REGITrED cHAy NUMBER: 201218 leport ollhe Trust•w and Unaudt•d Fmanclal slatreM• lorthe Y•¢v dd 31 March ¥)25 ewer5 Chulered Accovnlonts Untt 3 Br1* cotyard Bram Surrey GU5 OiA
Contents of lh• Flnanckrf Stotemerrt5 for the Yeqr Ended 31 M<v¢h 202S Pa eport ollhe Truslees Independ•nl ExaNdn•rfs Rew stalemert ol Anandd Adlvllt•s Bdance Shgel Not•s k* th• Rnanelol Stalements 8 10 13 Delglled Slalement Hnanclal Adlvll•s 14 to 15
R•port oflhe Trwtees Ic the Year End•d 31 March 2025 Consljhrtlon The Chority is atso known os Hikn Ch(x¥ty Reg no. 7218 and operates from Hi1Ser House. Fornhom Road. Guildlord GU2 7LT. Thè Ch15 goveming d(UMent o Chty CommGsK)n Scheme dated 31s1 October 1995 (last amènded 6th February 2LY)61. STIIUCTURE. GOVERNANCE AND AIANAGEM£Nr REFERENCE AND ADMINISTRATIVE DEtAJL5 fvlr Phillip Stocey Chair Dr Susan Snasha K Nalhalie Ap.toinel Jo Radley trs Ann Dry Mr fvlark Ryan 5 Sarah McKenie Mts Louise Piper Rasw3ned 17.11.25 Apwnled S).5.24 The Ckhjrity has oppointed the off4 Cvstorfkin Ch(yities 05 the regislwed Kwwelorwilh Ihe Lond Regtry. The Potron.. The RKJhl HonoUrab The ofOnsbv4. The trustees oided in running the Charyty by the c[tIman0ger. The knl ol trustees meets 3 limes per yeor. The charrran and ckrvmanoger meet on a monthty LK)sis anol encovroge at thst one other Iruslee lo join all ol these meetings. The appolnllng bodies aiw. Church Meeting of Guikjlord United Relom)ed Church Parochial Church Council ol the ECCthtaI P(yish ol St Nrokn& GUlf0rd Trustees ol Guikjlord thOls Chvrch. The ch1$. eportlng Aeeountont is Piewef5 Chartered Accountants, 3 B1Y Courty<Yd. BromY GU50LA Bonk Current Aeeovnt Lbyds. 147 H.'gh Street, GuilJlord GUI 3AG Bank D•posll Ac¢ount is CCLA Investment Manogernent Lld. CheapSKle. London EC2V ODZ Sdlell¢r is Moore B¢Jk)w LLP. The Orid. Sydenham Rood. Gu( GUI 35R Page I
R•port of lh• TILtslees
lor the Year Ended 31 M¢rch 2025
Prfnclpal AdlylH•s ft Ihe Pvbfic Benefft
The purpose ol the Charity. founded in I0. to FVje accomnTh)dalion for FXXK women ol g<x)d characler
who are not kn thon year5 of age and member5 01 the Church of Engkjnd (x of some congyegalion of
Proleslanl Dissenlèrs
Report ol Ihe TnS lor Ihe Year ended 31 Mch 2025 A second kJun(ty was in51all within a redundant shower room during the blter port ol the year. The new kjundry wll reduce the dtance the kndies the wesl sKJe of the bulk1n9 hove lo ctsry Iheir washing. The trustees ore keen lo commence w(yk on the ngery during 2)25, however, debys in obtaining pkJnning consent continue to imrEde our otilty to gel th woiecl started. The resKlenls lake F¥ide in their suffounding5 and ther communFty- Thr h(Td w(xk in the g(rden earned them Ihe $ier owgrd in the Guiklford in Bicom -ompelitior.. A small group ot the gardene. enjoyed attending a réception al the Guiklholl whére they were yesented with the c2ward. During November the sloff and resentS were involved in a tree plonfing Ffoiect in the g(Yden.- SCC donoted 100 hedging trees whh were pkjnled olong the car pork fence and obng boundory wth the a1Y which in time it i% hoped wll FyovKle on (Jttro¢tive hedge giving more Fxivacy. 