CHARITY (OMMISSI Trustees. Annual Report for the period Period start date Day 01 Period end dale Day Month Year To 30 S8piember 2023 Month Year Oclober 2022 From Section A Reference and administration details Charlty namo Grims8rgh Villag8 Hall Other names charity is known by Reglstorod charlty numbèr (11 any) 1195074 Charity's principal address Grimsargh Village Hall 198 Preston Road, Grimsargh Preston Postcodo PR2 5JS Namos of the charity trustees who manage the charlty Date• act•d If not for whol• Tru•t•• nam• Offlc• Ilf any) Vice Chair Nam• ol person lor body) •ntitl•d toa int tru¥tee Ifan A Cowell S Mlddlebrough R Foster Treasurer E Murray E Heginbolham E Parker S Johns Secretsry 10 12 13 14 15 16 17 18 19 20 Names of the trustees for the charlty, If any, (for example. any custodian trustees) Name Dates acted if not for whole ear TAR March 2012
Names and addresses of advisors (Optional infomiation) e of athiisef Name Address Name of chief executlve or names of senior staff member8 (Optional infomiatlon) Section B Structure, overnance and mana ement Descrlptlon of the charitys trusts Constitution Type of governing document How the charity is constitutèd Charitable Incorporated Organisation Trustee selectlon methods Eleclion by the m8mbership at the Annual General Meetlng. Trustees have the authonty to appoint or co-opt additional trustees. aJpo..iJ.Jf. JI- t'.-CLsI Additional governanco Issu08 {Optlonal Informatlon) You may choose to Include additional information, where relevant, about.. policie5 and procedur8s adopted for the induction and training of trustees. th8 charity's organisational structure and any wider n8twork wth which the charity All trustees are made aware of th8 charity's governing document and any legal requirements incumbent on those accepting the position of trustee. The trustees of the charity meet at least four tlrn8s per year in full committee lo review the activities of the preceding period and set plans for the ensuing period. The Annual General Meeting is held each October. • relationship with any relal8d parties., trustees, consid8ratlon of major risks and the system and procedures to manage them. Member of the Lancashire Association of Village and Community Halls. All decisions are laken in committee. Sub-committees may be fonmed to manage speafic issues prior to their discussion or approval by the full committee of trustees. Currently the Organisalion has a Manag8m8nt Procedures Sub-committee, which meets betsveen 8 and 10 times par year. Section C Ob'ectives and activities a) To provide facilities in the interests of social welfare for the advancement of education, recreation and leisure-time occupation for th8 inhabitants of the village of Grimsargh and its surroundings, without distinction on the basis of sex, or of political, religious or other opinions. b) To maintain and manage Grimsargh Village Hall in Cowoperation with any local statutory authority as may be necessary to promote the above objectives. Summary of the objects of the charlty set out in its governing document TAR March 2012
The Village Hall remains at the heart of the community, providing a venue for numerous groups, including a Toddler group. the Women's Institute and Parish Council and Gardening and Badminton clubs, all of which have used and supported the hall for many years. The hall is also th8 venue for a number offitness and dancing groups and also organisations for young people including Guides. Brownies and Rainbows. There are also groups giving training in such diverse subjects as pilates, yoga and puppy obedien¢e. There are also groups offering various recreational and artistic aclivltl8s and educational support services. Summary of the maln activities undertakon for tho publlc benefit in relation to these objects (include withln thls section the statutory declaration that trustees have had règard to the guldanco issued by the Charlty Commisslon on publ1¢ benoflt) The hall is used at weekends for a variety of activities including children's and adults, parties, meelings. shows, fairs, Farmers, Markets and other events, including theatrical and musical rehearsals. The charity continues to uphold its founding principle of providing facility, particularly for the benefit of all members of the local community, without imposing a financial burden on the community. Trustees of the charity are fully aware that