REGISTERED CHARITY NUMBER- 1196773
Rèport of Trustees ond
Unaudrled FJnonch)I Statements lor the Year Ended 30 Junè 2023
for
Wave Wrangler

Wave Wron4er
Contents ol Ihe Flnanclal Statements
foi the Year Ended 30 June 2023
Page
Report ofthe Trvslees
Independenl Exanlner's Report
stalement of Financlal Acltvlmes
Bolonce Sheet
Noles lo thè Flnanclal Slolements
Delomèd Stalement ol Finonclol Actjvilles

Wov* Wrangler
Report d the Twv5tees
lof the Year Ended 30 Jvne 2023
The trustees present their report with the financiol statements of the chortly for the yeorended 30 June 2023. The
trustees hove O¢opted the provisions ol Accovnling and Rep(*ling by Chorilies.. Slotemenl of Recommended
Proctice opplcoble to charilie5 preporing their occounls in acc￿￿(￿Ce with the Financiol Reporting Standard
opplicable in the UK ond Repvblic of trelond IFRS 1021 (effective l Janu(ry 20191.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Govemlng docvrnenl
The chority 15 controlled by its goveming document. o (Jee(l ol trust constifutes an unincorporated chcmly.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charlty number
1196713
Prfnclpal addres5
3 Birtley Courlyord
Birtley Rood
Btomley
Svrrey
GU5 OLA
Tiuslees
E Awin
A Skillon
M Carey
Independent Exomlner
Victoria Knight
Awrove
by order of Ihe boord of Iiustees on .......... .....
DL
. ond signed on 115 beholl by-.
Truslee
Page I

Indoptndent Examlner's Report to the Trustees of
Wove Vlrangler
Indèpendent examlfter's report to the trvslee5 of Wove Wrangler
I report lo Ihe chority trustees on my exominolion ol the acco￿15 of Wove Wiangler Ithe Choityl lor the yeor
ended 30 June 2023.
Responslbllmes and bash of report
As the chority ttustee5 you are responsible for the preporolion ol the occounts in accordorTrce with Ihe
requirements ol the Choritie5 Act 2011 I'the Acl'l.
I report in respect ol my exominolion of the Chorify's OCCOLnls ccjried out Lndei Sect￿￿ 145 01 the Act and in
corrying out my examination I hove followed oll applicoble Directions given by ttre Charity Commission vnder
Section 145151 Ibl ol the Act.
Independenl exarylnerfs slolemellt
I have completed my exominalion. l Confirm thot no moteriol motters have come lo my ollentk)n in connection
with the exominalion giving me covse to believe thot in ony moteriol respect..
accounting records were nol kept in re5pecl ol the Chority 0$ required by Section l ￿ of the Act,. or
the account5 do not O¢c￿d wilh those records-. or
the occounts do not compty with the applicoble requirements conceming the forrn and content of
occount5 set out in the Chorities (Accounls ond Reportsl Regulat￿n5 2(NJ8 other thon any requiremenl
Ihot the account5 give a trué ond fo￿ view which is not o motler considered os port of an independenl
extsminalion.
I hove no concem5 and hove come acr0$5 no other motlers in conneclK)n with the exominolion lo which
attention should be dr(Iwn in thi5 rep￿ in OTder lo enoble a proper under51onding ol the accounts to be
reached.
Vicloria Knighl FCCA
The AssOClOtion ol Chartered Certified Accomtonls
Victoria Knight
Dale..
Poge 2

Wave Wiansler
Slolement of Flnanelal Ac15vltl•s
Icf the Year Ended 30 Jvne 2023
Period
22.11.21
lo
30.6.22
Tolol
funds
Year Ended
30.6.23
Unre51rlcled
fund
Notes
INCOMEAND ENDOWMENTS FROM
Donations ond legocie5
70.490
EXPENDITURE ON
Charllable acllvAles
Charitoble activitie5
16,547
NeT INCOME
53,943
RECONCIIIAnoN OF FUNDS
Tolol funds brought lopword
TOTAIFUNDS CARRIED FORWARD
53.943
The noles l(xm port ol these ffnanciol stotements
Poge 3

Wave Wian9ler
Balance Sheel
30 June 2023
2023
Unresmcted
fund
2022
Totol
funds
Notes
FIXED ASSETS
Tongible assets
45,gIKI
CURRENT ASSETS
Deblors
Cash ol bonk
28.843
32,843
CREDtTORS
Amount5 falling due Mqthin one year
(24,800)
NET CURRENT ASSErs
8,043
TOTAL ASSEfs LESS CURRENT LIABILITIES
53,943
NEf ASSEIS
53,943
FVNDS
Unre51ricted funds
53.943
TOTAI FUNDS
53,943
onciol slotem
nts were approved by the 8oord ol Trustees and oulhorisecl for issue on
%L...&.fv .... ond were signed on it5 behofft by..
Tiuslee
The note5 Ic¥rn port of Ihese ffnanciol slalements
Poge 4