5rx fruit tree5 hove been pknnled in the qet garden lo cseale a mini cychard. Mony social events we orgontsed throughout the year tncluding and chip lunche5. Pcjrties includng a disco. elc and on excelnI Chidm05 knnch on o tx)uF travellng up the fhome5. Various chJb5 abo took place indvding knitting. art ckJs5es and lingo. Exchange visits were enK)yed beeen HillEr House and The Alice Cough alrnshouse in &racknelL all the reshyenls invofved enpyed the oppcmlunty ol spending lime together. We•ldy Muint•nance Confvibvlions The WMC is reviewed annualty with any changes tng IMpted during the frsl week ol AFxiI to c(inCe with the slort OF the Chority's ffnoncial yeor. Whibt the Irustee5 remain ccmnThtted to ensvring the charge remains fair ond reason0b. the huh Tate of e(Jrfjef in the yeor yoved chalenging Ihil year in porticular. however Ihe trustees e confent that Hillw House Offe excePEnl volue fly mon. During the year Ihe Irustees m(xle the deci5iors lo award a sum trom the Bur50ry Fund to alV]te resident hord5hip. Freehold Land and Buldngs The truslees consider Ihol the markel w]lue ol treehokl hand ond t>JikJings is in excess ol the amount shown in the rincjncul Statements, but as these 05se15 are used ty the Charity lo luifil its pincipol octwity and no ($saLI are envisoged. the excess not quanlified. The chorify aimg to mointcin o Iquid reserve in c05h and investrrent5 on the gen01 fund equNon lo al thsl six monlh5' monagernent ond sermce Costs. The remoining bank reseNes and current asset investments are aSbcaled lo imyovemenl yqecls and to FXJY IanY on&off unloregeen eXrIdi1ure. InYeslmeDt pdi Under its governing deed the choThty requred lo invest monEs not nèeded lor immediole working purposes. Thè truslees delerrrune whèther thts shoukj in bonk deFmlS k)nger-term investments after taking approwale odwce. R•sld•nt Invofv•m•nt The tru51ees ore keen to emp)wer the reents. CTealing on enwonmenl where leedtKJck is w&tomed. volued ond wherever possibk is acled vwn. The Ch(yity has a Focetx)ok toge whrh 15 regul updated wblh pholos cnd e'¥en15 which al rEsKlent's lamity and Ir.end5 eni)y sng and COTnmenling on. stal•ment ofTrust••s' Rèsponthlll•s The Iru5tees ore reSwn$ib lor wep]ring the Annual RetKxl and Ihe fv)oncial stoteTYnts in acc<ydonce th appIcab kiw and regukJlK)ns. The knw Opp[cab to charities in Engkjnd & requ the trus1 lo rTrKX]re finon¢KJI sloterr@nls for eoch linCl year in accoance Mith Uni+ed ngdorn Genera Accepted Accounting Proclico (United Kingdom Accounting Stondord5 and applicab kw). Ihe InJslees must not apyove the financial 5taterrEnts UnSS they are soltslied Ihol Ihey gwe o true and fo view of the dole of affary of the charity and ol Ihe incoming resources and oppSc(stion ol resoutces. including the income ond expendrfure. ol the chality lor Ihol FHi¢xJ. Page 3
HHlerAknshouse$ Reporl of Ihe Tnjslees lor the Year End¢d 31 2tr15 Fxepcmng these finonc4al statement5. Ibe Intslees ue requyed lo-. al selecl 5uiloble occouniing polcie5 and apr4y IFEM ccwstenttr. bl observe Ihe melfrfxjs ord lyin0p in Ihe Charitie5 50RP., cl moke ju&Jmenls and acc(xJnling e51irroles Ihol <ye 0S0)ble and wdenl." dl state wkElhw opp&cob iIK Acc(xJntiry Sland0 ts teen fc¢kMed. 5ut4.ecl to cy)y rrK)leriol depcylwes dsclosed and expkllned in the fIrK)nCK slolEnEnls. el Ihe fprxjncioj 5joltrn15 Jhe gang CcV)ct. Liryk&5 it .v)DpnLpfjol2 Io ye5U.ry)p Ihe chotily will C(linue to orerale. The Iruslees cré respor&it* for keerxrvJ suffioenl CntIng records Ihol cfisclose wilh re(or)ré accurocy ol (Y time Ihe firK]ncKJI po1) of the ch<ity Or enobÈ Ihem to enSe Ihot Ihe fironciol sloternents CoMY with Ihe Choritith Acl l. lh& Cfiofiiv IAccourils orld ReFu15j RVgVQiil1 Th orid li ie vOvClI5 01 Ihe u51 deed. They ale abo reskx)ngble l(K saleguardng Ihe ossels ol the ch(ty hence fry loknTrJ reOe step5 1(x the F¥eventic crd deteC"On of froud olher TegklEs. Ch(yty ha5 ts surpKts fu the ye(Y ot £95. ITf24". £746.9 J. ... ¢ThS gned on its b8hll by. Arvurfed by order of the ol Iwslees ¢Tr....... .............. ........ lacey-Trusl Page 4