their actions in managing the charity are entirely for Ihe public benefit and in doing so are gov8rned by any r8levant guidance issued by the Charity Commission. Addltlonal delalls of obJ•ctlv88 and actlvltles (Optlonal informatlon) The managament of the hall relies entir81y on the efforts of unpaid volunteers, all of whom put in many hours of work to ensure that the hall 15 maintainèd in a good condition for all of its hirers and to promole th8 hall as an attractive venue for the community to us8. The hall is aware that it is operating in a competitive mart(et and tries lo slrike 8 car8ful balance betsveen having an affordable charging structure and ensuring that sufficient income is generated to allow the GVH to continue its policy of improving the facilities. You may chooso to include further statements, where relevant. about.. To supplement the income generated from hire charges the committee also organises a nurnber of fundraising events including monthly Farmers, Markets. policy on grantmaking., policy programme related investment., contribution made by volunteers. TAR March 2012
Section D Achievements and performance Summary of the main achievements of the charlty during the year The main aGhievem8nl of the charity during this year was to survive, whilst maintaining the hall's pivotal position in the local community. Thanks to the fundraising efforts of th8 volunteers and careful (J)ntrol of expenditure, the hall was again able to hold its charges to the same lev81 as the pr8vious year. The solar panels have now been In operation for a further year and Gonts'nue to mak8 a significant contribution towards energy saving. The Charity has completed the prOsS of taking over the activities of its predecessor Gharity Ihe Grimsargh Village Community Association. Grimsargh Village Community association ceased to exist as a separate entity during this period. Any assets of the former charity have been transf8rred to Grimsargh Village Hall. As part of a planned refurbishmenl programme, using the charity's funds and grant income, work has been carri8d out to the exterior of the hall. This includes work lo remove structures16fl by a former Pre-school group, including a playhouse and a climbing frame and rèdeveloping a tarmacked area into a grassed and leisure seating area. Work has also started on compl8181y re-rendering th6 hall exterior whlch will enhance both the weatherproofing and appearan¢8 of the hall. TAR March 2012
Section E Financial review The principal policy of the charity is to have sufficient r8serves to survive for up to one year should ther8 be no income generated. Res8rves currently stand at approximately £90000, of which £25000 is aarmarked for completion of the re-rendering project. Of the remainder amount £15000 is considered as a Building Fund, to gnsure that any substantial repairs can be carried out without delay. Brief Statement of tha charlty's pollcy on reserves Detalls of any funds materially In deficit None Further fjnancial roviow details (Optional information} Excluding grants approximately 700k of the charily's income comes from hire charges for the hall and the remaining 300h from fundraising and other aclivities. The p8rcenlage from fundraising reflect5 the effotts made throughout the year by the charity's trustees and volunteers. You may choose to include additional information. where relevant about: the charity's principal sour5 of funds {including any fundraising)., how expenditure has supported the key objectives of the Charity. investm8nt policy and objectives including any ethical investment policy adopted. Expenditure Is directed at providing suitab18 conditions including heating, light, power and cleaning services for the users of the hall and maintaining the fabric of the building in good ¢ondilion. As already mentioned, the charity trustees are committed to improvlng the facilities of the hall in order to ensure that it remains a popular and therefore, viable, amenity. The committee are continuously considering future improvemenl projects wlth an emphasis on energy saving ideas. Section F Other optional information Section G Declaration The trustees declare that they have approved the trustees, report abovo. Slgned on behalf of the ¢harlty'g trustees Slgnature{s) Full namels) Position (eg Seeretsry, Chair, Otc) Richard John Fanshawe Foster Eileen Maria Murray Treasurer Trustee Date 3rd July 2024 TAR March 2012
