Charlty n￿lber. 205274
BERKSHIRE NURSES AND RELIEF IN SICKNESS TRUST
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025

BERKSHIRE NURSES AND REUEF 14 SICKNESS TRUST
CONTENTS
Page
RgforgnGe and admlnlstratlve detslls of the ¢h*lty, Its Trustses and advlsers
Trustees. report
Independent examlnef$ report
StatgmBnt of flnanclal acllvilitis
BalanG? sheet
Notos to the financlal statsm•nls
9-16

BERKSHIRE NURSES AND REUEF IN SICKNESS TRUST
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY, rrs TRUSTEES AND ADVISERS
FOR ThE YEAR ENDED 31 IAARCH 2025
Ms H Alexander
Mr R Christian {resbJned 9 April 2024)
Mrs F Connolty
Mrs L Damani
Mrs A Farley
Mr R Newham
Mrs L Palmer. Chair
Mrs F Simpscffl. Wi¢e Chair
Mr W Gibbons (restrJned 10 February 2025)
Ms O Christian
Ms L Sansom (appoint￿ 2 Juty 2024>
Charlty roglsterod number
205274
Prlnclpal offl¢e
BNRST
PO 8ox 3283
Readir
Berkshire
RG19QA
5gGfotsry
Ms V Woodley
Troasurer
Mr S ¥Vdden
AcGounlants
James Cowper Kreston
Chartgred AcccNJntanls
Reading Brmjge House
George Street
Reading
Berffshire
RG18LS
Bankevs
Bardays Bank
93 Broad Street
Reading
RG1 2HD
CCLA Investment Managern8nt Lld
One Angel Lane
London
EC4R 3AB

BERKSHIRE NURSES AND REUEF IN SICKNESS TRUST
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 MARCH 2025
The Trust was established under a Scheme dated 25 April 1980 lo provide financial assistance lo retired nurses
who worked in Berkshire and to persons resident in Berkshire (and ttb)se parts of Oxfordshire which used to be
in Berkshire wor to 1974) are in need thI￿gh sickness LY dsability.
In some respects, this has a diifuli for the Trust as we not have Ihe support of Ihe HonoTary
Secretary for several months, causing some of the regular refe￿erS to assum& that the Charity was no longer
funclioning. Once this was realised ar￿ corre(*ed the numbers of aPpkncal￿ns in(Trased ¢C￿SIderably.
Indeed, during this finanryal year 42 grants were male to indivr[￿a1S lotalling £29,852 (2023124 - 21 grants
totalling £10,201). The smallest Grant vras £155 for 1k￿rng and the highest award was £10.000 for a stand￿9
wheelthair. 14 grants were made lo (Trgani5atirffls totalling £60,162 { 2023124- 6 grants totalling £22,689).
The task of assessing awlications between meetrus has been wried out by Ms. H Alexander. Ms. O Chrfstian.
Mrs. F Connolly. Mrs. L Damani. Mrg. A Farley. Mr. W Gib￿￿S, Mr. R Ne￿am. Mrs. L Palmer, Ms. L Sansom
and M$. F Slmpson.
Two Trustees retired during the )ear: Mr. R Christian in April 2024, aThJ Mr. W Gibbons in February 2025. One
new Truslee was appointed during the year. Ms. L Sansom in July 2024. The￿ remains on8 vacancy.
P￿11¢ Benefft
The public benefrt from the Trusfs activit￿5 IS trf)th S￿}s￿n11a1 and expedit￿s. vthin the Tnjsvs constitution.
Access is via slalulory and volunlary caring Nganizations, &xial se￿ICe$ Departments and Housing
Departments. Health Aut￿￿1118S. CiknzerbS AdvKe Bureau eto. lo whcrfn the exlsten¢e of the Trust is well known.
As in prev*￿$ years the majority of our aFVliGalV￿ were for wtiite goods or flooring. these needs being
identified by Housing SupFQrt stsff and othws d8altry *ith peop￿ being rehoused. We have a150 received a
number of ￿qUestS for grants for FKJuse and garden dearance to tffovide a Safe enVIr￿ment or lo prevent
eviction. O¢¢a&onally the need has been urgent. l am pleased to report that Twslees have been able to
resr4)nd swiftly Nthen required (for examk4e for emergerw chikl care suprx)rt ovw the weekend) and the Chair
has dis￿etiOn when required.
As the number of ir¥JivMJual applicatKKks h*1 been reduws in recent the Truslees Tecowized Ihal
greater number of people cO￿d be assisted rf ¥•P luvvJed more of ihe sUPK￿rt and tlwapeutic agencies. Hen
the In¢￿aSe in ￿antS awarded to ￿ganisatior￿ d￿n9 this financial year. These organisational grants ranged
from £450 for art therapy within a ho¥xtal setting to £11,440 to fund horticultural therapy for a tsvelve-month
period. enabling this to be a free seThice to users. Grants within these two extremes have. for example.
¢onlrd)uled lo counsdling serwces fcK yY)ung pecyle, set up costs fof a Parish Nutse. play therapy for children
who have experienced trauma. and replacement equIpff￿1 for a therapeutic gym.
2. In¢ome & Expenditure for the Year
The revenue income of the Trust for th8 ypar e￿Ied 31st March 2025 was £101,653 an incraasa of £9,762
¢cfflpared to 2023124 or 10.6%. This was due to an increase in in¢oThE Ircffi investmenls.
Expenditure for the year was £101.699 made ￿ as
2024r25
2023r24
Grants lo Individuals {net)
Grants lo OrganisalM)ns
Administrative eX￿nSeS
Total Expenditure
Excess of Income over Expenditure
£10.095
£22,689
£12 187
£44.971
£60.162
£11865
£101.699
£101.653
£91.891

