RECISTTRED CHARTfY NUMBER: 1200781
P£mof th¢ Tru%tK5 and
Ashmole & Co
Fu5t Floor
I St John's Court
Upw Fforrst Way
FAterwise P
SA6 8QQ

Fi
Rep￿ of the Tnjstees
lThlepetht Exwnin&s ReF(*t
Strt¢ment of FinwiaE Activilies
Balance Sheet
Notu to the FinwKial ststeTr￿ts
6 to 9
Detsiled Statement of Fir￿￿1a] Activitie5
10

Bgmoltho TnL
The trustees present thetr report with the financial Strtem￿ of the cFArity foT the ye4T ended 31 March 2025.
The tr￿1¢¢S have adcyted provisions of Accounting and Rwull8 by Cl)arAties: Statement of R¢¢ommend¢d
Pr￿tI{% applicable to charities wing their accou1￿ in wydance with the Fitw¢ial Rwting Standard
applicable in the UK aJMI Republic of trelAnd (FRS 102) {effective l Januory 2019).
OWF.CTIVES AND ACTIVITIES
Objectlves and *lms
The Charity aims to help IKotect the wellbein8 of irAJividuals and their iyopety by providinb fire advice and
support reg8rdAng I￿u￿4 that might arise following dom88e to ]X(4)ery F*cause of fire. fl(x)d to a le89er
extenL damage which rnay have iyen caused by> for example> escap¢ of watsr, stom) or xmpg¢L
In aewrdanc¢ with the swnmary of the objectives at￿ye the cljarity h* provided help and support io members
of the public who have required em¢Tgew aNJ in doing $0 h&$ dixharged its aims arKI
Yesponsibilities. In achieving th¢s¢ th¢ Ch8rity h85 work￿ clwly with the fwe and rescue services
and other reBist¢rnd tharities.
The Trusiees are miTwJful of, aTrJ have ensured thaL Chllrity acted in ￿t0rda￿t with the commissions
guidance os it peftain$ to publi¢ benefit.
Should any Complaints bt rteeive4 they will ￿ Wly inve51igat￿J if of a y¢riou5 na1￿ will be
reported to the Charities COMMI￿10
ACHIEVEME]YTS AND PF,RFORMANCE
For the ￿nI>￿ 0110412024 - 31103Q025, the Charity h&$ comin1￿ to deliver on its obiectivts by providin
practica] advice atyl support to members of the public followin8 I￿idents of prc4)eJry dama8e. Durin8 thi$
perio￿ a5Si518JKe wlls provided to 116 individual4 representing a Iyh Incre￿ on the Fyevious year.
In addition, the Chrity sun￿rted the $￿Ing of 87 eMuriM8 that familiu households aff#ted by
rwc. escapc of water, end stom) drye wer¢ able to TEturn tt) 54ft stsbl¢ living ￿T￿ltiOnS. This
Browth reflects not only an increasin8 awareness of the Ch￿￿ty¥ 8¢rvice4 bth also the O￿oIng for rapid
and reliable SUPFh)rt in the afternmth of uneT8encie5.
The Trustees recog￿ t￿t th¢se outcom¢s have been made possibl¢ throuth th¢ ¢ontinu¢d ¢ollaPK)rnlion vrfith
Fiye a￿1 Rescue Service4 lo¢￿ 88enci4 8Th1 other chgritsble o￿artiS￿l01￿. By w0￿[h8 iogcthcr. the Clwity
h&$ been able to resp)nd swiftly• redw* strtss fLf those affeclol and wovide meanin8fid, Practi￿ solthion8
w￿n they were needed rnoyL
L(K)king forwar4 the Chartty will continue to strengthen its Part￿rshipS aThl build ¢•pa¢ity to ensure that even
more indKviduais and h0￿ChOldS can be SUFvN*d in tiThc5 of cri515.
FINANCIAL REVIEW
Prltttlp81 fundlng
Fund5 are acquir¢d fTom d(mations and ￿￿tn￿l￿tioIKs made kn the Charity from cthnpanies and individuals.
Reserves pol
The Charity foTwaTd T¢5¢rye fund5 ¢0 off5d exFrnse5 fcr fjJttwe y￿5 ry￿atIonS.
Page I

