Shed
Th• Red Shed Pr*d ao
Y••r End•d 31 M•rth 2025

COPfftNTS
Referen￿ and Admln15tralion Dets115
Trusiees Annual Rep)rr
Indepen*Jeni Examiners Report
io
statement of FInanc￿l Acimtles
li
Balance Sheet
12
Notesto the Accounts
13-22

Refereno and Administratlon Detsils
Re8lstered Charity No:
1202545
Tfustees
John Aceno
Trevor Brown
Margaret Frost
lan Hamilton
Llsa Webb
Jon White (Chairl
Carotyn Williams
Chlef Executive Officer
Derek Richafds
ReBistered Addre
12 Benslow Lane
Hr(chin
H•rts
SG4 9RE
Independent Examlner
Nlgel Dea￿ft
Promedla Accountanc
49 The Crosspath
Radlett
Hert5
WD7 8HP
Bankers
CAF Bank Ltd
25 Kln85 tr1111 A%Enue
West Malll
Kent
ME19 4JQ

Trustees. Annual Report
Year Ended 31 March 202S
The Trustees present thelr rnport wlth the flnanclal ststement for the charlty forthe year ended
31 March 2025. The Trustees have adopted the provlslons of the Statement of Re¢omm•nded
Prartl¢e ISORPI'Accourtant and Reportln8 be Charlties. IFRS 1021 In preparln8 the annual
report and financial statements of Charity.
The flr¢anclal Statements have been prepared in accordance with the accountin8 wllcles set out
In the notes to the a¢counts and comply wlth the Charf￿5 8ovemln8 document the Charltles
Act 2011 and Accountlng and Reportlng by Charltles: Statement of Recommended Practl
applicable to charltles p￿parIn8 thelr accounts in accordance with the Financlal Reportlng
Standard appllcable In the UK and Republk of Ireland IFRS 1021 leffecttve l JanuJry 20151.
Trustees of the Charlty
The Trustees who have Served durfn8 the year and slrte the year end were as follows..
Franciszka Nevllle- Chalr Ires18￿d May 2024)
Jon White. Chair lappointe(i Chair May 20241
John Arceno (appointed May 20241
Trevor 8rown
Mar8aret Frost
lan Hamllton
Llsa Webb lappolnted july 20241
Carolyn WS11iamson (appointed lune 20241
The Trustees have consklered the major rlsks to whkh the Charlty Is exposed and have
establlshed systems and procedures to manage those risks. IRisk Management Poliry 6.3.24)
Charitsble Purposes of The Red Shod
l. To promote the health and welFbEln¥ of people WI￿ are affected ty dementla Of a dementl&
related condltlon by provklln8 rellef includlng care and 5UPPOrt to those persons and to their
Irer thmu8h honlculture. 8ardenin8 arKI other related artI¥￿Ie5.
2. To prevent or relleve sodal isolat￿n for put￿lC benefit. in partlojlar but not exclusively to
those atterted by dementla or dementk related condltlons arKI t￿1r carer by the provlsbn of
facilities and services forthe enhancement of physScal and mental well-belng and social
Inclusion throu8h the use of horticulture. 8ardtnTrn8 and other •rtr¥ftie5.

Publlc Benefit StatEmEllt
The Trustees confi'rm that the Charity comM￿l0n.S general fjuldance on publlc benefit ha5
been considered In relation to the objectives of the Charity. The Charity believed that Its services
would help improve wellbeing and reduce isolation for people with dementia and their urers.
The objective5, actlvttles. perfomiance and achlevement sectlons of thls report clearly set out
the attlvltle5 whlch ihE Charlty undertakes for public benefft. The Trustee> conflrm that they
have complled wlth thelr duty In Sectlon 4 of the Charttes Acl 2006 to have due re8ard to publlc
benefits guidancè publlshed by the Charltles Commlssion in detenninin8 t￿ actNities
urKlertaken bythe Charity.
Key Achlevements for 2024-25
Achlovemonts and Perfomianca:
Our strateBlc alms for 202￿25 ¥thYre to coniinue to 5rren8rhen ihe or8anlsailon, malntaln and
grow our Barden clubs and act￿￿￿$, and ensure the lon8-temi sustslnablllty of The Red Shed
throu8h stron8 leadership and secure fvndln8 wlth the planned retlrement of the Founder •nd
CEO, su Harvey. We are pleased to report that we a¢hleved these •lms and more.
Dellv¢rlng on our Purpo•e
At the heart of The Red shed's workls our commthient to Improvlr4 the mental and physlcal
wellbeln8 of people IMn8 wbth dementla arKI thelr carers and reducln8 soclal Isolatlon.
Throu8hout the year we have continued to run four Week￿ Gardenin8 aub sesslons. provldlni
hands on a¢tivlty, companionship and the therapeiFtK benefits of yrdenins.
Alongslde this, our Month￿ Carers Café has 8one from 5tren8th to strenBth, fe*urlnB guest
speakers who brln8 practlcal Infornlatlon and advke to help carers In th4ir day-to4ay lfv•s. Th•
Café also provldes v•luable Peer-t￿peer support. helping c4ren feel lesslsolated.
We have a150 contlnued to host our monthly D*m•ntla Invohmm•At Gffjup in p•rtA•rÈhip wtth
the Ursiversity of Hertfordshire. The Red Shed is Proud to be a member of the Natlonal Instltute
of He3￿h and Care Rosearch INIHRI arld Applied Aesearch colla1￿ratIOnS IARCSI. Thi5
partnershlp provides a platform for people living wlth dementla and their carers to shape
dernentla researcn an(J Influence the development of services. Several of our Red Shedders have
conlributed dirertty to Important projects takin8 place a¢r055 the East of En￿and with
researchers from the University of Hertfordshire. Unr¥ersity of Essex and UniversSty of East
An811a.
We have received referrals from ¥artous sourc¢5 includin8 Adult Cares Ser¥iiE5, Alihelmerf5
Soclety and Admiral Nurses as well as self-referrals via ourwebsite and soclal media, We

generally are at capacity for our G)rdenin6 Clubs and operate a waltlng listfor those we cannot
immedi8tely accommodate.
The Red shed strives to malntain the hi8hest quality sen41￿ our staff and volunteers
attending a varlèty of tralnlng events throu8hout thè year.
We provlde Safe8uardSn& Dementia Frlend and First Aid tralnln8 to our staff, the Trustees and
voluntccrs and ensure our pollcles and procedures •re reviewed, updatqd •nd Smplemented.
International Support
In Aprll 2024 we were ￿nOUred to be chosen as the Charity of Year by the Toulouse
Women's Int¢rnat6onal Group fffviGI. This reco8nitK>n from the intematlon•l communlty
hi8hliBhts the value of our work arKI ha5 hel￿d rnlse awareness of The Red Shed well
Hertfordshlre.
Celebratlng Our Communlty- Open Garden
In June 2024 we held our secoThl Open Garden event, Welcom1￿ partlclpants, carers, famllles,
funders, referral partners, and supporters. The 8arden was at Its best. and vlsltors were able to
see first-hand the positwe impact of ther•peutic horticu￿vfe. The event >tren6thened
latlonships across OUT community and increased awarenes5 of our work.
Sharin8 Our PrKtice- Journal Publicati(
In July 2024 The Iled shed was featured In the Joumal of Dementla Care wlth a 17se ttudy
demonstratSn8 how the Fr￿ Ways to Wellbelng are applied In ourgarden dubs. Thls n•tlon•l
recognition h43 helped to Show(￿ our •pproKh •rnl Inspire oiheT5 WLYklr¥ people If¥lr
wlth dementla.
Contributing to the Hertfordshlre Dementla Straty
Throughout the year, The Red Shed has contlnued to play an arti￿ rol• in th• impl•rn•ntatlon
and development of the Hertlordshire Dtmenti• Strate8y12023-281. Our Involvement provldes
unlque flrsi-hand Insight, not only Irom people Irvin8 wlth d*rnenila but a150 from their carers.
v sharlns these lived experiences, we help ensure that the Sirategy reflects wl needs and that
serylces across the county become more responsi￿. Indusive ?nd effective.
Also. we have continued to play a major rol• in the accreditatlon of Stwna8e •s a Dementla
FriendlyTown.
Leadershlp Transltlon
In November 2024. our founder and CEO. Su Harvey. anr#)ynLEd her retlrement after many
years ofdÈdh¢at￿n. Thls prv4hded an opportuntyto revknmour staffirg 5tnKture. Followlng

