recognise the restrieiions placed, where applicable. on donations, ￿ants. and other income combined with relevant expenditllre in the financial period in order to accurately assess the restricted fi]nd lev¢ls os at the reporting date. Restrieted funds are held ulltil they can be appropriately utilised by the ¢lMrity for th¢ir specified putpose. Th¢ charity did not hold any restricted funds in the current period. Th¢ reserves as at 31 Mar¢h 2024 wer¢ £13,02012023- £3,006). Page 3

The Actffive Pregllancy FoundatioD Report of the Trn&tee& for the Year Ended 31 March 2024 FINANCIAL REVIEW Going eoncern The trustees have assessed whether the use of the going ¢on¢ern basis is appropriate and have considered possible events or conditions that might casi significant doubt on the ability of the charity to cot]tinue as a going concem. The trustees have made this assessment for a period of at least one year from the date of approval of the finat]eial statements. In particular the t)ustees have considered the charities forecasts and projections. and the curtenr years perforniance. The trnstee5 have concluded that there is a re&sonable expe¢tation that ihe charity has adequate resources to continue ITJ operaiional existence for the foreseeable future. As such the charity can expect to be able to meet its liabilities as they fall due in the perEod of at least 12 months ftom the date of approval of these a¢counts. However, there can be no certainty in relation to these matters. (In this basis the tn￿leeS have concluded that the charity is a going concern. The financial statements do not include any adjusiments that would result from the charity not being able to meet its liabilities as they fall due. FtrruRE PLANS During the n¢xt year the Foundation has planned to continue increasing public awareness. continue upskilling professionals through the This Mum Moves educational programme.. and investigating potential funding streams to assist with delEvering its aims. We are keen to pilot and launch a professional vettang service, which ensure women hav¢ access to a diiectory of qualsfied professionals. We also plan to launch ow APF Endorsement Scheme. as part of our efforts to raise standards and provide reassurance to our comrnunity the scheme will give official recognition to progr2mmes that has met specified requirements artdlor best practice standards. To this eniL the Foundation wants to plan a clear strategy outlining the priorities and direction of the charity over the next few years. STRUCTURE, GOVERNANCE AND MANAGEMENT Governlng document The clwity is a Charitsble Jneo4)ordtcd Organisation, govemed by its constitution approved on 3 August 2020. Recrultmetht 4nd appolDtmettt of new trnstees The managcrnent of the Foundation is ultimately the responsibility of th¢ tystees who are elected by other trustees and the management t¢arn, and appointed under th¢ tems of the Constitution. Organis¥tion#l strueture Th¢ tThstees and rnan&gement team meet several times throughout the period when strdtegic decisions and busiTJess matters are discussed. Separate rneetings bettveen management and Certain trustee5 are held when nc¢essary to discuss day to day activities. Induetion 3nd training of Dew trustees Where necessary, tn￿tee$ are provided assistance and training by their fellow trustees of The A¢tiv¢ Pregna￿Y Foundation who have previously held or Currently hold a trustee role. The trustees ￿e also required to compleie an E-leaming for Healthcare Module - Being Active.. Pregnancy and the P05tnatal Perio¢L to assist them in their role. Key management remuneration The charity had no employees in the eurrent period. The charity provided no remuneration to its llknqnag¢rnent during the period. Related parties The only related pthies with which tbe charity undertakes transactiODS with is the trjstees and key management. Risk management The trustees have assessed the major strategic, business and Op￿ational risks to which the Foundation is exposed. and are Satisfied that systenls and procedures are ill plac¢ to monitor aud eontrol tbose risks in order to mitigate any impact they might have on the Foundation. Page 4

TheA¢dve Pregnaney Foulldatlo Report of the TrustetB for theyear Ended 31 March 21124 REFERENCE AND ADMINISTrATIVE DETAllS Reglstered Company ttumber 023386 (Engl2nd and Waks) Re¥￿tered Ch￿lty number 119Q780 RegEstered otll¢e 26 Killgs Hill Avenue Kings Hill We& Mauing ME194AE TTllStee 5 C BEadbury Mru TatabaTLOV Dr H Mi115 MrsCLBurt Miss A Newman hfrARauber Ms J Wong {appoinkd 8.9.23} H Jooe5 (appointed 19.7.24) L Marks (appointcd LO.1.241 Prof H Soliatii-Ktha5rhi {appoioted23.5.24) CDunn {appotr￿ed23.524) I￿depend¢llt Ex¥mln¢r Philip O HorwoDd FCA Griffith. Williams & Co 36 High Street vllheli G￿lledd LL53 5RT This report h&8 bcen prep￿￿A in accordance witb the wial provision8 of 15 of the Companie8 ACL 2006 Y. to smatl eornpaJie& £. iO.a4- Approv¢db)' ordcr of the Ix)ard of trus*e5 0n................_........................... attd signedon its bebaif by. HJones- Tn2sree gcs