er Almshouses Independonl •xamlnrfs r•ptt9 the of 14Ser Almshouses I rep(xt lo the chaiity trustee5 on my exominolK)n of Ihe accovnts ol HI1 Alrnshouses Ithe Trust) for the year ended 31 Marrh 2)25. R•sponslbEllN•s and basls ol r•port As the charity truslees ol the TnJsl you ore reSFK)nsIb Icr the FKep)ralion ol Ihe accovnts in accordance with the requirements of the Chorities Act ] I (Yhe Acri. I rewrt in respect of rny examinalDn ol the Trusl's accounts c(xri&Y out urKJer Section 145 01 the Acl ond in ir,g ovt rny exominatK)n I have lovowed gll appfrcob DweCliS gwen by the Chcyity Comrni5sTon und Section 14515llbl ol the Act. Indenden1 •xgmlneFS Stalement Since your chorily's gross income exceeded £2YJ.(m YO exominw must te a membw ol a lulled tcdy. I can confim thal l am qualfEd lo undwtoke Ihe exominolK)n LEcouse l am a member of the Inslitvle ol Chortered Accountants in Engkjnd and wa5. which i5 one of the ted IxKlie5_ I havo CoMpted my exa#no110. I confrm that molerial molter5 hove corr to my ottention in connection wilh thè examination gving me cov5e lo befjeve Ihal in any material respect= occounting reccfds were not kept in restt ol the Trust os requred by Section of the Act.. or the accounts do not accord with those rec(.. or the account5 do nol compty vdth the app5c0b requtrÈn1l con¢eming Ihe form and conlenl ol accounts sel out in the charit IAccounts ond ReF(Mtsl RegutJtk)r>5 ZXB olhd Ihon any requirement Ihat the occounls gNe a Inje ond faw view whrh is rK)t a moller consfvjwl 0$ tsl on independent examinalK)n. I have no concerns and have come cuoss no olhef motter5 in COnnectn with the examinotion lo which atlenlion Shou be drawn in th reFMNI in (Kder lo enOb a woper understonding ol Ihe accounts to be reqched. A M Sknlton Brewen Chorl8red Accounlanls BlleY Covtyard Bramley Surrsy GU50L Date.. Page 5
51(ttemenl of nancIal Activlll•s for the Year Ended 31 mCh 2025 2025 Tolal )24 Tolol funds Unrestrted funds Re51ricled fund Notes INCOME AND ENDOWMENTS FROM Charllable actlYHles Charitable Activit 210.986 240,984 327.747 Inv6strnenl Iorne 23.752 23.752 18.127 Total 284.738 284.738 345.874 EXPENDilliRE ON Chuilloble actjvftles chori10b Activities 189.408 189,408 176,554 Nel goins/lk)$5esl on nvestmenls t223) NET INCOME 9330 95.330 146,970 RECONCIUATION OF FUNDS Total funds broughl forward 1274.383 1214.383 1.067,413 TOTAI FUNDS CARRIED FORWARD 1209.713 1.309.713 1.214,383 The ntsle5.fm F(Jrt of these finonc201 stoemen15 Page 6
HIUeT Almshov5es Balance Sheet 31 March X125 2W25 Totd 24 Tolol funds Uryestricled Restricled fLnd No1è5 HXED ASSETS Tarkgible ossels 914.6&3 914.683 8x675 CURREN[ AS5Ets Deblcxs Inveslmenls Cosh al bonk ond in 6.592 220.614 324.790 5,952 )6.4 317.621 220.614 324.790 551.996 551.996 53.867 CREDITOR5 Amomt5 falSng the wlhin ye 0IA20) (11.420) I14,1) NET CiIRRENfASSErs 54057 54),576 515.702 TOTAL ASSEtS LESS CVRRENT UABILMES 1.455259 IA55.259 I4.377 PROVISIONS FOR uAJiimES 10 {145.546) {145.546) I1,991] NE[ ASSErs la09.713 IAOg.713 1.214.3&3 HJND5 Unre5tricled ftJnds IAOg.713 1,214.X3 TOTAI FUNDS IJ09.713 1.214,393 Th& financial slole en15 opFxoved by the Eoc¥d of Trustee5 rmd oulhc5£d lor s5ue ond were ¢xt its by. P Slocey- Tnjstee The rotest(xm fKyI of these finonool sloleTtEnts Poge 7