consultation, gJ'5 role was dlvlded into two rthy part-tlme p05ts.. Chlef ExKutfve and Garden &
Wellbelng Manager. This new Structu￿ will 5tren8then leadershlp, sUStainablllty and 5eYvlce
delivery as we 8row.
Securing long-Term Fundlng
In Oecember 2024 we were thrilted to be awarded a th￿e-year grant from Natlonal Lottery
Community Fund. Thls vtsl core fundin8 will running costs and ensure the sustsinability
of our clubs and activities, gNin8 US the security to plan confidentty for the fvture.
Planning a Second Red Shed Site
Also In December. we bÈ8an the search for a suitable site for a second Red Shed in the Welvryn
and Hatrield area. The growlng Med for our kind of servlcè Is evldent not On￿ Coun￿leVel
dementia stat15tics, but also in our own waiting lists. Wlth the kr￿wledge and experience Balned
from successfully setting up and runnSn8 our current 8arden, we are confldent that we can
expand our unique model of improvin8 wellb•ln8 throu6h th•rap•utlc h¢rtl¢ultur• to b•n•flt
even more people llv1￿ wmh demenlla and thelr orers.
Welcomln8 a New CEO
In February 2025, we appolnted Oerek RkhJrd5 a5 our new Chlef ExeCut￿e. Derekjolned us
from North Herts & StevenaBe Centre for Voluntary Services, wheTÈ ￿ worked as Business
M•n•6er supportlfi6 volunt•ry •nd wmrnUn￿ 8roups •¢ross the •re•. HIS experience In
leadership, fvndraising and p•rtnershlp buSldln8 wlll be Inv•lu•ble as The Red Shed continues to
expand its reach and impart.
To8ether, these achievement5 reflect a year of both continuty and change- maintsinin8 the
ouallty of our sèr¥￿￿5 while also pr•parinB th• or8anhation for th• next sta8e of Itspumey.
A Sp•eial Thank You

On her retirement we extend our heartfelt sr•titude to Su Har￿for her unwaverlrw dedlcatlon
and visionary leadership in founding The Red Shed and leadin8 it to the place where it is ready
to expand as a ￿nctionIn& impartful and financially stsble entty. From its inception as an earlv
iilea, Su nurturtd and ￿eW Th• R•d Sh•d into a stratsoK forc• and a sanrtuary farthose in
need.
Under Su's guidance, The Red Shed became an oasis in the complexity of life for those living
with dementSa and thelr carers, providinB resp6te, care, love. and connectedne5S to Countless
Individuals. Her strategic foresight and vlslon have been Instrumental in creating a unlque
blueprint for success. one that is ready to be Shar￿ and ￿pliCated to bènefrt even more
ommunllbes as we sel to expand in the year ohead.
Su touched the Ilves of many Indlviduals, fosterlnB fr￿ndShIP, compasslon. and support wlthln
the communlty. Her l¢g#ry is one of empathy and togeth¢rrws. and her contribution5 will
continue to inspire #fid Buh￿ us as w• cami forward th• mi4ion of The Red Shed into the nekt
sta8e of Its evolution.
As Su tran51tion5 into retirement, we commSt to nurturfn8 the seeds she ha5 planted and
ensuring that The Red Shed remalns a beacon of hope arKI support for all who seek its embrao.
We thank Su for her remarkable contrtbutlons and wlsh her a happy, wholesome, and fulflllln8
retlremenL thankln8 for the stron8 foundatlon upon whlth our future actbon plan
•rKhored.
Flnanclal Rov5ew
Year Endgd 31 March 2023:
The CharW$ Income thls year was £7LI(M) IlncliKlln8 £25,055 unrestrlrted Income) and
expendlture of £49,691. 8lvln8 a net Income/èxpendnure of £21,409.
Ros•rve$ Pollcy
The Charity has into place a wlicy to maintain hjnds. which are free reserves of th• Charfty.
at a level which takes account of infiatknn. We have attl¥dy bewn to bulld reseryes In our
savings account.
Gwant8
We have received restrkted fiK)dI￿ ta wpport our¥ffjrk from
Chauncy Charfty- £5,993
Follet Trust- £i.(
Natlonal Lottery Fund- £176. 186 l<wer 3 ￿ars)

Future plans
Securing funding forour new garden in welwyn Hattleld area will Lr a prlorlty for the
tomlnl year.
Followlng the retirement of our Founder and CEO we will seek to e5tabllsh the new re5tnJcture
of the Team and recrult for a Garden and Wellbelng Mana8er.
Th• Trust•￿ ar• pl•as•d wfth the work undertaken ty th• chrltylhb fln•ncbal y•4r and hop•
to contlnue to develop •nd Imprtr•e all area5 01 the ser¥k•. They T￿nt to th•nk •H th• rt•ff
•nd volynt••rJ whos• ￿rd work h•5 m•de th15 P￿1b￿.
Strurture, Governance and Management
The Red Shed Proffject CIO Is a Charftable Incorporated Oryanisatlon 8¢wemed ￿ a constltutlon
adopted by the Trustees on 29 March 2023. Charlty CNnmissloners registration number Is
1202545. The Chalr ol Trustee$15 re5wnslble forth ethe tralnlng of a new Trustee5 whlch
Involves awareness of a Trustee's fesponsibilities, the 8overnin8 document administration
Procedures and the hijtory •nd objerti¥e> of the Chairty. A new Tnjstee would 0150 re¢eiv¢
coples of the prevlous years, annual report and accounts.
Trustees. responslbllftles
The trustees are responslble for p￿paring the Trustees, Annual Report and the flnanclal
statements In Kcordance wlth appllcable law and Unlted Klr4dom Ac¢ountlng Standards
Iunited Kin8dom Genernlty Accepted Accountins Practice).
The low appllcable to charftles In [En8land & WaleslNorthem Irelandl requlred the tnjstees to
prepare financial statements for each financial year which give a true and fair view of the stale
of affairs of the Chairity and of the incomirtg resources and application of resources of the
Charlty for that p•rlod. In pr•parln8 th•s• financlal stat•m•nts, th• trustq•S aT• r•qulr•d to:
S•lect sultable accountln8 p)Ikles and app￿theM con$15tently,
Observe the methods and prlnclples In Charbtle$ 59RP 2Q15 (FR5 1021
Make jud8ements and estimates that •re reaSona￿e and prudent:
State whether appllcable accountlng standards have been followed, subjtet to any
materlal departures d15c105ed arKI ewalned In the flnanclol ststements,.
Prepare the flnanclal statements on the 8oln8 COn￿M basls unless It Is Inapproprfate to
presume that the Chaidtywill contlnue In operatlon.
The trustees are responsible for keepln8 proper accounti￿ records that di5c105e with
reasonable a¢curaty at anytlme the finarKlal kwltbn of Charity and enable them to ensure

that the flnancial statements complywith the Ch•ritles fv£t 2011. the Chairty Ikcounts and
Reports) Regulation5 2008 and the prow5￿n of the trust deed. They are also responsible for
saf•8uarding thè assets of the charity and h@neo fortakinq reasonable rteps for the prevention
and d•t•ctlon of fraud and oth•r irr•8ularities.
ApPrO￿d th• board oftrurtws and SIgn￿ on Its behalf lry:
Slgnalure of trustee
Name: .......