Rer*Nt ofthe Tn￿¢$
firth¢ Y￿rE[MIC431 marth2￿25
FINANCIAL REVIEW
Funds deflelt
There currendy ￿ fujmts ill deficit.
STRUCTURE GOVERNANCE AND MANAGEMENT
The charity is ccffltrolled by its 8overnin8 dcKuDrt a deed of tr￿1 aTrJ C￿1￿llUl¢S a Charitsble Incowthj
Th¢ methods. p)li¢i¢s and Pl￿edureS for T#ruilmenL apN)iNmrt ]ThJ￿t10n aThl training of new Trugtees a
in accordance with the Charitys ¢omtitirtio
REFERENCE AND ADMtNISTRATIVE DETAILg
Rryiy*red Cb*rity Trumjxr
1200781
Prln¢lp*l 4ddrw•
The Attics
Manor House
ChaFf l Lane, Ensto
Chipping Norton
Oxfordshiwe
OX7 4NB
Trnjteu
Mr A Durow
Mr D Garden {resiBned 1911 Ir24)
R Chuck
MrJ South {&ppx)inted 1911 Ir24)
IndepeRdtnt Ezamltr¢r
S8manth& Kelly Keith
Ashmole & Co
st FIooT
I St JOI￿,5 Court
UpF¢r Fforest Way
EnterFffi8e P
Swonsea
SA6 8QQ
AForovcd by order of thc Ixmrd oftrLL4tees on.... O￿lOrIo25
.. and siTrl its beha]f by..
MrA Durow. TnLthe
Pa8e 2

Emergency_Damage S.uwo.rt Services
IDdependent exam1De￿￿ r¢￿rt to the of ErnerEency D#m*gt Support Servltes
I rq)ort to the charity tr￿￿teeS on my eXaMin￿]0n of ￿)unts of EmerBency Dwnage Support Servic¢s (the
Tnjst) for the year etthd 31 TrAarch 2¢125.
RapoDslbUltic4 athd bub of reprt
As charity triLStees of the TnLrf you gre ￿8￿n811)k for the woration of the &Lounts in accordance with the
requireme￿5 of the Chorities A¢t 2011 (Ihe A¢V).
I rel￿ in of my examination of the Tr￿¢s carried out under Se(tion 145 of the and in
carryin8 Out my examination I have followed all applicable Directions 8iv¢n by ￿ ChaTity C(xnmi&siiN) uJ¥l¢r
Sxtion 145{5Xb) of th¢ Act.
Independent ex*mlner'g statemeot
I have completed my examination. l ¢fjnfinn that M Materi￿ matters have ¢cthe to my att•ttion iti cOnt￿rtIOn
with the examinalion giving me ￿USe to believe in any mikrial rewt:
a¢¢OUri￿ re¢ords were not kert in reSp￿t of the Tnffi &8 JequiThI by Seaicffl 130 of the Act. or
the a¢counts do rtrt a¢¢ord with th￿¢ records: or
the accounts do t￿t comply with the applicable requirements ￿￿rnIn8 the fomi and ￿ntent of x¢ounts
set out in the Charities {A￿OUnts and ReF*YtsI Regulations 2(X)8 otheT than any requir¢ment that the
accounts ¥ive a true and fair view which is n(rt a mailer c(Wide￿d as part of an llthwd¢nt
examination.
J have no con¢¢rffj JTKI h4v¢ wm¢ m)SS IM) other mattets in Com￿￿tion with the examination to which attention
should bc drJwn in ihi$ r¢p)ff in ord¢rlo ¢nable a uThlerstaThJin8 of the accounts kn be reached.
s. IceAtr
Samwtha Kelly Keith
The Associmtion of Chartered Ccrtifiol Accountants
A$hmole & Co
Fitst Floor
I St John's Court
Upper FfOr￿ Way
Enterprise P
Sw￿￿ea
SA6 8QK2
ag IioJ2025
Page 3