REGISTERED COMPANY NUMBER: CE112SS91 (England nd Wiles) REGISTERED CHARITY NUMBER: 1195074 of the Trustees 811 udl ID8nc for iht Year Ended GrlmsA h VIIIA e Hll CCW Limited Chartered Ac¢ountAnts 2951297 Church Strcet Bla¢kpool Lancathir¢ FYI 3PJ
Crimsa h Vlll# e Hall Contents Fln#nclal Statement e Year Ended mbe 2023 Pe Report of the Trulte Indep¢ndeDt ExAmlner'i Report Statement of Flllanelal Aetivltl¢s BliiDC¢ Sheet N•te to the Fln•nelal St*ttm•nts 7 to 10 Detal]td Stlltement of FlnanclAI A¢tivltl 11 to 12
Grims&r h Vllla e H*ll ort of the Tru$t¢ ror the Year Ended 30 Se ternber 2023 The trustees who arc a150 dirtttors of thr charity for the purposes of the Companies Act 2006, present their report with the financial statements of the Charity for thc year ended 30 Septcrnber 2023. The irus¢ees have adopted the provisions of Accounting and Reporting by Charities.. Stalemcnt of Recommendcd Practice applicable lo charities preparing their accounts in ac¢ordance with the Financial Reportin8 Standard applicable in the UK and Republic of Ireland (FRS 102) (effectiv¢ l January 2019). OWECTIVES AND ACTIvrriES Objectives IlThi The objects of the CIO are to C5tablish and Tun a village hall and to promote for the benefit of the inhabitants of Grimsargh and the neighbourhood I"OT¢a of bencfit.) without distinction of sex. sexual orientaiion, age, disability. nationality, rncc or political. r¢ligious or other opinions th¢ provision of facilities for recreaiion or other leisure time occupation of individuFd15 who havc nced of such facilities by reason of their youth, agc, infinniLy or disablement. finsncial hardship or SOCI and econotnic C7uM$tanCe or for ih¢ public ai large in the iThteTe5ts of social welfare and with th¢ object of improving the conditions of life of the said inhabitants. ACHIEVEMENT AND PERFORMANCE Charltable 4¢tlvltle The main achievement of the charity during this year w&q to suryiv¢, whilst mainiainin8 the hall'5 PiVQtal posltion in the local community. Thanks to the fundraisin8 efforts of the volunteers and ¢areful Control of expenditure the hall was again able to hold its chaTg¢s as the previous year. Thc solar panels have now been in oper&tion for a further year and continuc lo make a Significant contribuiion towkrds ertergy saving. The charity has completed th¢ process of takin8 tsv¢r th¢ activities of its predecessor charity - The Grimsargh Villa8¢ Community Association. Grimsargh Villa8e Community Associatiort eeascd to exist as & scparatc entlty during this period and all #ssrt$ of the former chftrity have been transferred to Grimsargh Village Hall. As part of a planned refurbishmeftt pro8ramme. using Ihe charity'8 funds and grani income, work hA8 been carried out 10 the exterior of the ho11. This includes work to remove struetures left by a fornier Pre-school 8roup, including a playhouse and a limbing frAme hnd red¢velopin8 2 l&nnack¢d area inio a sras5ed and leisure seding oreA. Work has also siarted on ompletely re-rendering the hall exterior which will enh&ncc both the weaiherproofing and appearan¢¢ of th¢ hall. FINANCIAL REVIEW ReKrves poJE¢y The principal policy of the Charity is to have sufficient res¢Tves to surwive for up to on¢ year Should there be no income generated. R¢5¢1ve5 curreTitIy stand at £91,23812022 £28,851). Of thai amount £25,000 has been carnarkcd for thc complction of th¢ re-rendering project and £15,000 is considered a building fund to ensure that any substantial repairs can be caTricd out without delay. The l¢v¢l of reserves m¢an5 further improvement pmjecls can be considered hopefully allTa¢ting funding. STRiJCTURE, GOVERNANCE AND MANAGEMENT GoverniDg docllment The chariiy is conlrollcd by its governin8 docum¢nL a deed of trust. and ¢on5titutes a limited company, lirnited by gllarantee. as defined by the Companies Act 2006. Page I
Grim52r Villa e Hall Re ort of the Trustees for the Year Ended 30 St tember 20 REFERENCE AND ADMINISTRATIVE DETAILS Regtstered Company number CE025591 IEngland and Wales) Re%l$tered Cknrlty nvmber 1195074 Re81gtertd oftlc¢ 198 Preston Road Grimsargh Village Hall Preston Lan¢ashire PR2 5JS Tr8(¢¢1 Mr S Johns Mr A PCow¢ll MTS S L Middlcbrough Mr R Fostcr Mi85 E Parker Mrs E M Munay Mrs E Heginbotham Company Se¢retary Mr S Johns Independent ExamlD¢r Pgul Roiison FCA CCW Lirnit¢d Chartered Aecountant$ 2951297 Church s¢et Blackpool Lan¢&shire FYI 3PJ 21 s È a.¥... 10248nd signed on its behalf by.. Approved by order of the board of trustees on ....... . Mr R Foster- Trusiee Page 2