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Section A
Independent Examiner's Report
Report to the trustees
The Red Shed Project CIO
On accounts for the year
ended
31 March 2025
Charity no
{if any)
1202545
Set out on pages
1-12
I report lo the trustees on my examination of the accounts of the above
charity I'lhe Trust") for the year ended 3110312025
Responsibilities and
basis of report
As the charity's trustees, you are responsible for the preparation of the
accounts in accordance with the requirements of the Charities Act 2011
{'Ihe Act").
I report in respect of my examination of the Trust's accounts carried out
under section 145 of the 2011 Act and in carrying out rny examination, I
have followed all the applicable Directions given by the Charity Commission
under section 14515llbl of the Act.
Independent l am qualified to undertake the examination by being a qualified member of
examiner's statement The Association of Accounting Technicians and the Chartered Governance
Inslitule.
I have completed my examination. I confirm that no material matters have
come to my attention in connection with the examination which gives me
cause to believe that in. any material respect..
the accounting records were not kept in accordance wtth section 130
of the Charities Act., or
the accounts did not accord with the accounting records., or
the accounts did not comply with the applicable requirements
concerning the form and content of accounls set out in the Charities
(Accounts and Reports) Regulations 2008 other than any requirement
that the accounts give a 'lrue and fair, view which is not a matter
considered as part of an independent examination.
I have no concerns and have come across no other matters in connection
wrth the examination to which attention should be drawn in this report in
order to enable a proper understanding of the accounts lo be reached.
Signed-
Date:
Narne:
Nigel lan Deacon
Relevant professional
qualification{sl or body
(if any):
FMAAT FCG
Address;
49 The Crosspath
RADLETT
WD7 8HP

The Red Shed Project CIO
Cbarily No
1202545
Annual accounts for the period
CC17a
Period end
dale
penl￿ start date
0110412024
311312025
Section A
Statement of financial activities
Restricted
incorn
fund$
Recomm6nd8d
categorles by actlvlty
Detsils of own
analysis
Unrestricted
funds
Ersdowm?nt Totsl this
funds
year
Toial last
year
Incoming resources (Note 31
In¢oming rèsources trot
generated lunds
F01
F02
F03
F04
F05
volunt￿ Incom
S01
2S,055
46,045
71.100
46.293
2,328
A￿l¥rties10rOenerthrt1 funds
S02
Inv8thanlincorn•
S03
Incomlng r•seurc•s from
¢h8ri¢abl8 a¢tiviti88
othor In¢omlng re8oyr¢•$
S04
16.383
S05
Total Incoming resourcès s06
Resources expendod (Notes 4-81
25,055
46,045
71.100
65.004
Costs of Gon•r*tlng Funds
kncorno
$07
241
402
643
891
Fundrai￿￿￿ tradw
Inv4￿meTht MAnag•m8D1￿￿t&
$09
Ch8rltabl• actlvltles
$10
18,446
30,027
48,473
40,516
Gov8m8n¢o ¢OSt•
575
575
575
Othor resources expendod
512
Total r8sourc•s expended s13
Alotinc0mln￿[0UtgQlrtgJ resources belorg
Ir?rJsférs s14
19,262
30.429
49,691
41,982
5.793
15.616
21.409
23,022
Gro¥$ transfews between funds
S15
Net Incorning/loulgolng) resources before
otherrecognised gain￿{lOSSeS) s16
5,793
15,816
21,409
23,022
Othèr recognised gainslllossesl
Gains and lossès on ￿valUation of fixed 89sets
for the charity 5 own use
S17
Gains and losse5 on investment assets
518
Net movementin funds s19
Totsl fvnd5 brought forward
Tot81 funds carried forward $21
5.793
10.481
15.616
21,409
23.022
23,022
S20
12.535
16.280
28.151
44.431
23.022
C17a IExc811
23106r2025

Section B
Balance sheet
Restricted
incorne
funds
Vnrestricted
funds
Endowment Total th18
lunds
yÈar
Total last
year
Fixed assets
Tangible assets
F01
1,664
F02
F03
F04
1,664
F05
2,217
INotÈ 91
Investments
INote 101
Total fixed assets
B04
2,217
Current assets
Stock and work in progfy$s
Dèbtors
(Ntste 111
(Short term) investments
Cash at bank and in hand
Total ¢urr•ni ass•ts
8Q5
260
260
582
807
21,639
22,221
B09
Credltors: amounts falllng due withln
ont yèar
(Note 121
BID
816
816
1,416
Net current assets/(li8biltities)
20.805
Tot81 assets less ¢urrent Ilabllities
12
23,022
Creditors: amourtts falling due aft•r
one year
(Not¢ 121
13
Provlslons for Ilablllt5•s and charg8S
B14
Net 45sets
B15
23,022
Funds of the Charity
Urbrestricted funds
16,280
16,280
10,487
B17
Restricted income funds (Note 131
Endowment funds (Nots 131
28,151
28.151
12,535
B19
To¢al fvnds
B20
23,022
Signed by one or Iwo Irust8es on ￿half of all
Ihe LrustÉ8S
Date of
roval
Sl9nalure
Print Nam8
CC17a (Excxll

Section C
Notes to the accounts
Note 1
Basls of prèparatlon
Thls sectlon should be completed by 8lleh8rities.
1.1 Basls of accounting
These a¢counls have been pr8pargd on tho basis of historic ￿St18￿Cept that investments a￿ shown at martel
value) in a¢¢ordance with".
Accountirig and Reporting by Charflies- siaiemenl of Recomrnend8d Prac11￿ ISORP 20051,.
and with"
Accounllng stsndards.,
Financial Reporting Sl8ndard$ for Smaller Enterprises IFRSSEI.,
or
and with the Charities A¢t.
exce
t for the followin
Glve det8lls in (his boxrfa dlff8rent stsndardlJ8s been fr*llow8d.
-TK* as appropriate..
if all relevant disdosures Shown in the pack have bsan gwen then please bck"AwuntirwJ Standards":
rf disdo$ures completed in these accounts have been restricted to IhoBe rnquired by iha FRSSE. then pl88se bck
"Financral Reportsng Sisndards lor Smaller Enterprises IFRSSEI..
- If no depanures from Ime ¢hosen standards hève been m8de Ih&n delete Ihese vnxd5', 01herw￿& gwe detalls of any
rjianges in Ihe boxes.
1.2 Change in basls of accounting
There has been no change to the accounting policias (valuation rulas and methods of accounling15inc8 last year
15 8xcepl for the followingl.
Give detaAls in thls box tslany m&t8rial ¢h•nges th8th8ve b8on mado.
$ chonges havo been rnadg to accounting wllcles Ihen dolele those words.
1.3 Changes to provlous a¢counts
No changes have been mao$8 10 accounts for previous ￿8rs(S￿ except for the following).
GAve d8talls in Ihls box of 3nyrnat8riolchang8s that h&ve boen made.
95 chBnges have be8D made lo awunts for pr8WOU5 perlods then delete thtsewords.
CC178 (Excell

