REGISTERED CHARITY NUMBER: 1201431
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 OECEMBER 2023
FOR
THE DIANA STARTIN CHARITABLE TRUST
LDP Luckmans
1110 Ellioll Court
Coventry Business Park
Herald Avenue
Covontry
Wesl Midlahds
CV5 6UB

THE DIANA STARTIN CHARITABLE TRUST
CONTENTS OF THE FINANCIAL STATEMENTS
forthg year ended 31 December 2023
Page
Refarenca and Admlnlstratlvo Detalls
Report of thg Trustoos
Indopondent ExamlneVs Report
statement of Financial Activities
Balance Sheèt
Notes to th¥ Finan¢lal Statsmgnts
7 to 12
Dotsiled Ststgm•ntof Flnan¢l81 Actlvltl•8

THE DIANA STARTIN CHARITABLE TRUST
REFERENCE AND ADMINISTRATIVE DETAILS
for thg year ondod 31 Docember 2023
TRUSTEES
Dr R Gadsby
D S D Lodder
Ms D R W Slartln
P Gr@@n
PRINCIPAL ADDRESS
The Paddoek8
School Lanè
Exhall
Coventry
W¢sl Midlands
CV7 9GF
REGISTERED CHARITY NUMBER 1201431
INDEPENDENT EXAMINER
LDP Luckmans
1110 Elliott Court
Coveniry Busin¢ss Park
Hera￿ Avenue
Covet)try
West Midland5
CV5 SUB
SOLICITORS
Lodders Solicitors LLP
10 Elm Court
Ardgn Street
Slralford-UponAvon
CV37 6PA
BANKERS
CAF Bank Ltd
25 Kings Ptill Avenue
Kings Hill
Vvest Malling
Kent
ME19 4JQ
Page 1

THE DIANA 8TARTIN CHARITABLE TRUST
REPORT OF THE TRUSTEES
fortho y$ar &ndgd 31 Dec•mb•r 2023
The trustees present their report with the finanek41 statements of th8 charity for the year ended
31 De￿mber 2023. The trustees Iiave adopted the provisions ol Accounting and Reporting by Charities:
Slalemenl of Recommended Pradl¢e appll¢able lo ¢harilies preparing Iheir ac¢ounts in accordan￿ with the
Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 (effective 1 January 20191.
OBJECTIVES AND ACTIVITIES
Obj•¢tlVg3 and aims
The Trusl¢os hold tho trust fvnd and th¢ In¢oM¢ of il upon trust first lo pay from h all prO￿r ¢osts ond expenses
incurred by the Iru8lees in administering the charity and the trust fund and subject lo that to pay Dr aP￿Y and lif
and whgn and in such proportions as the trustèes in their ab801utè di8cr&tion think fit) tha whole or any part or
parts of the capital of the trust fund lo il for such charitable inslilulion or institutions or other charitsble oblect or
objects in 8ny psrt of the world whlch havè as their main oblècls 8ny of thè following.. lal H81ping th8 old, S￿k,
disabled and the disadvantaged,. Ib} Relieve ol patients suffering from cancer. Parkinson's disease and strokes
induding medical research into such disease., (c) Enhancement of the natural environment,. Idl Provi8lon of a
burial ground for St. Giles Church. Exhall,. {el For such other Charitab￿ purpcsses as the Iruslees in their absolute
di8crelion dec4de.
Slgnifi¢ant a¢tivltio$
The Trustees meet regularly to 8elect appropriats In81ilulions lo rnaktr dvn&tlons lo. The giving of those donalw$
helps to achieve the objectives set OLrt above.
Public bèftefit
In setting oble¢tSves and plannlng for activill08, the Trustges have given due conslderallon to general guldance
published by the Charity Commission relating lo wblic benefit. including the guidance 'Public benefit.. wunning a
¢harfty {P821'.
Grantmaklng
The Trustees meet regularfy lo select appropriato in$lilulions lo mako donations to. Donations are made wilhoul
any commitment to future funding.
ACHIEVEMENT AND PERFORMANCE
Charitablg a¢tivitlgS
The charity has mad& £112.77612022'. £Nill of ch8ritabl8 donations during th& yaar and has continued to SUPPDrt
a wide range ol charitable causes.
FINANCIAL REVIEW
FIMan¢ial poyition
The charity has received £115,614 12022., £2Jfo,2291 from don&tlon$, indudSng glft aid an(J depogEt account
intei'esl. Expenditure on chai'itable activities wag £112,77$ {2022.' £Nil) willi suppoil costs of £23.93312022.' £811.
Nel movement in funds wa5 a deficit 01 £21,095 12022.. 8urplus 01 £250.1481 giving lunds carried fotward of
£226,07312022'. £247.168) comprising entirely ol unrestricted funds.
Èeyvès poll¢y
The ¢harfty held unrostrl¢ttsd funds at the end of the year 01 £226,073 12022.. £247,1f8}. These reserves aro
considered adequate by the Trustees. In view of the nalure of the charity, Ihe Iruslees are satisfied thal no formal
level ol reserves are required, as donalw)ns are only made when there are available funds. and the charily does
not hav8 any li2bilitiÈg to mak8 donations.
STRUCTURE, GOVERNANCE AND PJIANAGEMENT
Govoynlng documènt
The charity i¥ controlled by its governing dwumenl. a deed of trust aiid conslilules an unincorporated thai-ity.
Page 2