BERKSHIRE NURSES AND REUEF IN SICKNES8 TRUST
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
3. Investments and Oth•r Assets
(8) The net assets of the Trust as al 31st March 2025 amounted lo £1,832,408 (202312024 - £1,781,403>. The
common investrnent funds are shown at market pri￿ on that dale.
2024r25
£ 1,707,166
£ 127,486
396
£ (2,640)
£ 1.832,408
2023r24
£1.656.115
£ 127.448
Investments
Current and deposit account
SurKlry debtor
Less sufKlry creditors
£ {2,160)
£1.781.403
(bl The market value of the Trust's orKJinal investments increased by £51,051 compared to the balance sheet
figure for 2023124. Thi5 represents an in¢￿ase crf 3.08%, reflecting improved UK stock market conditions during
the year.
The amount of reserves hekl at th8 31st 2025 was £1.832.408. The Tnjst's policy is to award grants as
well as covering administration expeThJibJre up lo the amLwnt ol income generated by the Trust's inveslments,
therefore maintaining the level of reseNes. The Trustees w(xld consmler red￿1r￿J the level of reserves in the
event of agreed grdnt applicati￿S exceeding in any given year.
Other
The Trust's investment objectives are for a balanced retum from income and from capital growth. 11 should be
noted that the Trnstee Act 20(M) crea￿j Wid￿ of investment for Trustees. Also. a new safeguard for
beneficiaries was intrCKlU￿d in the fomi of a statutory duty ol ca￿.
The COIF Charities Deposit Fund represenis a c&8h reserve. Its wrpose is io smooth cash flow during the year
and lo provide lor ¢￿tIngenCieS such as ￿ants in excess of in a partic#Jlar year.
Annual Goneral IAgellng
The Annual General MeetiThJ of the Trust VAS held on 1st October 2024 in Re&Jing. Ten Tru$lee$ were present.
Th8 minutes of the forty third Annual General Meetw)g were approved following slight amendment and signed.
The forty fourth Annual Report was presented by the Chairman aTrJ was adopted. The Ac¢ounls for Ihe period
1st April 2023 to 31st March 2024 were pres￿led by the Horrfyary Treasurer and were adopted.
Appolntm¢nt of the Chalnnan of Truste•s
Mrs. L Pakner was appolnted as ChaiThnan ftff the 2024r2025. The aFwinlmenl was prcyosed by Mrs. A
Farley and seconded by Ms. L Sansom a￿1 unaniffwsly adq)ted.
Appolrbtment of Vlco4halnnan
Ms. F Simpson was awointed as ViCe-Chaim￿n for the yEar 202412025. The apwintmwjl was proposed by
Mrs. L Palmer and seconded by Mws. A Farfey and unanimw* adcwd.
Appoln¢ment of Honwdry Treasurer
Mr. S Wilden was rwwinted as Fth)rary Treasurer for the year 2024t2025.