Independent ExamitEer'$ Report to the Trnstees of The Active Pregnxnry Foundation Independettt examiner's report to the trustees of The Active Pregnancy Foundation ('the Company.) I report to the charity tnjstees on my examination of the accounts of the Company for the year ended 31 March 2024. Responsibilities and basls of report As the charity's trust¢¢s of the Company {2nd also its dir¢ctors for the purposes of company law) you are re$ponsibl¢ for the preparation of the accounts in accoTdance with the requirements of the Cornpanie5 Act 2(106 {'the 2006 Acv). Having satisfied myself that the accounts of the Company are not required to be audited under Part 16 of the 2006 Act and are eligible for indeperldent examination. I report in respect of my examination of your charity's accounts as Carried out under Seetion 145 of the Charities Act 2011 (the 2011 Act'l. In carrying out my examination I llave followed the Directions given by the Charity CornFni5sion under Section 145(51 (b) of the 2011 Act. Independent examiner's statement I have completed my examination. I confimi that no matters have come to my atteniion in cotjnectioll with the exalnination giving me cause tt) believe.. accounting records were not kept in respect of the Company as required by Section 386 of the 2006 Act. or the accounts do not accord with those records,. or the accounts do not comply with the accounting requirements of Section 396 of the 2006 A¢t other than any requirement that the accounts give a trne and fair view which is not a matter considered as patt of an independent examination. or the accounts have not been prepared in a¢cordan¢e with the Tnethods and principles of the Statement of Recommended Practice for a¢counting and reporting by charities (applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 102)}. I have llo con¢ems and have corne across no other matters in connection wtth the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. To be confirnied Philip O Honvood FCA GriffEth. Williams & Co 36 High Street Pwllheli nedd LL53 5RT Date: ......1111124...... Page 6

Tbe A¢tive Pregnancy FouDdatioD Statement of Financial ACti￿tieS for the Ye#r Ended 31 March 2024 2024 Unrestricted fi￿d 2023 Total fim£ts Notes INCOME AND ENDOWMEPryS FROM Donations legacies 782 1,686 Charftable a¢tivities Support Costs 99 Othu trading activities 64.957 Total 36,061 EXPENDITURE ON Raising fimds 41,411 21,696 Charltsble activities Support Costs 12,1(X) Total 55,824 33.796 NET INCOME 10,014 2,265 RECONCILIATtON OF FUNDS Total ￿ndS brought forward 3,006 741 TOTAL FUNDS CARRtED FORWARD The notes form part of these financial statements Page 7

The Active Pregnan¢y Fonndatlo B#l8ntt Sheet 31 Marcb 2024 2024 U￿restriCted fimd 2023 Totsl Notes Debto Cash atb8tyk 27,863 11.566 4.387 39,429 9.690 CREDITORS AtLOUDts fallittg due wirhiu oll¢ year (26,409) (6.684) NET CiTIUiENf ASSETS TOTAL ASSETS LESS cifRREh'T LTABILITIES 13.020 PIET ASSXTSIILIABILITIES) 13.020 Unr¢stricted httds TOTAL FUNDS 13.020 The ch8ritable COthWLy is eDtitl¢d to ex¢Tnption from audit under Se¢iion 477 of the Componies Act 2006 for the year ended 31 Marctt 2024. Th¢ membets have not required the comkwry to obt2in aD audit of its financiat *atement$ for the year ¢Dded 31 hlar¢h 2024 in accordance with Section 476 of th¢ Coffjpanies Acr 2006. The trustees acknowledgetheirra%ponsibx]itics for {z) ¢n5uring that the charitsble compavy keep accooTrtin8 r¢cords that comply with Sections 386 and 387 of the Compgnié5 Act 2006 and (b) pteparing fioan¢ial siatements which giv¢a f8ir view of the 5t8te of affairs of the ck8rithle compatsy &s at the end of each fiJJ2ncial year and of its S￿￿luS or defi¢ii for each fthanciaj year ill accordaTL¢¢ With the requirejwats of SeGtiOD5 394 aud 395 8tMI which othenvisE comply with Lb¢ rcquirem¢llts of the Companies Act 2(N)6 r¢laiing to financial Srater0¢tt￿ so fAr Is applicabl¢ tothe charitsble ¢othpany. These fiTWlCtal statements have been prepared in attordatt¢¢ with the provi5i¢)ns appIic8bk to charttabie comjwies subjeci to the $￿all cowie5 regtme. Tb¢ finatt¢sa] 5rat¢m¢llt5 were approved by the Board of Tnfftes a￿d authDrised for on .. 8lld w¢re 5ignedou itsbehalf by.. H Jones- Tnwe¢ The. fnrrn thpFp