Inde endent Ex¥4mirRer's Re Gr&ms8r tsrt to the Trustee5 of eH8U Independent exAmlTher'$ report to the trustee5 of Grim58rgh Village HIU ('tlte Company,) I rq)ort to th¢ ¢hariry trustees on my examination of the accounts of the Company for the year ended 30 S¢pt¢mber 2023. Responsiblllti¢$ and basis of rtport As the charity's trusiees of the Company (and also its dIrecr8 for the purposes of company law) you are responsible for the preparation of the accounts in accordance wilh ihe requirements of ihe Companies Aci 2(Y)61'the 2006 Aet,). Having satisficd mys¢lf that the a¢¢ounts of the Company are not required to be audited under Part 16 of thc 2006 Act and are eligible for indcpendent ¢Kaminalion, I report in r¢spc¢t of my cxamination of your Charity's a¢¢ounts earricd out under Scetion 145 of the Chariiies Act 2011 ('the 2011 Act,). In carryin8 Out my examination I have followed the DiTeclions given by the Charity Commission undeT Section 145(5) (bl of ¢he 2011 Act. IndepeDd¢nt examlner's Jtatemetst I have completed my exarnination. l eonfirni that no matt¢TS have ¢om¢ to my attention in connection with the examination giving me Cause io believe.. ac¢ounting records were ttot kept in rc5PCCt of the Compony as r¢qyir¢d by Section 386 of the 2006 Act; or the accoun15 do not ac¢ord with ¢hose r¢¢oTds,' OT the accounts do noi comply with the acetsunlift8 requirements of Scction 396 of the 2(K)6 Aci other than any requirement thAt th¢ accounts give a iTU¢ and fair view which is not a matteT considered as part of an indepcndcnt cxamination. or the aecounts have not been pr¢par¢d in a¢¢ordanc¢ with th¢ mahodg and prin¢ipl¢s of the Siatcrnent of Recommended Practice for accounting and reporting by charities (applicable 10 chariiie5 preparing their accounls in accordance with the Finaneial Reporting Standard applicabl¢ in the UK and R¢public of Ireland (FRS 102)). I have no con¢¢rns and have come across no other matiers in connection with the eKamLnation to which atiention should be drawn in this report in Order lo cnable a proper unders¢anding of ihe accounts to be reached. l Ron50n FCA The Institute of Chartered Accountants in En8land and Walcs CCW Limited Chartered Aecountants 2951297 Church Streei BlackpLK)I Lan¢ashire FYI 3PJ Page 3
Crimszr h Villa e HAII tatement of Fin8nci81 A tlvl for the Year Ended 30 Se tember 2023 Period 6.7.21 to 30.9.22 Total funds Year Ended 30.9.23 Unrestricted fund Notes INCOME AND ENDOWMENTS FROM Donations And lega¢i¢s 38,109 2.667 Other trading activities Invc5tment income Other in¢ome 45,530 339 24,790 TDtsI EXPENDITURE ON Raising fijnds 9,602 1.104 Other Total NET INCOMEI(EXPENDITURE) (505) 19,R41 Funds reIVed from Grim58r8h Village Community Association Net movement In fuDth 62,387 28,851 RECONCILIATION OF FUNDS Total funds brou8ht forward 28.851 TOTAL FUNDS CARRIED FORWARD 91,238 The notes forni pan of these financial statements Page 4
Vlll e Hall tembtr 2023 30.9.23 Unrestricted fund 30.9.22 Total funds Notcs CURRENT ASSETS Cash ai bank and in hand 91.803 29,391 CRKDITORS Amounts fallin8 duc within one year {565) (540) NET CURRENT ASSETS TOTAL ASSETS LESS CURJiENT LIABILITIES 91,238 28.851 NET ASSETS FUNDS Unrestricted fund¥ TOTAL FUNDS The charitable ¢ompany is cniiiled to exemption from audit under SectiOLi 477 of the Companies Act 2(6 For lh¢ yr ended 30 Septetnber 2023. The memb¢r5 have noi required the company to obtain an audit of its financial $tat¢m¢Dts for the year ended 30 September 2023 in acecrd8n¢¢ with Seciion 476 of the Companics Act 2(X)6. Th¢ ¢rust¢es acknowledge thcir responsibilities for (a) ensuring that th¢ ¢horiiable company keeps accounting records th* Comply with Sections 386 and 387 of ihc Companies Act 2006 and Preparing financial statemenis which give a true and fair vi¢w of th¢ s¢ate of affairs of the Gharitthlc company Es ot th¢ cnd of each financial year and of its surplus or deficit for cach financial year in aordanCe with the requiremcnt5 of S¢ciions 394 and 395 and which otherwise comply with Ihe requirements of the Companies Act 2006 relating to financial ¥tatemen15, so far as applicable to the Ghkritable company. (bl The notes forni part of these financial statements Page 5 ¢ontinued..