Notèsto the Flnancial Stalemerrfs tu the Yèar Ended 31 March 2025 ACCOUNTING POUCIE5 Basis of pr•wing the1Snancld sl¢rttmerbts The financial slatements ol the choTTty. whh (s a Fxjbk tenefit entty ¢JndÈr FRS 102. hove been prepared in occordance with the ChoritEs SORP IFRS 1021 'Accounting and Reporting by Ch(lieS.. Stolement ol Recommended Procfte appricab to chaiities Fxewring ther accounts in occordonce with the Finoncial Reporting Slandord apprab in the UK and Repubfc of end IFRS 1021 leffeclive l January 191,. Financial Reporttng Standard 102 Yhe ffina4cpJl lieFKKling S+ondard oppFcab in Ihe U< ap.d Pepublic of Irebnd and the ChorilEs Acl l. Ihe finoncial staterrEnt5 have In KxeF>Jred Under the historicol cost conventDn. Incom• All income rec(ynised in the Slalement of FinancKJl Actiiqkies once the charrty has entitment lo the funds, it probab thol the income will be recVed oftd the omount can be measured rÈlably. Exp•n¢lkne abififies c¥e reccgnised 05 exFenditure as xx)n as there 15 a Jegal ry construclive oblallOn committing the charity to that expenditure. it is y0bob that o transl& of econom benefit5 will be required in settmnI ond the anUnt of the oblgotion con tE meosured refu. Evn£ture is accounted foi on an accruab t(Jsi8 and hos tEen under headings thot aggregate all cost rebled to the category. Where costs cannot bè drectty otlribvled to hecxliros they have been alkxrjted lo actlI1S on a ba$6 consi51enl with the use ol rwurces. ranglkle fix•d 05sets Depreciotion Is Fvided ol the foknmng or¢nual rote5 in c(der to write olf each o%5et over it5 estimoted Useful Ife. Fixtures and fittings Cornputer eqvipment I1 on c051 33% on Cost Toxoffon The Hilliets Aknshovses is nol regled fcf Valve Added TaL In these financial slolemenls, where appsc0b, expenditure shown nclJsNe of VAT. Fund aceounlhg UnE5tThcted lund5 can vsed in oCccdonee 44thh the chc¥Itab otiecllves al the discretion ol Ihe trustees. Restricted lund5 can onty be used IOT Fathcuky resfvrled purKX)se5 Wthin the objects ol the charity. Restrictions 0e when sr)ecffied by the don(x orwhen funds are rai1 for portcuk7rrestrbcled wrposes. Further exJanotDn ol the nature ond pvrFX)se ol ch fvnd induded in Ihe note5 to Ihe financK21 stolemenls. Houslng wowlies These cye vakjed al cost. Deeciation ts not charged in these occounts 05 due lo a high Fyoperty reskjuol value the chorge fcy the yeor and the accumubted de[tion (re imm.olerial on an aggregflte Ix$. The 8oard annu(11 revws Ihe nkilerialty ol hovyng desxecialion. The chctY has, over a F8k)d ol yeots, teen urw(Jdng Ihe txJthrLK)fTS and kntchens. Due lo the 5ubstanlKJl Improvem1 invow in Ihe uwrading the costs ore included vnder Hou%ng Properties ond as such not depreciated due to immateri¢JSty. 11 on imEYoved kitchen or bathrwm is subsequenlty repbced thb Vvill be itten off lo the Income ond Expenditure account. Cycifcal R•pdrs HIler5 Almshouse5 has eslobfj5hed o regvkjr Fxogramme ol cyclcol rep]ir5 ond maintenance. C0515 are chorged to the Revenue Account in the yecx Sn whh they Ixe incurre conlinued...