The Aetive PregD&ncy Foundation Notes to the Financial Statements for *he Year Ended 31 March 2024 ACCOUNTIF4G POLICIES Basis of preparlng the financial statements The financial ststements of the charitable company, which is a public benefit entity ut]der FRS 102, have been prepared in accordance with the ChaTities SORP (FRS 102) 'Ac¢ounting and Reporting by Charities.. Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ircland (FRS 102) (effective I January 2019}'. Financial Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Republic of Irel&nd' and the Companies Act 2006. Thc financial statements have been prepared under the historical cost ¢onvention. Critical Aeeoullting judgements and key sources of estimation un¢ertainty The preparation of the financial statements requires the charity's tsustees to make judgements, estimates and ossumptions that affect the amounts reported for assets and liabilities as at the balance sheet date and the levels of income and expenditure reported for the year. The estimates and associated assumptions are based on historical experience and other factors that are considered to be relevant, however the nature of estimatioft means that acmal outcomes could differ frorn those estirnates. The trnstees do not consider ther¢ to be any significant judgements. estirnate5 and assumptions that require any fijrther explanation than that disclosed wiihin the charity's accounting policies and the noies to these financial 5tat¢ments. Income All income is recognised in the Ststement of Financial Activities once the charity h&$ entitle¥nent to the fi￿d$, it is probable that the income will be received 2nd the amount can be measured reliably. In the event that a donation or income is subject to conditions that require a level of perfom]ance before the charity is entitled to the funds, the income is deferred and not recognised until either Those conditions are fully et, or the fvlfilment of those conditions is wholly within the control of the charEty and it is probable that those Conditions will be ￿lfilled in the reporting period. Expenditure Liabilitie5 are recognised as expenditur¢ as soon as there is a legal or constryctive obligation committing the charity to that expenditure. it is probable that a transfer of economie benefits will be required in settlement and the amount of the obligatton can be measured reliably. Expenditure is accounted for on an a¢¢t7￿$ basis and has been classified under headings that ag￿egate all cost related to the category. Where costs cannot b¢ directly attributed to particular h¢adings they have been allocated to activities on a basig eonsisteDt with the use of r¢sources. Taxation The charity is exempt from ¢orporation tax on its charitable activities. Fllnd aecounting Unrestricted fimds can be used in ￿Cordance with the charitable obje¢tives at the discretion of the trustees. Restricted funds can only be used for partieular restricted purposes within the objects of the charity. Restrictions arise when specifIed by the donor or when fvnds ar¢ raEsed for pani¢ular restricted purposes. Further explanation of the naDJre and pury)o% of each ￿lld is included in th¢ notes to the fjnancial State￿ents. Hire purchase and le8sing Com￿lI￿entS Rentals paid uuder operating leases are charg¢d to the Statement of Finan¢ial Activities on a straigbt line b&sis (Trver the period tsf tbe leas¢. Page 9 continued...

The Actlve PregDaney Foundation Notes to the Flnancial Statement5 - continued for the Year Ended 31 March 2024 ACCOUNTING POLICIES- continued Going coneern The trustees have assessed whether the use of the going concern basis is appropriate and have considered possible events or conditions that might cast significant doubt on the ability of the charity to eontinue as a going concern. The trustee$ have rnade this assessment for a period of at least one year from the date of approval of th¢ financial statements. After making enquiries the trustees have concluded that there is a reasotwbl¢ expectation that the charity has adequate resources to continue in operationa] existence for the foreseeable future. As such the charity can expe¢t to be able io meet its liabilities as they fall due in the period of at least 12 months from the date of approval of these a¢counis. However, there can be no certainty in relation to th¢se matters. On this basis the trnstees have concluded rhe charity is a tsoing concern. The financial statements do not include any adjustments that would result from the charity not being able to meet its liabilities &$ they fall due. OTHER TIL4DING ACTtVlTtES 2024 2023 Fundraising events Funded project income Training income 16.707 12,550 35.700 5,650 32,375 NET INCOMEI(EX?ENDITURE) Net income/{expellditure) is stated after chargingl(creditingl= 2024 2023 Auditors, remunetation Other opernting leases 1.680 953 TRUSTLES, REMUNERATION AND BENEFITS There were no tn]stees' remuneration or other benefits for the year ended 31 March 2024 nor for the year ended 31 March 2023. Trnstees, expeDse$ There were no 31 March 2023. tn]stees' expenses paid for the year ended 31 March 2024 nor for the year ended Page 10 eontinu¢d..