Section C
Notes to the account5
Icontl
Notè 2
Accounting policles
Thls st4ndardllstof ¥ccountingpollcle$ h•s b8en 8ppll8dby th& charlly except lor those deloled. WhoTr • dmltrrnnl
or&ddlElonalpolicy has been $dopted Ihen IMS Is detalledln the l)ox ljelow.
INCOMING RESOURCES
Recognition of Ineomlng
resour¢e¥
These are inC￿ded in the Statsmenl of Financial ￿￿vil￿S ISOFAI when..
Ihe tharity becomes 8ntil1￿ 10 the resourtes.-
ihe Iru51ees are viduallv Ceflain Ihev will receive the resources.. arNI
the monetstv value Can be measured with suffiGiÈnl reliability.
whe￿ Incoming resources have rela18d expendilure las wih fundraisin9 or ￿ntract income)
Ihe incominy ￿$ourceS and relaitd expenditur8 ara rewrted gros5 in the SOFA.
Grants and donali0Ths ara only Induded in SoFAwhen Ihe ¢hadly has uncondilional
eniiller(*nl lo the resour*s.
In¢ornlng r*$our¢e8 wkh
related •¥pendlturÈ
Grants and doThat6on$
Tax re¢lalms on donatlon8
and gilts
Contractual income antl
performance related grdnt
InGomiry resources from tax reclaims are includad ITh Ihe SOFA al Ihtr same Ilrne as Iha gift to
Vjhich Ihgy ralai6.
Thi$ is onty Included In the S)FA onco th8 ralated g(x)ds orseM¢es ha¥8 been delwered.
Gths In klThd
Gifts in kitsd are acttunted foral 8 r8850rhable eslwnaie of Iheirvalue to the charityor the
8movnl aclually realised.
GI￿ ir kind for sale or distribulbn are included in Ihè accounts as gitts onlywhen sold or
distributed bythe chanty.
Gins In ￿nd for u¥e by ihe ¢h8rity aro Included in Ihe SOFA as k)ts)mSng r6$0urces when
receivable.
These gre only included ITr Incomin9 otsources Iwllh an equw8lenl amount in resources
exp8ndedl where Ihe benefit 10 chanty i5 reasonably quantifiable, measurable antl
material. The ¥Alue placed on these rèsour¢es is the esUm81od value to Ihg charity of Iho
service or 18cllity re¢elved.
The value ol any volunlaryhelp Is not included in the accounts but k8 Oes¢ribed in the
tnjstees. annual report.
This 15 included in Ihe accounts Kthen recewdble.
Donated servlces and
facllhles
Volunteér holp
Investrnènt Tntome
Investrnent gains and losses This indudes any gain or loss on Ihe sale ofinvestments and anygain or loss resuth'ng frorn
revaluing Inveslmants ￿ marketV8lue aithe end Of the 5Ear.
EXPENDITURE AND LIABILITIES
Ll•blllty recognltlon
Liabilil¢s a￿ ￿¢09Th1$e￿ 8s soon as there ￿ a *gal or construclive oblvJ8tion cornrnittin9 thè
harty to yayoul re$¢ur¢e$.
Incl￿8 costs 01 the preparabon and 6X8r￿Da1￿n of statutoryaGCQLnts. the ¢osis ol Imsloe
meeiings and cost of any legal Bdwce io Imslees governartt or cthisliiulional matters.
Where the charilygives a grgnl with Gondilions for its paymenl beiNJ a specific level ol servi(
or oulpul to be provid6d. $u¢fv grant$ are onty rgcDgnised In Ihe SOFA once the redp￿010[ the
grani has provided thé specili&d seNice or oulpul.
TheEe ara only recognised in th$ a¢￿￿n￿9 wh6n a ¢ommllmanl has baen fflade and there Bro
no ¢ondlUons to be mel relating to Iht grant which remain In th& Conirol ol Ihe charlly.
Support cosls include ¢ontral functions and have been allocal8d lo aciivily c051 ca￿orieS an
basis wnslsienl thrylh Ihe use of resources, eg allocatin9 propetyuytsts by floor8roas. or par
c&piLq, s&ff costs by th6 bme spenl and other c0919 by their u$ag8.
Gov•rrbanc• ¢08ts
GraTrt$ wlth performancq
co￿d￿lIans
Grants payablp wlthout
p•rformanco ¢ondhionts
Support Co$
ASSETS
T•nglble flxed as&ets for use These artr ¢apllali9ed rf theycaTr be used for mole than one year. and cost al le¥stE500.
by ¢barlty
They ar8 valued 31 ty)si or a roasonable valua on re¢8lpt.
Irwestmonts
Investments 4UOted on a r8counised stock exchange are valuèd al matkel valu8 al the yèar
and. OlheT investment ass&ts are included ai vuglee$' bost eslimale ol market value.
Sto¢k$ and work In progress These are valued atffttr l¢)war 0f￿s1 or marketvalue.
POLICIES AOOPTED
ADDITIONAL TO OR
DIFFERENT FROM THOSE
ABOVE
CC17a IExcell

Settion C
Notes to the accounts
Itontl
Note 3
Analysls of Incomlng resources
In6oming resources may be further8n81ys8d ilthis wouldhelp the readèrof th• atcount&
This yaar
L86t y•ar
Anal 51$
Voluntsry Income
Donabon8
Grants
Sund Income
24.203
46,145
752
22.648
23.645
Total
71.100
48,621
Actlvlties for 98noratlr5g lunds
Total
Investment iThcome
Totsl
Incomlng resourcets from
charltsble actI￿tIeS
Transfer of fun(15 from RÈd Shed Pro'acl CIC
16.383
Total
16,383
CC17a (Excell

Section C
Notes to the accounts
lcontl
Notè 4
Analysls of r•soureès èxpended
Resources expended may bE further analysed If thls would help the reader of the accounts.
This year
La$t year
AnalysI5
Costs of generating
voluntary Incom8
Markelin
43
420
180
28
610
253
Online Givin
Costs
Total
643
891
Fundrai¥ing trading
Costs
Tolal
Investment
management costs
Total
Charitable actiwtifrs
PL8nl M8terials & Gard8n Sundii8S
Siie M8inlenance Cosls
Siaft Costs
Volunleer Costs
Adrnin Costs
reciation
4.181
4,188
1.884
31.268
147
2,475
554
40,516
40,696
287
2,244
554
48,473
Total
Governanc8 costs
Inde
endenl Exgrniner Fee
575
575
Total
575
575
CC178 IEKcell

Section C
Notes to the accounts
contl
Note 5
Support Costs
Please complete thls note if the charity has analysed Ats expenses using a¢iivlty caiesyorles andlJ&s
support costs.
Fundralsino actlvSty
Charitable A¢tivty
Governance A¢tlWIy
Total Cost
ort cost
Toial
Note 6
Dètails of certaln Items of expendlture
6.1 Trustse expenses
Please provide details of the amount ofanypayment orreimbursemont of out-of-pocket expen$ès made
to Irusttses or to thirdparties for exptrnses Incurred by trustees. If no expenses werepaiGI,
please enter'None' In the appmpriate box(esJ.
fhls year
Non¢
L8$t yeaf
NoThe
Numbor of trust888 who w8rn paid expenses
N8ture of the expenses
Total amount pald
6.2 F•es for examlnatlon or audlt of the 8ccount8
Ple8s0 provido details ol th& amountpaid for any statutory 8xternals¢rullny of accounts and other
sèrvl¢8s provid8d by yotsrlnd6pendont ex&minor or8udltor. If nolhing was paid please enter NONE In
the approprlate box(esl.
Thls year
Last year
Independent examlner's or audllor¥' lees lor reportlng on the
accounts
Other lee8 Ilor example.. 8dvlce, consultancy, accourttancy
6ervlG¢sl paid to the independent 6xaminer or auditor
575
575
360
667
CC17a (Excell