THE DIANA STARTIN CHARITABLE TRUST
REPORT OF THE TRUSTEES
far th8 yèar ended 31 Dgcemher 2023
STRUCTURE, GOVERNANCE AND MANAGEPJIENT
Charity constitution
The Diana Startin CharitaNe Trust is a registered charity. number 1201431, and 1$ constituted under thè Trust
Deed dated 17 December 2008 as amended by Deed TN8t dated 31 August 2017.
Recruitment and appointment of ngw trusts
The charity shall c¢mpri$è of at1É8st three trustees each of whom are appointed by a resolullon of the trustses
pa$$ed al a 8pe(xal m88ting. The appti¢nlmenl of trustees 18 contained wlthin the Deed of Trust.
Rlsk managament
The Iruslees have a duty to Identify and rèvièw tho risks to which the charity is exposed a)d to en8ure appropriat&
controls are in place lo provide reasonable assurance again81 fraud and error.
EVENTS SINCE THE END OF THE YEAR
Information relating to events since the end of the yearlg given In the notes to Ihe ￿anCial slaten*nts.
STATEMENT OF TRUSTEES. RESPONSIBILITIES
The Iru$lees are responsible for preparing the Report of the Truste08 and the finanryal statements in accordance
th appllcable law and United Ksngdom Accounting Standards (United Kingdom Geneially Accepted Accounting
Pra¢li¢el.
The law ap[￿l￿ble lo charities in England and Wales, Ihg Charikn Act 2011, Charity (Accounts and Reports}
Regulations 2008 and the provision8 ol tho trusl deed requires the trustees lo prepgre financial ststemenls for
each financl81 yèar whith give a true and fair view of the stale of affairs of Ihe charity and Of the incoming
resourcos and application of re80ur¢es, induding the incom¢ and expenditure. of the charity for that pèriod. In
preparlng those finan(xal statemenlg. th& truste6s aro raquired to
select suitable accounting policles and then apply them consistently..
obseNe the method8 and principles in the Charity SORP..
make judgements and estimates that aro reasonable and prudent.,
prepare the fjnancial slalèmènts on the going concern basis unle88 It 18 Inappropriat8 to presume that the
charity will Continue in business.
The tru81ee8 are re$ponsible for keepir4J prtsper aceounllng records whlch disdose with reasonable accura¢y at
any lim¢ the ffinanci31 position tsf the ¢harfly and to ènable them lo ensure that the financial stsl¢ments comply
with th8 Charities knt 2011, the Charity (Accounts and Reports) Regulations 2008 and the provision8 oTrf the trust
deed. Thay also responsible for safeguarding the assets of the charity and hence for taking rea80n8ble steps
for the prevention and detection of fiaud and ¢th¢r irregularities.
Approved by order of the board of Irustee8 on .1fF1 su￿#....?.t￿.l4.... and signed on 6t8 behalf by..
Ms
R VW Startin- Trustée
Page 3