Wove Wionglei
Noles to Ihe Flnanclol Slalements
fu the Year Ended 30 June 2023
ACCOUNTING POLICIES
Basis of preporing the Ilnanclol slalements
The financiol stolernenls ol the chority. which ￿ a public benefit entity under FRS 102. hove been
prepored in occor¢once with the Choritie5 SORP IFRS 1021 'Accounling ond Reportirig by Charities..
Slalement ol Recommencled Practice oppficoble lo ch¢xilies prepcxing their accounls in accordance
with the Financial Reporting SlondcKd OpFJiCat￿e in the UK ond Republic of Irelond (FR5 1021 lelleclive I
Januory 20191,. Finonciol Reporting Stondaid 102'The Finonciol Reporting Slondord opplicoble in the UK
oncl Republic ol Irelond. ond Ihe Chorities Act 2011. The finoncKJl 5totemenls hove been preporerj under
Ihe hi5toricol cost conven1k￿.
Incomè
All income 15 recognised in the Slalement of finonciol Activities 1￿ce the charity hos entillemenl to the
funds. it Is probable that the income Mll be received ond the amount con be meosured reliably.
Expendmure
Liobililies ore recognised as expenditLKe os soon as there is o legol or conslructwe obligolion commilling
the chority lo that expenclilure. it is prot)oble thot a transfer of economic benefits will be requred in
selflernent and the omount ol the obligolion con be meosvied re[￿bly. Expenditure is occounted for on
on occruals basis ond has been c1055ilied under tteo¢Sing5 thot oggfegale oll cost relcsted lo the
cofegory. Where c05t5 connol be directly ottribuled to porticutjr heading5 they hove been ollocoted to
oclivilies on o bosis consistent with the L￿e of resource5.
Tanglble fjxed a55ets
Depreciolion is provided at the Icllowing onn(￿l roles n Ord￿ lo wnte off each ossel over ils estimoted
uselvl life.
Taxallon
The chorily is exempl from lax on it5 chariloble octivitE5.
Fund accounlln9
Unre51ricled funds con be used in occordance with me chcyilobje obiectives al the cliscretion of the
Iruslees.
Restricted funds con only be used for porticvloi reStr￿le￿ purposes within Ihe objects of the chority.
Restrictions arise when specified by the don(K or when funds ore roised f￿ porticulor re5trrled purpose5.
Further explonotion of the nolwe ond pvrpose ol eoch fund is inCl￿ed in the notes to the financial
slalements.
TRVSTEES, REMUNERA￿oN AND BENEFITS
There were no ttuslees. remunerotion or other berEfrts for the year ended X) June ￿23 nor foi the period
ended 30 June 2022.
Tru5tees' exponses
There were trustees. expenses pc7id lor the year erhded 30 J(Jne ￿23 nor l(x the peaod ended
30 Jun& 2022.
Poge 5
continued...

Wave Witsngler
Notes to Ihe Flnoncltsl Stalements - conllnued
the Yeor Ended 30 June 2023
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AC￿vITIEs
Total
funds
NET INCOME
IOTAL FUNDS CARRIED FORWARD
TANGIBIE FIXED ASSErs
Plont and
machinery
co
Additions
45.900
NEI BOOK VALUE
AI 30 June 2023
45.900
At 30 June 2022
DEBTORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2023
2022
Amounts recovwable on conlroct
4.000
CREDITORS= AMOUNtS FALIING DUE WITHIN ONE YEAR
2023
2022
Other credito
24,800
LOANS
An anoly5i5 of the matvrity of loons is given belov.
2023
2022
Amounts lollirig (Jve within one yeor on demond:
Olher loans
24.800
MOVEMENT IN FUNDS
Net
movement
in fund5
Al
30.6.23
At 1.7.22
Unreslrf¢ted fvnds
General fund
53.943
53.943
TOTAL FUNDS
53.943
53.943
Page 6
continued...

Wuve Vlrongler
Notes to the Flnunclol Slalements - contlnued
for the Year Ended 30 June 2023
MOVEMENI IN FUNDS - cot)Ilnued
Net movement in funds. included in the obove ore os lollow5.'
Incoming
resoLKces
Resources
eypended
Movement
in funds
Unreslrlcled funds
Generol fund
70.490
(16.547)
53,943
TOTAL FUNDS
70,490
16.547)
53,943
RELATED PARTY DISCLOSURES
There were no reknted party Ironsoclions lor the year ended 3) June 2023.
Page 7

Wave Wrongler
Delalled Stalement of Flnanclal Atlivilles
lor the Year Ended 30 June 2023
Period
Year Ended
.6.23
to
30.6.22
INCOMEAND ENDOWMENTS
Donallons and legacles
Sponsorships
Just Giving
Web51te revenue
Corporate portner5hips
Olher rev&nue
217
70.4190
Tolal kncomlng resources
70.490
EXPENDITURE
Charlloble actlvmes
Expedition event entry lee5
Expedition equipment
Expedition subsistence
15.000
320
7SO
76.070
Support cosls
Govemonce cosls
IT Soltrwore ond consvmable5
Bonk charges
Bank interest
187
42
477
Tolol ro50urce5 expended
16.S47
Net Income
53.943
This page does not form part of the 51olulcKy fin(rciol stotemenls
Po9e 8