Section C
Notes to the ac¢ounts
Icontl
Note 7
Paid employees
Pl•o$• ¢omplole thls note If Ihe charlty h4$ any •mploye•s.
7.1 Staff Costs
This year
Last year
Gross wages, $8larles and benefits In klnd
Ernployer's National Insurance costs
Pension costs
27,280
222
238
27,740
20.196
97
267
20.560
Total staff costs
7.2 Average numbÈr of full-tlme equivalent employees in the year
The part5 01 the charty in which the
•mployees work
Thls year
Number
Last year
Plurnbèr
Total
7.3 Definèd contrlbutlon panslon schemg
Plo8se cornplete lff a d•llned Contrlbutlon
Brief detsils ol the schÈm
enslon scheme 1$ o
raled.
Thls year
Last year
Thfr ¢o•ts of tha s¢hvm• to the charbty lor thfr year
The Amount of any ¢ontrlbutlon6 oulstandlno at th? ￿¥r end
Tht amount of any eontrfbutlons prepaid at the yeJr end
¢C17a (Excell

Sèction C
Notes to the accounts
contl
ote9
Tangible fixed assets
Please cornplgte th1$ note if the ch8rity h35 any tanglble fix8dassets
9.1 Cosl orvaluation
Fr••hold land
& bulldings
Othor land &
bulldlng$
Pl•n¢
machiDery
and motor
vehlcles
Flxtures,
fltlSngs and
equipment
Payments On
a¢¢ount and
assets under
constructlon
Totsl
Balance brought
fO￿ard
Addition8
2,772
2.772
Rev8luation5
D15posals
Transfers
Balance carried
fotward
2,772
2.772
9.2 Accumulated depreciation and Impalrment prov15ion$
SLorRB
-Basi8
SLorR
SL
SLorR
SLorR
Rate
Balan(* brought
fotward
Depreciation charge
for y&ar
Impairment provisions
554
554
$54
554
Revaluations
Disposa15
Transfers.
Balance carried
forward
1,108
1.108
9.3 Net book value
8roughl fO￿ard
Carried forward
2.218
1.664
2,218
1,664
9.4 RevaluHtlon
118ny fixed A5Sèts have bo8n revaluedple8se glvè d8t8lls of tho valuer end m&thod of valuallon
The 7tsnslers' rDwls formov8rn6nls b8Èk•E8n fixed assét c818gDri&S.
Pleas& indic8le Ihg m@Ihod old&p￿clariOn by deleling the meihod nol 8pplic&ble ISL= str8ighl line.. R8=
r8ducing bal8nc&l. Also p168S8 indicafè th8 rate old&pr&c181iDn.' forslraighl line, whal 15 the 8ntlcip818d li18 of
Ihe gsset (in years),. lor reducin9 balance. whal is the p&rcentage annual deduction.
CC17a IExrnll

SÈclion C
Notes to the accounts
Icontl
Not•11
Dtbtors and prepayments
Pleas? compl•t• this noto if the ¢h8rity h8s any debtors or
è monts.
Analysls of dèbtors
Amounts falling du&
within one ypar
Th¢s year
Last year
Amounts falling due aftgr
more than one year
Th58 year
Last yeor
Trnde debtofs
Amounts due frorn Subsidiary and a550ciated
undertskings
OthÈr debtor8
Prepayments ènd a¢crued income
260
582
Total
Note 12
Credltors and accruals
Please complefo fhis note if the ch4rity has any crèdytotrs or 8ccruals.
12.1 Analysls of credltors
Amounts falllng due
wilhin one year
This year
Last year
Amounts falllng due after
more than one yeaT
This year
Last year
Loans and overdrafts
Tr3de credltors
Amounts due to 8ubsidi8ry Bnd aJso¢iat•d
ndertakings
Other credltors
Accru815 and daferrod incorna
816
1.416
Total
12.2 Securlty ovar assets
Many loan, overdraft or othercredltorholds a charyo or othér security overany assets ofthe eharlty
please provlde detalls.
CC178 (EX￿1}
10

Section C
Notes to the account5
contl
Note 13
Endowment and restricted income funds
Ple8se complete thls s¢¢tion il thè eharlty has any endowment orrestrfctad Incom• funds.
13.1 Funds held
Please glve a brlef de$¢rlptlon of any of the lollowlng type of funds held by the charlty..
permanent endowment funds IPEI.,
expendable endowment funds IEEI-, and
restricted income funds, including speclal trusts, of the ¢harity IRI.
Fund Narne
Type PE, EE
orR
Purpose and Restrictions
Conlribulion lo costs of running Garden C5ubs
Conlribulion lo pay costs of an Administrator
Conlribulion lo pay costs of an Administraloi
Conlfibulson lo slatt costs
GDntribulion to staff costs
Beds & Lulon Community
Th8 Chauncy Charity
The Follett Tru51
Garfield Weston
National Lolle
13.2 Movements of majgr funds
PIo&se glve delalls of the movements of the major funds summarisod in the resiri¢féd and endowment
colufflns off the St8temenl of FinancialActivitiès.
un
balance5
brought
forward
balance5
tarrled
forward
Incorning
rÈsouices
Outgolng
resources
Galns and
losses
Transfers
Fund n8mos
Beds & Lulon Comrnunity
The Chaurty Charity
The Folktt Trust
2.052
2.110
1,000
5.000
5,491
500
1.619
G8rtield Weston
10.000
10.000
15,032
National Loiie
HÉrts Communi
7,373
12,535
7.373
30.429
Total Ftsnd8
46,045
28.151
13.3 Transf6rs betwe8n fund$
Please 9lve del•lls o18ny tr8nsfers botween lunds.
From Fund (Namg)
To Fund INaffl81
Rèason
AmouTht
Non&
CC17a (Excell

Section C
Notes to the accounts
l¢ontl
Note 14
Transactions with related parties
If the charity has any trartsa¢tions with rÉl8tedp3rties (olher than the trustee expenses explained An note 6J
details of such transdctions should beprovided In this note. Ir there are no transacttons to report. please
enter"None" in ihe relevant boxes.
14.1 Remuneratlon and benefits
Please give the Amount of, and legal authority lor, any rernunerabon or other benefits pald to a trusÉee or
otherrelated partles by rhe charity orany institutltsn or ¢omp8ny ¢onnected with it.
Amounts pald or benefit value
Name oftrU$h• or connected party
Legal autht)rlty leg order.
governing documenti
Thls year
Last year
on•
None
14.2 Loans
Please giwe detsils ol&nd amounts owing to or from the ¢harlty's trustees orother related parties by the
charlty at the year end.
Name of tru8t8e or
¢onne¢t¢d party
Arnouvt owlng
Thi5 year
Last year
Legal authorlty
Due to trustee$ and
related parties
Due from trustees
and related partles
None
None
None
None
14.3 Other tran$actlonl$l wlth twstees or related partle$
Please glve det811s of any transactlon undert&ken by (or on beh8MoQ tIRe ¢hgrlty In whl¢h a trustee or
relAtedp&rty has a mater14pI Interest.
Name of the trustse
or related pa
Relatlon$hSp to
¢hari
Description ol the
transactionls
Thls year
Last year
None
None
CC17a (Excell
12