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
THE DIANA STARTIN CHARITABLE TRUST
Ind¢pendenl gxamlnefs report to the trLtstees of Thè D18na Startln CharSlable Trust
I report to the charily trustee$ on my examination of the accounts ol The Dlana Stsrtin Charitable Trust (the Trust)
for thé yéar ended 31 December 2023.
Responsibllitlgs and basls of report
As the charity twsleès of the Trust you are responsibl¢ for the preparation of the accounts in accordaneA wtth the
requlr8ments of the Charities Act 20111lha Aci'l.
I reporl in respect ol my examination of the Tlusls accounts carriGd out under Section 145 01 th8 Act and in
carrying oul my examination I have folltswed 811 applicab18 thré¢lions given by the Charity Commis&on under
Sedion 145151{bl ol Act.
Indèpèndent examineffs statement
I have complele¢J my examination. I confirm that no matèrial mallers have come to my attentlon In ¢onnection
with the examiv)ation giving mo Gause to believe that in any mat8rial respect.,
accounting records were not képt in r&qpee.t of the Trust as required by Section 130 of the Act., or
thp a¢¢ounts do not acc<)rd with thosa racords- or
the accounts do not cOm￿Y with the appli¢able requirements conceming Ihe form and conlenl of accounts
sel out in the Charities IA¢counts and Reports) Regulallons 2008 other than any requirement that the
accounts give a tru6 and fair view which is not a maller considered as part ol an Independent examination.
I have no concerns and have come across no other matters in connection with tha èxamination lo whith attention
should be drawn in this report In order to enable a proper understanding of the ac£ounts to be reached.
Nlck Walerhouse•Brown FCA CTA
The Institute ol Chartered Accountants in En Jand and Wales
LDP Luckrnans
1110 Elliott Court
Coventry Business Park
Herald Av8nu8
Coventry
West Midlands
CV5 6UB
Dale..
Page 4

THE DIANA STARTIN CHARITABLE TRUST
STATEMENT OF FINANCIAL ACTIVITIES
fortho year ènd•d 21 Dècèmbar 2023
2023
UnTe8tr¢caed
fund
2022
Totsl
fijnds
Note8
INCOME AND ENDOWMENTS FROM
Donations and legacies
115.000
250,000
Investment income
614
229
Total
115,614
250.229
EXPENDITURE ON
Charitable actlvitles
Charitable donations
Govèrnance costs
112.77
23,776
Olhar ¢xpendllLJre
157
81
Total
136.709
81
NET INCOMEIIEXPENDITUREI
121,0951
250,148
RECONCILIATION OF FUNDS
Total funds brought forward
247,188
12.9801
TOTAL FUNDS CARRIED FORWARD
226,073
247,168
CONTINUING OPERATIONS
All incom8 and exp&)diture has arisen frDm ¢onlinuing activities.
The ststement of financial acllvilles Includes all galns and losse8 recognised Sn tho year.
The nolBs form part of these financial statements
Page 5

THE DIANA STARTIN CHARITABLE TRUST
BALANCE SHEET
31 December 2023
2023
Unrestrictèd
fund
2022
Total
fund3
Notes
CURRENT ASSETS
Cash al bank
250.201
250.520
CREDITORS
Amounts falling due wilhln one year
124,128)
13,3521
NET CURRENT ASSETS
226,073
247.168
TOTAL ASSETS LESS CURRENT
LIABILITIES
226,073
247,168
NET ASSETS
226,073
247,168
FUNDS
Unrestricted fund$
226,073
247.168
TOTAL FUNDS
226,073
247.168
The financial slalements were approved by the Board of Trustees an¢J aLrthorlsed for issue on
.i.trh .(.￿￿.£....2Q..'W... and were signed on its behalf by..
reen-
rustee
D R WSlartin- Trustee
- Trustee
Thè nolas form part of these finand81 slal*mants
Page 6

