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2024-12-31-accounts

EWELL PAROCHIAL TRUSTS Charity Number 201623

Examiner’s Report for the year ending 31st December 2024

To the Trustees I have examined the books and accounts of the Ewell Parochial Trusts for the year ended 31st December 2024. I have checked the books and bank accounts and correspondence related to the grants and awards made by the Trustees. In my opinion the final accounts presented to me give a true and fair view of the financial position of the Ewell Parochial Trusts.

Signed: Rachel Tillen Date: 13[th] Nov 2025 Hon Examiner

Ewell Parochial Trusts Charity Number 201623 Annual Report from l°January 2(MM to 31° December 2024 Etw•ll ParochlalTnJs15 IR•W In N•Edl is Regukrted ￿ • ￿1￿011￿ th?rltyC¢Mnmls%k￿ Sea 22" September 1975 under the Re8lstefEd NLrnter 201623. PrlKlwl addrn4-82 Wlcthom A¥en¥e, Cheam. A￿Tr￿, cl￿ ￿￿S￿38DX. Offl¢• Hddws- The Chair aThb CrVf￿as￿IQr. Vlr8ln. Ewell. three appolntrnertsfromthe Boro￿h of Ep¥om & Ewell, three appolntments who reslden¢e, occupatkn orc are kna condltlon of need. harfshlp ordlthss. Th•Tnttt•ts. Pp￿tt￿ from the (h•rlty makrtGr•Msnd payirq lor Indhthj￿I Items. These in¢ludt the s¢r¥kes ¢1 h¢ifrtlÈs tkdatedto red￿ need. ha￿ShIPOr dlstress of suth pew4 ply1￿ y•ntsor subxdptknns to InA6tutknrts Of oryantsatwjns whkh 5uppty such 5eThice5 or faclllfles lor SLKh person5. a150 HKI￿leS kntsllJliwns Burea￿ A8e CopKern •swtll local He¥tth VI51t￿ fDr Mentsl Heamh ory4nlzatths In iheaw ¢onraed wlth 5urrey& bwders P4rtnET5hip, Central Surrey H¢alih & Ch1hJren'sCerf￿ &&x41 careT￿m$ ￿le1￿{eN$ lor supNIrt. Lryal Schools Inthe Cornmunity are supportd wilh r¢8ukif8rn7ts made a¥11￿￿1¢ lor pu￿1$WhO requlre financlal asslstarKeto alleT¥J tdu¢ttM?nal as the purtha5e ole55entlal hem5 of unilorm. So¢lal8roup5 Withln the a￿a are a150 SUPP)rted by Trnts whth￿ all li#ed Ih the EPT Mlnutes aswell Is hxal chartt5 wlh wtykle suprort lorthD5e wlthln the •TEi fty •xwh,Th Chlldrerf5TrusL SunnybankTru5t. Fwnt•ln &￿ercare. St Ge￿Ie5 ￿T￿b￿￿T￿. Alr rnbulontr, Chalkn¥er5. knolfor1t4rs kn Epsom & Redhill Iwthith co4tr5 Lryer Klngswooj. EPT Co1￿11rt￿ rules re8ardh¥Saft Gua￿1￿ Confiktsol lrtere3ts4rrtl ()Jts Prfvxy Guldellnes are revivwed ￿ anyeaty b•51 are ey2mined aThJ Insperted yeawtyttth senttothe CthartyCommlssk>w5 after preseTrtknn Tn&ees. . meet three tunes • year kn Marth JuneaThl Octobtr ai tl V4we ofst M•rfstr VWI Ewèll. and oJrrenityTr is Fatkn ma￿ Staff￿. •PWirted In February 2022. The onty other Ch•rilable Tft￿ fmmthe p151tstr BFumfieldTrn5t WI￿15 lurthd ty• sm•ll and $pedr￿1￿ up wlth a pay￿￿tt0 il ojuertwvr.