S18tonart of FIn￿la1 Acttvilies
foT IlJ¢ Ye4r EThled 31 Marth 2(r25
PERIOD
IIIOQ2
TO
31rJ124
YEAR ENDED
3113r25
Nrfes
INCOME AND ENDOWMEI¥TS FROM
DonatioJ]s and lekt￿leS
20JiKI
20,8(M)
38230
EXPENDITURE ON
Charltable a¢¢lvllks
Help & SupEX)rt
2AI14
26.114
32.030
NET INCOMV(EXPENDITURE)
(5J14)
(5?14)
6200
RECONCILIAT10Tr4 OF FUNDS
Total funth brought fonvard
62
62
TOTAL FUNDS CARRIED FORWARD
886
6200
Th¢ fom] part ofthese fina￿18[ stthments
Pag¢ 4

2025
Tolal
Ids
2024
Tota]
ffijnds
fimd
fund
CURRENT ￿ETs
Debtors
Cash at bank
lJ86
3233
lJ86
3233
527
7,933
4,619
4.619
8.4(A)
CREDITORS
Arnounts faili18 duB within on¢ y¢4r
(3,733)
(3,733)
(2260}
NET CURRE￿ ASSETS
62
TOTAL ASSEIS LESS CURRE
LIABILITIES
62
NET ASSETS
886
886
62Tr)
FUNDS
Unrestricted funds
6,2
TOTAL FUNDS
6,2(M)
Th¢ fina￿la] ststements wtre approved by the B03rd of Tw5tew and a￿th￿d for i&8￿ on
ns.1.i.Q..l.Ro25..... and weff signed i)n its by:
Mr A Durow.'I'n
Mr J so￿h- Tnthe

ACCOUNTING POLICIES
BaJi8 of preparing the financial st*temeNts
The financiat s￿eMents of the charity. which is a wbli¢ benefit entity under FRS 101 have Eeen
prepared in *¢ord4n¢¢ with Cljarities SORP (FRS 102) 'A¢cO￿lI]ng aThl Rerfftting by Charitie5:
Statement of Recommended Practice wlieable to eharilies prep￿ their Xcounls tn accordan￿ with
the Financial Rewrting Standard An)IAcable in the UK and Republic of Ireland (FRS 102) (effe¢tive I
January 2019),. Financial Rwrting Standard 102 The Financial Rewrting Stsnd8rd applicable in the
UK and Republic of Ireland, and the Charities Ad 2011. The fiMNial statements have been prepared
JTr¢ome
All income i8 re¢4)8nis¢d in the Styt¢meni of Fin8n¢ial Athiviti¢s 01￿¢ th¢ charity h&s emidement to the
funds il is pmbable thot th¢ itrKome will b¢ ￿1Ved and the omount un m￿Ured reliably.
Exp¢ndltur¢
Liabilities ar¢ ss ¢wthtw¢ as som 8$ ther¢ is a1¢8￿ ¢Y c4YYtnKtiYe cknli8ation c￿MIttl1
the charity to thai expenditurfy it is PTobAble that a transfer of economic benefits will b¢ required in
Settlement aThl the amount of the ￿li￿all{￿ can be n)easured relithly. ExpeTrJittwe is *counted for on an
cnjals t4Sis and be¢n classified u￿1¢r he*lings that ￿regate all cost reknt¢d to the categ¢xy.
Ivhere Costs be directly attribut￿ to parti¢ul8r have t*¢n dlwated io activities on a
b&4is eonsisteni with the ￿e of rttouTe£g.
TAxatioD
The charity is exempt from tlx on its Ch￿1t￿ble ￿tIvitIes.
Fund aeeountlng
UnK8tricted ful￿5 can E¢ uyed in with the ¢haTitsble obieclive5 ￿ the dis¢r¢tion of the
In￿¢¢¢5.
Restricted fuThJs can t)nly be used for i)Articular restr1th￿ purposes Within the objects of the charity,
Restrictions arise when SF￿Ified by the donor or wben are raised for p￿ticular r¢strid¢d purposes.
FUrtI￿r explan￿1￿) of the nAtuR and pmpose of each fvThJ is in the notes to the f￿ancial
Page 6