Noles lo th• ffnanck Stal•ments- eordlnved the Y•ar Ended 37 M¢x¢h 2025 ACCOUNTING POUCIES . corrtlnved Houslng prop•rt1•5 Mqlntenonce ProJects Maintenance yqects unb5$ representing imKovemen15 to FXOFErties. (Te charged to the revenue accourlt in the year in whh they ore incwed. Deslgnaled Re¥erves These ore reserves Set a5Kle by the Tiustees for Speci Ivture tmjrwes and rxoiects. INVESTMENT INCOME 2024 De?t account interest Inveslmenl income 14.984 8.768 8.179 9.948 23.7S2 18.127 TRusfEES' REMVNERATION AND BENEFITS There were no trustees, remunerotK)n ry other benefits f(x the year ènded 31 V<Tch l)25 nor for the year ended 31 M(wch 24. riv5treeJ' •xp•n5es rhere were no Injslees. exFenses pa f<y the yew ended 31 March 25 nor lor the year Ènded 31 McTch 2)24. COMPARAnVES FOR THE STAI&MENT OF ANANCIAL ACTIVMES Unre5trrted lunds Restricted fund Total funds INCOME AND ENDOWMENTS FROM Charflable gcllvffles Choritobie ActNil 327.747 327,747 Investment irKome 18,127 18,127 Tolal 345.874 345.874 EXPENDITURE ON Chottlable aclM*I•$ Charitab Activities 176.554 176.554 Nef goinsllk)sse51 on invesfments 1223Y)I 1223S)I NET INCOME 14&970 146.970 RECONCIUATION OF FUNDS Tolol funds hovghl forward 1.067.413 1.067.413 Page 9 conllnved...
Notes lo fhe financlal Stalem•nts - ¢onNNied for Ihe Yeai Ended 31 Mqch W25 COMPARATIYES FOR THE srATElENT OF RNANCIAL ACTivmES . eonllrtued Unrestricted funds Restricted fund Totol funds TOTAL FUNDS CARRIED FORWARD 1.214,383 1.214,383 TANGIBLE FIXED ASSeTS The Hilier Almshouses is bvitr vwn o tyece ol land which wos gifted lo the TnJslee5 os joint tenant5 in 1879. The INstee5 con%der that the market vabJe of trTre freehokl kjnd and bviklings is in exce5$ 01 the amount shown in the financial slotenEnt5, l>Jl 05 these ossels ore used by the chority lo ils rxincipol octivity and no disrrt)$01s envisaged, the exce5S Is not quonh"fi. In tle yecr under lo end of March 2025, captal costs incvrred in cOnntn wth crealK)n ol o new kJundry rcK)m and instolkjlon of a new water moin were odded to the cosl of the Fxoperty. DEBTOR&' AMOUNTS FALUNG DUE wmiiN ON£ YEAR 2)24 Prep(rymenls ond occwed incorre 6.592 5,952 CURRENT ASSET INVEsfMENTS 21Y25 X)24 Li51ed In¥*TrEntS 220,614 6.294 The Trusl did not Sel ani. inves1Thnts in the Ye under revw and continue5 to hokj I.8 Charity Mulli Asset Fund Ilomwty NAACIFI AccvmukJtx)n Shares. IB(Jse c05t £66.XDI. CREDTrORS: AMOUNtS FALUNG DUE YIIIHIH ONE YEAI 24 Bonk kxjns orKI ovwdrolts (see nole 91 Other creditors 7.31 6,815 Tl.420 11.420 14,165 LOANS An anatysts ol the mlurity of h)ons 15 gTrtsn bek)w. 2025 2)24 Amounts follng due thIn one yearon derrKJnd: Bank k)ans I,3) Page 10 continued...