EWELL PAROCHIAL TRUSTS (RELIEF IN NEED) CHARITY NO 201623 STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDING 31 DECEMBER 2024

Notes

AROCHIAL TRUSTS (RELIEF IN NEED)
NO 201623
NT OF FINANCIAL ACTIVITIES
YEAR ENDING 31 DECEMBER 2024
Unrestricted Restricted Endowment Total Total
Funds Funds Funds 2024 2023
INCOME AND ENDOWMENTS
Donations and legacies 11 400 - - 11 400 13 300
Income from activities - - - - -
Other trading activities - - - - -
Income from investments 39 415 - - 39 415 37 849
TOTAL INCOME 50 815 - - 50 815 51 149
EXPENDITURE
Expenditure on activities 536 - - 536 2 800
Raising funds - - - - -
Grants/donations made 34 069 - - 34 069 49 248
TOTAL EXPENDITURE 34 605 - - 34 605 52 048
NET INCOME/(EXPENDITURE)
BEFORE INVESTMENT GAINS 16 210 - - 16 210 - 899
NET (LOSSES)/GAINS ON INVESTMENTS 84 819 - - 84 819 -
NET INCOME/(EXPENDITURE)
AFTER INVESTMENT (LOSSES)/ GAINS 101 029 - - 101 029 - 899
TRANSFER BETWEEN FUNDS - - - - -
NET MOVEMENT OF FUNDS 101 029 - - 101 029 - 899
TOTAL FUNDS BROUGHT FORWARD 1 022 244 - - 1 022 244 1 023 143
TOTAL FUNDS CARRIED FORWARD 1 123 273 - - 1 123 273 1 022 244

The notes on pages to form part of these financial statements

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EWELL PAROCHIAL TRUSTS (RELIEF IN NEED) CHARITY NO 201623 BALANCE SHEET AS AT 31 DECEMBER 2024

Notes 2024 2023
Fixed Assets
Tangible Assets - -
Investment assets 1 024 011 939 192
1 024 011 939 192
Current Assets
Debtors 6 205 6 868
Cash at Bank and in hand 93 057 76 184
99 262 83 052
Liabilities
Creditors:
Amounts falling due within one year - -
NET CURRENT ASSETS 99 262 83 052
NET ASSETS 1 123 273 1 022 244
FUNDS
Unrestricted General 1 123 273 1 022 244
Designated - -
Restricted - -
Endowments - -
1 123 273 1 022 244
The notes on pages to form part of these financial statements
- -

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EWELL PAROCHIAL TRUSTS (RELIEF IN NEED) CHARITY NO 201623 NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDING 31 DECEMBER 2024

Notes

1 Accounting policies

The financial statements have been prepared under the Charities Act 2011 and in line with Statement of Recommended Practice, Accounting and Reporting by Charities.

The financial statements have been prepared using the cash accounting basis under the historical cost convention except for the valuation of investment assets, which are shown at market value.

Funds

General funds represent the funds of the charity that are not subject to any restrictions regarding their use and are available for application on the general purposes of the charity.

The charity holds no restricted funds at the year end (or prior year end).

The charity holds no endowment funds at the year end (or prior year end).

Incoming resources

Income represents donations received and investment income received during the year.

Resources used

Resources used represent grants made by the charity plus expenses incurred in running the charity and it managing its assets and bank accounts in the year.

Investment gains

Investment gains represent the movement in the market value of the investments held by the charity not yet received. The market value of the investments at the year end 31 Dec 2022 is not known at the date of this report, therefore no investment gain (or loss) is shown in the 2023 year.

Investment assets

Investment assets represent the market value of the investments at year end or the closest available date to the year end for which information is available.

Debtors

Debtors represent a fund held with the Citizens Advice Bureau £949 (2023: £ 1,612) and in accounts named Thomas Brumfield £5,256 (2023: £5,256). At year end and the date of this report it is not certain how much money is held in the accounts named Thomas Brumfield, so the balances have been shown as static from the prior year. The trustees believe they do hold the rights over the funds held in those accounts.

Related Parties

In the year to 31 December 2024 the trustees had expenses reimbursed and payments for services provided totalling £500 (2023: £2,800).

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