THE DIANA STARTIN CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS
for the yoar ond$d 31 December 2023
ACCOUNTING POLICIE3
Basls of preparlrtg th8 financlal statèm•nts
Tho finan¢lal statements of the charity. whith 18 a public bon¢fil entity under FRS 102. have been
prepared in accordan￿ with the ChariliÈs SORP IFRS 1021 'Accounting and Reporting by CharSties.'
statement of Recommended prac￿Ce applicable to charities preparing their aocounts in accordance with
the Finan¢ial Reporting Standard applicable in Ihe UK and Republic of Ireland IFRS 1021 (¢ffodive 1
January 20191,. Financial Reporting Standard 102 'The Financial Reporting Standard applicable in the UK
and Republ1¢ of Irèland, and th& Charities Act 2011. The finarrial statements have been prepared ￿der
the historical cost convention.
Going concern
Durinu thè year the Iruslees setyp The Diana Startin FoutKlthn CIO the int6nlion lo transfer the
assets of the trust to the charilable incorporated organisalion from which Ihe objects of tha Charit8bl
Trust would be carried out in the fvlure. Subs&quonl lo the balance sheet dale the trustees entered inio an
agreement in relation lo the transfer of assets, The Iruglees have therefo￿ not considered it appropriate lo
adopt the golng ¢onGem basis of accounling in preparlng thé finanaal statements Accordingly, tho
financial sialemenl8 have bo¢n P￿Pa￿d on a basis other than going cencÉrn basis. There were no
adluglmÉnts r8quir&d as a resuk ofthe basi8 Other than going ¢oncem.
Income
All income 18 rewgni8ed in the Slalement of Financial Activitie8 onc& th8 charlty has enliuement to the
nd8, 11 is probabla that the income will be received and the amount can b8 measured reliably.
Exp9ndituro
Li8biliti•s are recognised as expenLliture as Soon as there is a legal or constructive obligation uommitting
the charity to that oxpendilure. It is probable that a transfer of e¢onomio b&nefts will be required in
settlement and tha amount of the obligation can be moasured reliably. Expenditure is a¢countèd for on an
accruals basis and has been dassifièd under headings that aggregats all ¢081 related to the category.
Vvherg costs cannol b8 direclly allribuled to particular hoadings they have been allocated to actbvitles on 8
basis ￿nSistenI with the use Of resour¢ès.
Grants offered subject to conditions which have nol ba8n mel al the year end dato aro noted as a
comrnitmenl bul not accrued a8 expenditure.
Taxatlon
The charSty Is exempt from tax on bts charitable a¢tlviliès.
Fund accouiiting
General lund8 are unrestricted funds which are available lor use at the discrolion ol the "Irustees in
furtherance Df the general objectives of the charity and whith havè not b88n desi9naled for other
purposes.
Cash at bank
Cash al bank represents short-temi highly liquid investments with 8 short maturity of th￿e months or less
fiom thè dale ol opening of the dep¢￿11 or simi18r a¢¢ount.
Page'l
continued...

THE DIANA STARTIN CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS- contlnued
forthe year gndod 310tr¢gm￿r 2023
DONATIONS AND LEGACIES
2023
2022
Donations and gift8
Gift ald
42,000
73.000
250.000
115,000
250,000
INVESTMENT INCOME
2023
2022
Deposit gccounl int8r8st
814
229
CHARITABLE ACTIVITIES COSTS
Grant
funding of
adiwlies
IsèÈ not@
51
Support
costs (see
nol& 61
Totals
Charitable donations
Governance ¢0818
112.776
112,776
23.776
23,778
112,778
23.776
136,552
GRANTS PAYABLE
2023
2022
Charitable donatlons
112.776
The charity has lakpn Ihg slalulory ¢xemplion under Charity law from dlsclo$lng the names of gr8nt
r&cipiénts duiit¥J the lifetime of the seltlor of the Iw8t.
Grant8 mad& are categorised as foll￿￿S=
2023
2022
Healthcare
Pr8v&ntion & relief of poverty
Animal welfare
Wldlife rtt5¢uÈ & ¥èhabiltiabon
Farming Gommunity
Churth community
Arts & culture
50,000
17,000
20.776
5.000
5,000
10,000
5,000
112,776
Page 8
contsnued...

THE DIANA STARTIN CHARITABLE TRUST
NOTES TO THE FINANCIAL 5TATEMENTS- continugd
for the year ended 31 D8cember 2023
SUPPORT COSTS
Governan
¢osts
Finance
Totals
Other resources expended
Governance costs
157
157
23.776
23.776
157
23,776
23.933
Support cos15, Indu¢Jed in thfj above, are a8 follo￿-.
Financè
2023
Other
resour￿8
exp&nded
2022
Totsi
activities
Bank fees
157
81
Gov¢rnance costs
2023
Governance
2022
Total
activitie8
Legal fees
Accounlan¢y fees
21.376
2,400
23.776
TRUSTEES. REMUNERATION AND BENEFITS
There were no Irustee8' remunoration or other bènefits lor the year ended 31 December 2023 nor for the
year ended 31 December 2022.
Trust8os' expensg
There were no Irustses, expenses paid for Ihg yéar ended 3.1 Decombor 2023 nor for the year onded
31 December 2022.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrèstiithd
fund
INCOME AND ENDOWMENTS FROM
Donallons and legac4es
250.000
Inveslmenl income
229
TolAI
250.229
EXPENDITURE ON
Page 9
contInU￿...