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Section A
Independent Examiner's Report
Report to the trustees
The Red Shed Project CIO
On accounts for the year
ended
31 March 2025
Charity no
{if any)
1202545
Set out on pages
1-12
I report lo the trustees on my examination of the accounts of the above
charity I'lhe Trust") for the year ended 3110312025
Responsibilities and
basis of report
As the charity's trustees, you are responsible for the preparation of the
accounts in accordance with the requirements of the Charities Act 2011
{'Ihe Act").
I report in respect of my examination of the Trust's accounts carried out
under section 145 of the 2011 Act and in carrying out rny examination, I
have followed all the applicable Directions given by the Charity Commission
under section 14515llbl of the Act.
Independent l am qualified to undertake the examination by being a qualified member of
examiner's statement The Association of Accounting Technicians and the Chartered Governance
Inslitule.
I have completed my examination. I confirm that no material matters have
come to my attention in connection with the examination which gives me
cause to believe that in. any material respect..
the accounting records were not kept in accordance wtth section 130
of the Charities Act., or
the accounts did not accord with the accounting records., or
the accounts did not comply with the applicable requirements
concerning the form and content of accounls set out in the Charities
(Accounts and Reports) Regulations 2008 other than any requirement
that the accounts give a 'lrue and fair, view which is not a matter
considered as part of an independent examination.
I have no concerns and have come across no other matters in connection
wrth the examination to which attention should be drawn in this report in
order to enable a proper understanding of the accounts lo be reached.
Signed-
Date:
Narne:
Nigel lan Deacon
Relevant professional
qualification{sl or body
(if any):
FMAAT FCG
Address;
49 The Crosspath
RADLETT
WD7 8HP

The Red Shed Project CIO
Cbarily No
1202545
Annual accounts for the period
CC17a
Period end
dale
penl￿ start date
0110412024
311312025
Section A
Statement of financial activities
Restricted
incorn
fund$
Recomm6nd8d
categorles by actlvlty
Detsils of own
analysis
Unrestricted
funds
Ersdowm?nt Totsl this
funds
year
Toial last
year
Incoming resources (Note 31
In¢oming rèsources trot
generated lunds
F01
F02
F03
F04
F05
volunt￿ Incom
S01
2S,055
46,045
71.100
46.293
2,328
A￿l¥rties10rOenerthrt1 funds
S02
Inv8thanlincorn•
S03
Incomlng r•seurc•s from
¢h8ri¢abl8 a¢tiviti88
othor In¢omlng re8oyr¢•$
S04
16.383
S05
Total Incoming resourcès s06
Resources expendod (Notes 4-81
25,055
46,045
71.100
65.004
Costs of Gon•r*tlng Funds
kncorno
$07
241
402
643
891
Fundrai￿￿￿ tradw
Inv4￿meTht MAnag•m8D1￿￿t&
$09
Ch8rltabl• actlvltles
$10
18,446
30,027
48,473
40,516
Gov8m8n¢o ¢OSt•
575
575
575
Othor resources expendod
512
Total r8sourc•s expended s13
Alotinc0mln￿[0UtgQlrtgJ resources belorg
Ir?rJsférs s14
19,262
30.429
49,691
41,982
5.793
15.616
21.409
23,022
Gro¥$ transfews between funds
S15
Net Incorning/loulgolng) resources before
otherrecognised gain￿{lOSSeS) s16
5,793
15,816
21,409
23,022
Othèr recognised gainslllossesl
Gains and lossès on ￿valUation of fixed 89sets
for the charity 5 own use
S17
Gains and losse5 on investment assets
518
Net movementin funds s19
Totsl fvnd5 brought forward
Tot81 funds carried forward $21
5.793
10.481
15.616
21,409
23.022
23,022
S20
12.535
16.280
28.151
44.431
23.022
C17a IExc811
23106r2025

Section B
Balance sheet
Restricted
incorne
funds
Vnrestricted
funds
Endowment Total th18
lunds
yÈar
Total last
year
Fixed assets
Tangible assets
F01
1,664
F02
F03
F04
1,664
F05
2,217
INotÈ 91
Investments
INote 101
Total fixed assets
B04
2,217
Current assets
Stock and work in progfy$s
Dèbtors
(Ntste 111
(Short term) investments
Cash at bank and in hand
Total ¢urr•ni ass•ts
8Q5
260
260
582
807
21,639
22,221
B09
Credltors: amounts falllng due withln
ont yèar
(Note 121
BID
816
816
1,416
Net current assets/(li8biltities)
20.805
Tot81 assets less ¢urrent Ilabllities
12
23,022
Creditors: amourtts falling due aft•r
one year
(Not¢ 121
13
Provlslons for Ilablllt5•s and charg8S
B14
Net 45sets
B15
23,022
Funds of the Charity
Urbrestricted funds
16,280
16,280
10,487
B17
Restricted income funds (Note 131
Endowment funds (Nots 131
28,151
28.151
12,535
B19
To¢al fvnds
B20
23,022
Signed by one or Iwo Irust8es on ￿half of all
Ihe LrustÉ8S
Date of
roval
Sl9nalure
Print Nam8
CC17a (Excxll

Section C
Notes to the accounts
Note 1
Basls of prèparatlon
Thls sectlon should be completed by 8lleh8rities.
1.1 Basls of accounting
These a¢counls have been pr8pargd on tho basis of historic ￿St18￿Cept that investments a￿ shown at martel
value) in a¢¢ordance with".
Accountirig and Reporting by Charflies- siaiemenl of Recomrnend8d Prac11￿ ISORP 20051,.
and with"
Accounllng stsndards.,
Financial Reporting Sl8ndard$ for Smaller Enterprises IFRSSEI.,
or
and with the Charities A¢t.
exce
t for the followin
Glve det8lls in (his boxrfa dlff8rent stsndardlJ8s been fr*llow8d.
-TK* as appropriate..
if all relevant disdosures Shown in the pack have bsan gwen then please bck"AwuntirwJ Standards":
rf disdo$ures completed in these accounts have been restricted to IhoBe rnquired by iha FRSSE. then pl88se bck
"Financral Reportsng Sisndards lor Smaller Enterprises IFRSSEI..
- If no depanures from Ime ¢hosen standards hève been m8de Ih&n delete Ihese vnxd5', 01herw￿& gwe detalls of any
rjianges in Ihe boxes.
1.2 Change in basls of accounting
There has been no change to the accounting policias (valuation rulas and methods of accounling15inc8 last year
15 8xcepl for the followingl.
Give detaAls in thls box tslany m&t8rial ¢h•nges th8th8ve b8on mado.
$ chonges havo been rnadg to accounting wllcles Ihen dolele those words.
1.3 Changes to provlous a¢counts
No changes have been mao$8 10 accounts for previous ￿8rs(S￿ except for the following).
GAve d8talls in Ihls box of 3nyrnat8riolchang8s that h&ve boen made.
95 chBnges have be8D made lo awunts for pr8WOU5 perlods then delete thtsewords.
CC178 (Excell