Nole$to Ihe FlnonclaT Stolemetts- conllnved r tho Y•ar Ended 31 Mor¢h 2025 10. PROVISIONS FOR UABiunES 24 Investment revakjalion rewve I456 139.994 MOVEAIFNT IN FUND5 Nel movement in funds Al 31.3.25 Al 1.424 Unr•slrfcted lunds General lund Dgnated Fund5 1214.383 I).722 14.792) 1.314.505 (4.7921 1.214.383 95.330 1,309,713 TOTAL FUNOS 1.214,383 g5.J30 1.309.713 Nel movement in fvnds. included n tho otK>ve (Te 05 fokn*s.' Incorning resource5 Rwurce5 expended Movernenl in funds Unreshlcted lund5 General fund Designated Fvnd5 284.738 (184.4161 14.792) l(Kt.722 14.7921 284.736 [IB9.406) 95.330 TOTAL FUNDS 284.738 1189.4081 95,330 C¢)mptyallves lor movement In fvrKIs Net movemenl in lund5 At 31.3.24 AI 1.4Y3 Unreslth fvnds Genaral fund Degnated FutKIs 1.066,&89 824 47. 99,617 1.113,942 100.441 1,067,413 146.P70 1.214.393 TOTAL FUNDS 1,067.413 146.970 1.214.383 Pagell conlinved...
N)tes lo lh• ffnancial Stal•ments - ¢onlinv•d the Year End•d 31 Mor¢h 2025 MOVEMENT IN FUNDS . conHnued Comp(rative nel movement..n funds.:.ncded.,n ts a0ve fye a5 fol1x.. Incoming rÈsoLffces Re50urce5 ÈXFEn(Jed Gains ond Movement in funds Unreslrfcted lunds Generol fund Designated FurKJs 246,257 99.6J7 1176.5541 47,353 99,617 345,874 1176.5541 I223} 146,970 roTAI FUNDS 345.874 1176.5541 (Y2,3} 146.970 A current yeor 12 Trnh5 and yecr 12 months comi*ned FX)511KJn s as folk>ws: Nel movement in funds Al 31.3.25 Al 1.423 Unr•5trfcted lunds General fund Designated Fund5 1.066.589 824 147.475 94.825 1.214.064 95,649 1.067.413 242,3C¥J I,XP.713 TOTAL FUNDS 1.067.413 2423 1.3(Y),713 A currenl yeor 12 months and F¥1 year 12 rTh)nlh5 corrtjyd nel rrK)vem&nt in funds. Included in the obove rxe os folbw5.' Resources èxpended Goins ond k)$5es Movement ITr funds resources Unreslrfeted fvnd$ General fund Deswanaled Funds .995 99.617 1361.1701 14.7921 122.3501 147,475 94.825 6X).612 1365.9621 I22.3)) 2423fJ) TOTAL FUNDS &30.612 I3.9621 I223) 242.3C() Page 12 continued...
Nol•sto the Rn
Detvded Slulement ot Flnanelal Aclivi forlhe Yeor End•d 31 March 2025 25 2024 INCOME AND ENDOWhlEN15 Invèslmènt Inccme Deposit account intuesl Inveslmenl irrome 14.984 8.768 8.179 9,948 23.752 18.127 Chofftoble aclivihes Rental Income Voids & notice period5 Guest Ik)t Regdenl fund income Insurance ctrJYn Pboceeds Donalh)ns 258,304 13.677) 234.386 17.4911 1,235 13&31 ?5 100.r 210.9 327.747 Told Incomlng resources 284.738 345.874 EXPENDITiIRE ChIlable actlvt15es Worden S(KKJI security Insurance TV bcences Sundrie5 Worden call Elricity Ga5 29.020 1,094 .3,942 26.&85 981 3,890 2)4 245 2235 15,187 13.066 3,230 1697 8,728 L 11 Woler Cleaning Gcrdening Muntenance charges ResKlents enlertoinmenl Training c051s Depreoolion of tangib fixed assets IZ545 691 1449 61.864 10.412 1,539 1.563 65.3)6 339 320 2396 95 2,396 154,670 144,468 Svpport cosls Managemenl Clerk & Finonce officer Telephone IndeFendenl ExonNnerlee5 Clerks experses Subscriplv)ns 27,932 2.551 2.720 135 26.188 2,142 2.568 705 413 32.016 Th& FKJge p.ot fixm wt of tha slolulcry rmcCnl stoternents Page 14
Ddqlled Slutement of Flnan¢ld Adlvllies the Y•ar Ended 31 March 2025 25 24 Managemenl nae Bank chorges 70 Total resource5 expended 189,408 176.554 Ndlneom• 95,330 169.3 Thi5 page doe5 not foryp. FKZI of Ihe 5tatL':w finm¢i]I slalemenls Poge 15