rim h Vill t Hall Ba]anee Slheet- tontinued S tember 2023 These financial ststemcnts have been Prepared in accordanrx with the provisions applicabl¢ lo charitable companies subjeet to the small Compani regim The financial statements were opprov¢d by the Board of Trustccs and authori5ed for issue on . and W¢T¢ Signed on its bchalf by.. Trusttt R. COSTEL S L rllDOLE8RgqH The notes fonn part of these financKal statements Page 6
Grim5ar Vill• e Hall Notes to the Finantlrtl Statements Ended 30 Se teJDber 2023 ACCOUNfiNG POLICIES BASIS of preparing the f¢11 $t•t¢ments Th¢ financial statements of the eharitabl¢ ¢ompany, which is a public bethefit entity under FRS 102, have bccn prepared in accoTdanc¢ with the Charities SORP (FRS 102) 'Accounting and R¢porting by Charities.. Statement of R¢commend¢d Practice appli¢able to ¢hariiies Preparing their accounts in 2c¢ordante with the Financial Reporting Standard applicable in the UK and Republic of Ir¢land (FRS 1021 {effe¢tive l January 20191,, Financial Reporting Standard 102 The Financial Reporting Standard applicable in the UK and Republic of Ireland, and the Compani¢s Act 2006. The fJDancial siatement8 have been pr¢pared under the historical cost convention. In¢ome All incomc is r¢¢ognised in the Staterncnt of Financial Activities onee the cherity has eniitlement to the funds it is probable thÈt thc income will bc received and the amount can bc measurcd reliably. Expendlture Liabilities are Tecognised as expenditure as 500n as there 15 a legal or constNctive obligation committing the charity to thai expenditure, it 55 Probable thai a iransfer of eeortomic benefits wÈll be Ttquired in settlement and th¢ amount of th¢ obligation can be measured Teliably. Expenditure 15 accounted for on an accruals basis and h2s been elassified under headings that aggr¢gat¢ all cosi relaied to ihe category. Where costs cannoi be direetly attributed to parti¢ular heading5 they hay¢ b¢¢n a]located 10 activitÈes on a basi5 ¢onsislenl with the use of resources. T8x8tlon Thc chariry is exempt from corporation tax on its charitable activities. Fund A¢¢ountlng Unrestricied funds can be used in accordanu wilh the chariiable objectives at the diseretion of ihe irustees. Restricted fund8 can only be used for partieular re5tricied purpo%s within the objecis of the charity. Restrictions ise when spccifled by the donor or when funds are raiscd for particular restricted purp05¢5. Further explanation of the naLur¢ ond PUTPO8¢ of e4ch fvnd is included in the notes to the flrtancial statement OTHER TRADING ACTIVITIES Period 6.7.21 to 30.9.22 Y¢ar End¢d 30.9.23 Hire of village hall Farn)ers market sta115 Fam)ers market cafe Bar takings 31,544 4,445 1,913 20,355 3.130 871 434 Page 7 ontinu¢d...
h Vllla eHall IWote$ to the Finan¢lal Statements- con for th¢ Ye#r Ertded 30 Se tember 2023 ed II¥VESTMENT INCOME P10d 6.7.21 to 30.9.22 Year Ended 30.923 Deposit account interest 339 IL41SING FUNDS R&lsln8 donatlons Ind legAfleJ Period 6.7.21 to 30.9.22 Year Ended 30.913 Support wst5 669 TRUSTEES, REMUNERATION AND BENEFITS Th¢r¢ were no trustecs, remuneration or oth¢r benefits for the year endcd 30 September 2023 nor for the p0d ended 30 Sept¢mbw 2022. Truiteei. expewei There were no trustees, expenses paid for ¢h¢ year ended 30 September2023 nor for the period ended 30 5epiembtt 2022. COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES Unrestricted fund INCOME AND ENDOWMENTS FROM Donatiotls and Icgacies 2,667 Other trading activities Total EXPENDITURE ON Raising funds 1.104 Other Total 7,616 NET INCOME 19,841 Funds received from Grimsargh Village Community Association 9,010 Page 8 ¢ontinued...