Section C
Notes to the account5
Icontl
Notè 2
Accounting policles
Thls st4ndardllstof ¥ccountingpollcle$ h•s b8en 8ppll8dby th& charlly except lor those deloled. WhoTr • dmltrrnnl
or&ddlElonalpolicy has been $dopted Ihen IMS Is detalledln the l)ox ljelow.
INCOMING RESOURCES
Recognition of Ineomlng
resour¢e¥
These are inC￿ded in the Statsmenl of Financial ￿￿vil￿S ISOFAI when..
Ihe tharity becomes 8ntil1￿ 10 the resourtes.-
ihe Iru51ees are viduallv Ceflain Ihev will receive the resources.. arNI
the monetstv value Can be measured with suffiGiÈnl reliability.
whe￿ Incoming resources have rela18d expendilure las wih fundraisin9 or ￿ntract income)
Ihe incominy ￿$ourceS and relaitd expenditur8 ara rewrted gros5 in the SOFA.
Grants and donali0Ths ara only Induded in SoFAwhen Ihe ¢hadly has uncondilional
eniiller(*nl lo the resour*s.
In¢ornlng r*$our¢e8 wkh
related •¥pendlturÈ
Grants and doThat6on$
Tax re¢lalms on donatlon8
and gilts
Contractual income antl
performance related grdnt
InGomiry resources from tax reclaims are includad ITh Ihe SOFA al Ihtr same Ilrne as Iha gift to
Vjhich Ihgy ralai6.
Thi$ is onty Included In the S)FA onco th8 ralated g(x)ds orseM¢es ha¥8 been delwered.
Gths In klThd
Gifts in kitsd are acttunted foral 8 r8850rhable eslwnaie of Iheirvalue to the charityor the
8movnl aclually realised.
GI￿ ir kind for sale or distribulbn are included in Ihè accounts as gitts onlywhen sold or
distributed bythe chanty.
Gins In ￿nd for u¥e by ihe ¢h8rity aro Included in Ihe SOFA as k)ts)mSng r6$0urces when
receivable.
These gre only included ITr Incomin9 otsources Iwllh an equw8lenl amount in resources
exp8ndedl where Ihe benefit 10 chanty i5 reasonably quantifiable, measurable antl
material. The ¥Alue placed on these rèsour¢es is the esUm81od value to Ihg charity of Iho
service or 18cllity re¢elved.
The value ol any volunlaryhelp Is not included in the accounts but k8 Oes¢ribed in the
tnjstees. annual report.
This 15 included in Ihe accounts Kthen recewdble.
Donated servlces and
facllhles
Volunteér holp
Investrnènt Tntome
Investrnent gains and losses This indudes any gain or loss on Ihe sale ofinvestments and anygain or loss resuth'ng frorn
revaluing Inveslmants ￿ marketV8lue aithe end Of the 5Ear.
EXPENDITURE AND LIABILITIES
Ll•blllty recognltlon
Liabilil¢s a￿ ￿¢09Th1$e￿ 8s soon as there ￿ a *gal or construclive oblvJ8tion cornrnittin9 thè
harty to yayoul re$¢ur¢e$.
Incl￿8 costs 01 the preparabon and 6X8r￿Da1￿n of statutoryaGCQLnts. the ¢osis ol Imsloe
meeiings and cost of any legal Bdwce io Imslees governartt or cthisliiulional matters.
Where the charilygives a grgnl with Gondilions for its paymenl beiNJ a specific level ol servi(
or oulpul to be provid6d. $u¢fv grant$ are onty rgcDgnised In Ihe SOFA once the redp￿010[ the
grani has provided thé specili&d seNice or oulpul.
TheEe ara only recognised in th$ a¢￿￿n￿9 wh6n a ¢ommllmanl has baen fflade and there Bro
no ¢ondlUons to be mel relating to Iht grant which remain In th& Conirol ol Ihe charlly.
Support cosls include ¢ontral functions and have been allocal8d lo aciivily c051 ca￿orieS an
basis wnslsienl thrylh Ihe use of resources, eg allocatin9 propetyuytsts by floor8roas. or par
c&piLq, s&ff costs by th6 bme spenl and other c0919 by their u$ag8.
Gov•rrbanc• ¢08ts
GraTrt$ wlth performancq
co￿d￿lIans
Grants payablp wlthout
p•rformanco ¢ondhionts
Support Co$
ASSETS
T•nglble flxed as&ets for use These artr ¢apllali9ed rf theycaTr be used for mole than one year. and cost al le¥stE500.
by ¢barlty
They ar8 valued 31 ty)si or a roasonable valua on re¢8lpt.
Irwestmonts
Investments 4UOted on a r8counised stock exchange are valuèd al matkel valu8 al the yèar
and. OlheT investment ass&ts are included ai vuglee$' bost eslimale ol market value.
Sto¢k$ and work In progress These are valued atffttr l¢)war 0f￿s1 or marketvalue.
POLICIES AOOPTED
ADDITIONAL TO OR
DIFFERENT FROM THOSE
ABOVE
CC17a IExcell

Settion C
Notes to the accounts
Itontl
Note 3
Analysls of Incomlng resources
In6oming resources may be further8n81ys8d ilthis wouldhelp the readèrof th• atcount&
This yaar
L86t y•ar
Anal 51$
Voluntsry Income
Donabon8
Grants
Sund Income
24.203
46,145
752
22.648
23.645
Total
71.100
48,621
Actlvlties for 98noratlr5g lunds
Total
Investment iThcome
Totsl
Incomlng resourcets from
charltsble actI￿tIeS
Transfer of fun(15 from RÈd Shed Pro'acl CIC
16.383
Total
16,383
CC17a (Excell

Section C
Notes to the accounts
lcontl
Notè 4
Analysls of r•soureès èxpended
Resources expended may bE further analysed If thls would help the reader of the accounts.
This year
La$t year
AnalysI5
Costs of generating
voluntary Incom8
Markelin
43
420
180
28
610
253
Online Givin
Costs
Total
643
891
Fundrai¥ing trading
Costs
Tolal
Investment
management costs
Total
Charitable actiwtifrs
PL8nl M8terials & Gard8n Sundii8S
Siie M8inlenance Cosls
Siaft Costs
Volunleer Costs
Adrnin Costs
reciation
4.181
4,188
1.884
31.268
147
2,475
554
40,516
40,696
287
2,244
554
48,473
Total
Governanc8 costs
Inde
endenl Exgrniner Fee
575
575
Total
575
575
CC178 IEKcell

Section C
Notes to the accounts
contl
Note 5
Support Costs
Please complete thls note if the charity has analysed Ats expenses using a¢iivlty caiesyorles andlJ&s
support costs.
Fundralsino actlvSty
Charitable A¢tivty
Governance A¢tlWIy
Total Cost
ort cost
Toial
Note 6
Dètails of certaln Items of expendlture
6.1 Trustse expenses
Please provide details of the amount ofanypayment orreimbursemont of out-of-pocket expen$ès made
to Irusttses or to thirdparties for exptrnses Incurred by trustees. If no expenses werepaiGI,
please enter'None' In the appmpriate box(esJ.
fhls year
Non¢
L8$t yeaf
NoThe
Numbor of trust888 who w8rn paid expenses
N8ture of the expenses
Total amount pald
6.2 F•es for examlnatlon or audlt of the 8ccount8
Ple8s0 provido details ol th& amountpaid for any statutory 8xternals¢rullny of accounts and other
sèrvl¢8s provid8d by yotsrlnd6pendont ex&minor or8udltor. If nolhing was paid please enter NONE In
the approprlate box(esl.
Thls year
Last year
Independent examlner's or audllor¥' lees lor reportlng on the
accounts
Other lee8 Ilor example.. 8dvlce, consultancy, accourttancy
6ervlG¢sl paid to the independent 6xaminer or auditor
575
575
360
667
CC17a (Excell