The Aetive PregnaDCy Foundatio Notes to the Financial St3t¢mentS- C4>ntinued for the Ye8r Ended 31 Mareh 21124 COMPAK4TtVES FOR THE STATEMENT OF FJNANCIAL ACTIvrriES Unrestrided fund INCOME AM) ENDOWMENTS FROM Donations and legacies 1.686 Cbgrit8ble activities Support Costs 2,000 Other trading activities Total 36.061 EXPENDITURE ON Raising funds 21,696 Charitable aetivities Support Costs 12,100 Total NET INCOME 2,265 RECONCILIATION OF FUNDS Total fi￿(L8 brought fonvard 741 TOTAL FUI4DS CARRIED FORWARD 3.006 DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR 2024 2023 Trade debtors Other debtors Prepayments 27,340 80 443 3,373 1.014 27,863 4,387 Pagell continued...

The Active PregnaDey FouDdation Notes to the Ffinaneial Statements- continued for the Year Ended 31 March 2024 CREDtTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR 2024 2023 Trade creditors Accruals and deferred income 209 26,2(Xl 203 6,481 26.409 6.684 MOVEMENT IN FUNDS Net rnovement in fvnds At 3113124 At 114123 Unrestrlcted funds General fund 3,006 10,014 13.020 TOTAL FUNDS 3.006 Net movement in funds, included in the above are as follows.. In¢oming resources Resources expended Movement in fL￿dS Unrestrleted funds General fimd 65,838 (55.824) 10,014 TOTAL FUNDS 65,838 55 824) Comparatlve$ for movement ID fund$ N¢t ovement in fi2nds At 3113123 At 114122 Unrestricted fvnds General fL￿d 741 2,265 3,006 TOTAL FUF4DS 741 2.265 Page 12 ¢ontirtue&..

The Adive Pregnaney Foundation Notes to the Financial Statemetht$- continued for the Year EDded 31 March 2024 MOVEMENT ITr4 FUNDS- contiThued Imparative net rnov¢ment in funds, included in the above are as follows". Incoming resources Resources ¢xpended Movement in funds Unrestrieted funds General fi￿d 36,001 {33,796) 2,265 TOTAL FUNDS 36.061 2,265 A current Y￿￿ 12 months and prior year 12 months Combined position is as follows.. Net movement in fimds At 3113124 At 114122 Unrestrfieted fulld$ General filnd 741 12.279 13,020 TOTAL FUNDS 741 12 13.020 A current year 12 months and prior year 12 months combined net movernent in funds, included in the aix)ve ar¢ as follows.. Incorning resources R¢sour¢es expend¢d Movement in fimds Unrestricted funds Generdl fund 101,899 (89,620) 12279 TOTAL FUNDS 101899 89.6201 RELATED PARTY DISCLOSURES There were no related party transactions for the year ended 31 Mar¢h 2024. Page 13 COTJtinued...

Tbe Active Pregnancy Foundation Notes to the Fffinanei21 state￿ents- continued for the Year Ended 31 Lltsrch 2024 io. ULTIMATE CONTROLLING PARTY The tjustees consider there not to b¢ one ultimate controlling party of The Aetive Pregnancy Foundation in the current year. Page 14

The Active Pregnancy Foundation Detailed Ststement of Financial Activities for the Year Ended 31 March 2024 2024 2023 INCOME AND ENDOWMEP4TS Donations and legacies Donations 782 1,686 Other tradfing activities Fundraising events Funded project income Training income 16.707 12,550 35,700 5.650 26,725 64,957 32,375 Chsritable aetfivlties Grants 99 2,000 Total Sneotning resourees 65,838 36,061 EXPENDITURE Other tradlng acti￿tieS Training & workshop costs Reseorch costs Event costs 24,310 1,552 15.549 21,696 41.411 21,696 Charitable aetivRties Rent Postage and stationery Adyenising Sundri¢s Consulting fees Professional fees Computer expenses Subseriptions Travel costs Conference costs 953 1,217 53 900 204 3,525 3,167 901 804 764 272 873 177 3,674 5,014 933 247 464 12.341 11,807 Support cost$ Finance Insurance Bank charges 237 155 208 85 392 293 This page do¢5 not fom) part of th¢ statutory finan¢ial statements Page 15

The Aetive PregD9nry Foundation Detalled Statement of Finaneial Activitie5 foT the Year Ended 31 M#r£h 2024 2024 2023 Finance Governance costs Auditors, remuneration Total resources expended Net income 2.265 This page does not forni part of the statutory financial statements Page 16