Grims8r h Vula e Hall tes io the Financi81 St&tements- eorttinued for the Year E ded 30 Se iember 2 COMPARATIVES FOR THE STATEME1 OF FINANCIAL ACTIVITIES- eoDtlnued Unrestrict¢d fund Not movement ID fwids TOTAL FUNDS CARRIED FORWARD CRKDrroRS: AMOUNTS FALLING DUE WITHIN ONE YEAR 30.9,23 30.9.22 AccN¢d cxpenses 565 540 565 540 MOVEMENT IN FUNDS Nct movement in ftLnd$ At 1.10.22 At 30.9.23 Unr¢5trlcted funds General fund 28,851 62.387 91,238 TOTAL FUNDS Net movement in funds, included in the above are as follows: Funds Te1Ved from GVCA Incomin8 r¢souTces ResouTC¢S expended Movement in funds Unrejtricted fuDd$ General fund 86,663 187,168> 62.892 62,387 TOTAL FUNDS 87 1681 62.892 Page 9 contiDued..-
Grim$r h Vau# e H¥4U Notu to the Flnan¢il Ststements- continued ho Year Ettded 30 Se tem r202 MOVEMENT IN FUNDS- eotttinued Compar*tives for movement ID fulldi N¢t movement in funds Ai 30.9.22 Unrestrkted fund5 General fund 28.851 28,851 TOTAL FUNDS 28,851 Comparativc nct movement in funds, includcd in th¢ above are as follows.. Funds received from GVCA Incoming r¢source5 Rcsourc¢s expcndeAJ Movement in funds UDrtrACted fun Genernl fund 27.457 (7,616) 9,010 28,851 TOTAL FUNDS RELATED PARTY DISCLOSURES Thc charity has taken over the ehari¢abl¢ a¢tivities thai were previously carried out by Grirnsar8h Village Community Association {regi51¢red charity number 504698). The previous charity ha5 tr4n5f¢rred funds of £ 62,892 (2022 £9,010) over to GriMrg Village Hall. There are a small amount of fvnd$ Still be transferred in the year to 30th S¢pt¢mb¢r 2024. Page 10
Crirnsar h Villa e Hall Det8ll¢d Statement of Financial Activities for tht Year EDd d 30 Sc t¢mber 2023 P¢iiod 6.7.21 to 30.9.22 Year Ended 30.9.23 INCOME AND ENDOWMENrs DoDJltloDs Ind lryadei Donations Grants 109 38,0 2,667 38.109 2,667 Other tr*dlnK activitlei Hire of vTllag¢ hall Farniers market stall$ Farniers market cafe Bar takings 31.544 4,445 ,913 20,355 3,130 871 434 45,530 24.790 Invtttment Income Dcposit ac¢ouni interest 339 Other Income Receiptg from solar panels 2.685 TotAI ID¢omln8 re•our¢ei 86,663 27.457 EXPENDITURE Other trAd£Dg A¢tlvitle8 Bar costs Bar wages Farmers market costs 3,395 871 527 233 202 4,793 435 Other Walcr Gas Electricity Repair5, maintenance & equipmettt Maintenance of grounds Cleaning materials Waste bin collection Corried forward 1.695 2,958 1.648 36,686 25,523 812 1,313 70,635 5,972 5,972 This pag¢ does not forni part of the statutory fjnancial statements Pagcll
GrinTrsar ViU eHaU Detiled St8tement of FiDaD al A£tiVRti r Ended 30 Se tember 2023 Period 6.7.21 Year Ended 30.923 30.9.22 Other Brought forward Cleaners Secretary expenses Pcrforming rights Cornputcr costs Lieence fees Sundry expenses 70,635 5,023 1,200 562 222 360 104 5,972 78,106 5.972 Support coit• GovernAn¢e Insuran¢c T¢lcphon¢ Postage and stationery Accountancy fees Legal fees Professional fees l.471 618 143 828 939 270 61 540 597 Totsl resouree& expeThd¢d Net (exptndltsr¢ylncDme This page does not fom part of the statutory financial 5tatcrncnts Page 12