Nots to FIna￿la1 Stat¢m¢nts. ¢ontinu
for th¢ YearETrledlll Marth2025
TRUSTEES, REMUNERATION AND BENEFITS
There weye ￿ tnjsttts, remuneratim or th benefits fif the year et￿￿ 31 March 2025 t)or for the
pericd ended 31 2024.
There were rm) trwte4s' F4id for Ik year end&J 31 March 2025 nor for the period elk1
31 March 2024.
COMPAIL4TIVES FOR THE STATEMENT OF FINANCIAL AcfiviTIES
Unre5tri¢ted R¢stri¢ted
Teéal
fundg
INCOME AND ENDOWMENIS FROM
Don￿lon5 and legacies
38230
38230
EXPENDITURE ON
Cb&rltsbk A¢dvld¢s
Help & Sup
32,030
32,030
NET INCOME
62IXI
6200
T(yfAL FUNDS CARRIED FORWARD
62(KJ
62
DEBTORS: AMouKfs FALLING DUE WITHIN ONE YEAR
2025
2024
Pyepoyments
1,386
527
C(mtin￿d...

esu
fottheX4arEtsleal 31 Marcb 202S
CREDITORS: AMOUN75 FALUNG DUE wrrHIN ONE YEAR
2(Y25
2￿24
Trad¢ ryeditOf5
Othcr crdito
2.113
1.620
7(JJ
1.51J)
3.733
MOVEME￿ IN FUNDS
Net
movement
in funds
At
3113f25
At 114124
UnreBtrirted fund
General fund
62(Ki
(5,314)
TOTAL FUNDS
6200
(5.314)
N¢t mov¢mcot in )￿luded in th¢ thvc or¢ ￿ follow¥:
In¢omin8
R¢sources Movement
r¢sOUr￿ expendeAI
in fvnds
Unrestrirted fuNdg
General ￿nd
20MM)
12(114)
(5J14)
TOTAL FUNDS
20.8C(I
(26.114)
(5,314)
Compar*tlYes for movemeDt fiID
Net
At
3113124
in fvnds
Unrestrtrted thnds
62(K)
62
TOTAL FUNDS
62(Ki
continu&t..

the Y￿r Erthl 31 MardL2025
MOVEME￿ IN FUNDS-contim•ed
Comparntive net movement in fimd& inclth in the alx)ve are as follows:
Movement
in funds
¢xpended
Unr¢strirted fuDds
Genernl fwid
38230
(32,030)
6200
TOTAL FUNDS
38230
(32,030)
6200
RELATED PARTY DISCU)SURES
There were no relatd Fwty trwa¢ti￿s fry the year C￿Jed 31 M￿h 2025,
Page 9

PERIOD
I/IOll2
TO
31r3124
Total
funds
YEAR ENDED
3113r25
INCOME AND EI¥DOWMENTS
DonatloD$ ¥nd l¢wk•
Donations
20.8(X)
38230
Trfal r¢gour¢
20.8
38230
EXPENiIITURE
Charltsble a¢tfvhl
Insurance
RetaineT fees
Boarding up ¢osts
Advertising
Support wsts
Professional consuhancy
IT Casts
It￿peThjen1 examiners fee
Bonk ¢h8rges
Sujxlry
421
22.5¢J)
2,165
18.(KKI
18.(XK)
762
1.148
1295
.367
1,620
762
1.148
2295
lJ67
1,620
1,767
1,415
1292
1.500
189
26.114
26.114
32.030
Tot41 TESOUT¢es ¢xp¢nded
26.114
26.114
31030
Net In¢wie
(5J14)
(5J14)
6200
This dcw not fm ￿ ofthe sta• finwi81 statements
Page 10