THE DIANA STARTIN CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS- contIn￿d
for thg yoar gnded 31 Decembgr 2023
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES- conUnu8cI
UnreElrided
fund
Other expendlture
81
NET INCOME
250,148
RECONCILIATION OF FUNDS
Total fttnds broLtght foTh¥ard
{2,9801
TOTAL FUNDS CARRIED FORWARD
247.168
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2023
2022
Trade cwdltors
othor creditors
16.317
7.811
3,352
24.128
3.352
10. MOVEMENT IN FUNDS
N81
movement
in funds
Al
31.12.23
At1.1.23
Unro$trf¢ted fund$
G6neral lund
247.168
{21.095)
226,073
TOTAL FUNDS
247,168
{21.095)
226.073
Net movement in funds, Indud&d in the above a￿ as follows:
Incoming
resources
Resources
expended
Movement
In fund
Unrastrlctod funds
General fund
115,614
If 36.7091
(21,095)
TOTAL FUNDS
115,814
1136.7091
(21.095}
Page 10
continued...

THE DIANA STARTIN CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS- continuèd
forthe year endod 31 December 2023
10.
MOVEMENT IN FUNDS- contlnued
Comparatives for movem¢nf In funds
Net
movèment
in funds
At
31.12.22
At1.1.22
Unmtrlcted funds
General fund
12.980)
250.148
247,168
TOTAL FUNDS
(2.9801
250.148
247,1e8
Comparative ngt movement in funds, included in the above are as followg..
Incoming
resour￿8
Resourc&s
expended
Movement
in funds
Unrestri¢t8d funds
General fund
250229
1811
250,148
TOTAL FUNDS
250,229
181)
250.148
A current year 12 months and prtor year 12 month8 Combined po811ion is as foll
Nel
movement
in funds
At
31.12.23
A11.1.22
Unrestricted funds
General lund
12,9801
229,053
226,073
TOTAL FUNDS
(2,98Ql
229,053
228.073
A cutrenl year 12 months and PFior year 12 mrmlhs cornblned net m¢vèmenl in funds, In¢lUd￿ in the
abDve are as follows..
IncoThing
rèsouices
Resoureés
expended
Movement
in funds
Unrestricted fvnds
Genèral fijnd
365,843
1136,7SOI
229,053
TOTAL FUNDS
365.843
1136,7901
229,053
Page11
continued...

THE DIANA STARTIN CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS- continug
forthg yoar ond•d 31 D•eambèY 2023
11.
RELATED PARTY DISCLOSURES
During the year, the charity made the followin9 donation8 lo charities With Truslees1n comm￿.
2D23
2022
Pregnancy Slckness Support
Tha Farming Community Nelwork
5,DDO
10,000
During th8 year, the ¢harfty received donalions of £42,000 (2022., £250.0001 from a Twstee.
In¢luded wllhln Other ¢redilor8 is £3.3521£2022.' £3.3521 owed to a Trustee,
12.
POST BALANCE SHEET EVENTS
On 28th February 2024 the charitable trust entered Into an agr¢omonl with The Diana Slartln Foundah'on
CIO (charity number 12024271 to Iransler ils as8ets including ils aotivily as a going conc&rn. in accord8n¢e
th the order of the Charity Commission datÈd 31st M8y 2023.
Page 12

THE DIANA STARTIN CHARITABLE TRUST
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
for th& yèar ènded 31 Dgcgmber 2023
2023
2022
INCOMEAND ENDOWMENTS
Donatlons and legacies
Donations and gifts
Gift ai
42.000
73,000
2S0.OOD
115,CK)O
250,000
Invgstmgnt in¢om¢
Deposit aocount interest
614
229
Total Incoming resourcos
115,614
250.229
EXPENDITURE
Charitablè a¢tlvitl•s
Grants lo institutions
112,776
Support costs
FSnance
Bank fees
157
81
Governance ¢08ts
Legal fees
Accountancy fe65
21,376
2,400
23,776
Total rosources expended
136,709
81
Nat18xp8nditur•yincome
121,0951
250.148
Thi8 page does not form part ol the slalulory finanaal statements
P8gÈ13