Section C
Notes to the ac¢ounts
Icontl
Note 7
Paid employees
Pl•o$• ¢omplole thls note If Ihe charlty h4$ any •mploye•s.
7.1 Staff Costs
This year
Last year
Gross wages, $8larles and benefits In klnd
Ernployer's National Insurance costs
Pension costs
27,280
222
238
27,740
20.196
97
267
20.560
Total staff costs
7.2 Average numbÈr of full-tlme equivalent employees in the year
The part5 01 the charty in which the
•mployees work
Thls year
Number
Last year
Plurnbèr
Total
7.3 Definèd contrlbutlon panslon schemg
Plo8se cornplete lff a d•llned Contrlbutlon
Brief detsils ol the schÈm
enslon scheme 1$ o
raled.
Thls year
Last year
Thfr ¢o•ts of tha s¢hvm• to the charbty lor thfr year
The Amount of any ¢ontrlbutlon6 oulstandlno at th? ￿¥r end
Tht amount of any eontrfbutlons prepaid at the yeJr end
¢C17a (Excell

Sèction C
Notes to the accounts
contl
ote9
Tangible fixed assets
Please cornplgte th1$ note if the ch8rity h35 any tanglble fix8dassets
9.1 Cosl orvaluation
Fr••hold land
& bulldings
Othor land &
bulldlng$
Pl•n¢
machiDery
and motor
vehlcles
Flxtures,
fltlSngs and
equipment
Payments On
a¢¢ount and
assets under
constructlon
Totsl
Balance brought
fO￿ard
Addition8
2,772
2.772
Rev8luation5
D15posals
Transfers
Balance carried
fotward
2,772
2.772
9.2 Accumulated depreciation and Impalrment prov15ion$
SLorRB
-Basi8
SLorR
SL
SLorR
SLorR
Rate
Balan(* brought
fotward
Depreciation charge
for y&ar
Impairment provisions
554
554
$54
554
Revaluations
Disposa15
Transfers.
Balance carried
forward
1,108
1.108
9.3 Net book value
8roughl fO￿ard
Carried forward
2.218
1.664
2,218
1,664
9.4 RevaluHtlon
118ny fixed A5Sèts have bo8n revaluedple8se glvè d8t8lls of tho valuer end m&thod of valuallon
The 7tsnslers' rDwls formov8rn6nls b8Èk•E8n fixed assét c818gDri&S.
Pleas& indic8le Ihg m@Ihod old&p￿clariOn by deleling the meihod nol 8pplic&ble ISL= str8ighl line.. R8=
r8ducing bal8nc&l. Also p168S8 indicafè th8 rate old&pr&c181iDn.' forslraighl line, whal 15 the 8ntlcip818d li18 of
Ihe gsset (in years),. lor reducin9 balance. whal is the p&rcentage annual deduction.
CC17a IExrnll

SÈclion C
Notes to the accounts
Icontl
Not•11
Dtbtors and prepayments
Pleas? compl•t• this noto if the ¢h8rity h8s any debtors or
è monts.
Analysls of dèbtors
Amounts falling du&
within one ypar
Th¢s year
Last year
Amounts falling due aftgr
more than one year
Th58 year
Last yeor
Trnde debtofs
Amounts due frorn Subsidiary and a550ciated
undertskings
OthÈr debtor8
Prepayments ènd a¢crued income
260
582
Total
Note 12
Credltors and accruals
Please complefo fhis note if the ch4rity has any crèdytotrs or 8ccruals.
12.1 Analysls of credltors
Amounts falllng due
wilhin one year
This year
Last year
Amounts falllng due after
more than one yeaT
This year
Last year
Loans and overdrafts
Tr3de credltors
Amounts due to 8ubsidi8ry Bnd aJso¢iat•d
ndertakings
Other credltors
Accru815 and daferrod incorna
816
1.416
Total
12.2 Securlty ovar assets
Many loan, overdraft or othercredltorholds a charyo or othér security overany assets ofthe eharlty
please provlde detalls.
CC178 (EX￿1}
10

Section C
Notes to the account5
contl
Note 13
Endowment and restricted income funds
Ple8se complete thls s¢¢tion il thè eharlty has any endowment orrestrfctad Incom• funds.
13.1 Funds held
Please glve a brlef de$¢rlptlon of any of the lollowlng type of funds held by the charlty..
permanent endowment funds IPEI.,
expendable endowment funds IEEI-, and
restricted income funds, including speclal trusts, of the ¢harity IRI.
Fund Narne
Type PE, EE
orR
Purpose and Restrictions
Conlribulion lo costs of running Garden C5ubs
Conlribulion lo pay costs of an Administrator
Conlribulion lo pay costs of an Administraloi
Conlfibulson lo slatt costs
GDntribulion to staff costs
Beds & Lulon Community
Th8 Chauncy Charity
The Follett Tru51
Garfield Weston
National Lolle
13.2 Movements of majgr funds
PIo&se glve delalls of the movements of the major funds summarisod in the resiri¢féd and endowment
colufflns off the St8temenl of FinancialActivitiès.
un
balance5
brought
forward
balance5
tarrled
forward
Incorning
rÈsouices
Outgolng
resources
Galns and
losses
Transfers
Fund n8mos
Beds & Lulon Comrnunity
The Chaurty Charity
The Folktt Trust
2.052
2.110
1,000
5.000
5,491
500
1.619
G8rtield Weston
10.000
10.000
15,032
National Loiie
HÉrts Communi
7,373
12,535
7.373
30.429
Total Ftsnd8
46,045
28.151
13.3 Transf6rs betwe8n fund$
Please 9lve del•lls o18ny tr8nsfers botween lunds.
From Fund (Namg)
To Fund INaffl81
Rèason
AmouTht
Non&
CC17a (Excell

Section C
Notes to the accounts
l¢ontl
Note 14
Transactions with related parties
If the charity has any trartsa¢tions with rÉl8tedp3rties (olher than the trustee expenses explained An note 6J
details of such transdctions should beprovided In this note. Ir there are no transacttons to report. please
enter"None" in ihe relevant boxes.
14.1 Remuneratlon and benefits
Please give the Amount of, and legal authority lor, any rernunerabon or other benefits pald to a trusÉee or
otherrelated partles by rhe charity orany institutltsn or ¢omp8ny ¢onnected with it.
Amounts pald or benefit value
Name oftrU$h• or connected party
Legal autht)rlty leg order.
governing documenti
Thls year
Last year
on•
None
14.2 Loans
Please giwe detsils ol&nd amounts owing to or from the ¢harlty's trustees orother related parties by the
charlty at the year end.
Name of tru8t8e or
¢onne¢t¢d party
Arnouvt owlng
Thi5 year
Last year
Legal authorlty
Due to trustee$ and
related parties
Due from trustees
and related partles
None
None
None
None
14.3 Other tran$actlonl$l wlth twstees or related partle$
Please glve det811s of any transactlon undert&ken by (or on beh8MoQ tIRe ¢hgrlty In whl¢h a trustee or
relAtedp&rty has a mater14pI Interest.
Name of the trustse
or related pa
Relatlon$hSp to
¢hari
Description ol the
transactionls
Thls year
Last year
None
None
CC17a (Excell
12