BERKSHIRE NURSES AND REUEF IN SICKNESS TRUST
TRusfEES' REPORT (coKllNUED)
FOR THE YEAR ENDED 31 MARCH 2025
10. Appolntment of Honorary Secretary
Mrs. S Witten was re-app)inted as Honorary Seuet8ry for the year 202412025.
Since the Annual General meeting Mrs. Witten left the Charity during December 2024.
Mrs. V Wwdleywas app)inled as Honorary Secretsry from 14th April 2025.
11. Appolntrnent ol the Body of Tnmtees
The Body of Trustees comprises, when ccrfnptete. ten Cwted Trustees. Vacanci8s are filled by Nomination
and Election al Trust meetings. as per the Trust SchenE. Trustees usually serv8 ts a period of four years
beth re4eclion.
Mr5. L Palmer (Chairman)
ApF#)iTrted for f￿Jr ￿ar5
with effect from 4th July 2022
Ms. F Simpson IVKe Chaim)anl
Re-apprAnted for frxw Jpars
wilh effect from January 2023
Ms. H Alexander
Re-appointed four sears
with effect from 6th 2021
Mr. J R Chrislian
Re-appc#nted for four years
with effeth from 12tt) March 2019
Retired Y￿1h effed from 9th April 2024
Ms. O Ctrwistian
Apwinted for frmjr ￿arS
ith effect from 9th January 2024
Mr5. F Connolly
Re-apwinted lor four years
with effect frc*n 2nd Octther 2023
Mrs. L Damani
inted lor four ￿rS
with effect Irom 9th January 2023
Mrs. A Far18y
Appoinled ￿ I￿r >Ears
Ilh effect from 111h January 2022
Mr. W Gibbons
ApFKWbted four sears
with effect fmm 4th Awil 2022
Retired with effect from 10th February 2025
Mr. R Newham
Rprappoinled for four year5
with effect from 6th July 2021
Ms. L Sansom
Apwited f(wJr spars
ilh effect 2nd ju￿ 2024
12. Appolnlment of Independent Examlners
James Cowper Kreston were re•8p￿￿nIed Indepe￿Ient Eyamirws of the Trusl for th8 year 2024125.

BERKSHIRE NURSES AND REUEF IN SICKNESS TRUST
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
13. Trust M¢etlngs
Five meetings of the Tmsl (indudirKJ the Annual G8neral M8elir@) were held in the accounting period for the
year 202412025.
Apkyoved by (Kder 0ftr￿ memtws of the board of Trustees arml syjned on their behalf ty.
Mrs L Palmer
Chairman
Date..

BERKSHIRE NURSES AND REUEF IN SICKNESS TRUST
INDEPENDEKf EXAMINEFfs REPORT
FOR THE YEAR ENDED 31 MARCH 2025
Indapgndent E￿mInerS Rwrt to the Truste95 of Berkshke NuryJes and Rollef In Slckness T￿￿t
Iyhe ¢harlty')
I rei>)rt to the charity Trustees ￿ my examinalM)n of the ￿t￿unts of the tharity for the year ernled 31 March
2025.
Responslblllllgs and Basls ol Report
As the Trustees of the chty are responsible for the rwrdlK)n of the ac())unts In accordance with th8
requirements of the Chwities Act 2011 flhe 2011 Acr}.
I report in resped ol my examinatlon of the charivs acc4)unts out under se¢tM)n 145 01 the 2011 Act and
carrwng wl my examinalion I have f0knyh￿d the app￿ble LlrecthY6 given by Charity Commlssion under
section 14515)(b} of Ihe 2011 Act
Independent Examlnfrrfs Statement
Your attention is drawn lo the fact that thg charity has wePa￿d the xcounls in aC￿rdarte wilh Account￿9 and
Reporting by Charitts: Statement of Re¢(￿mended Practre apFlicab18 to charIt￿S preparing Ihair accounts in
acCOrda￿e wth the Financ4al Reporting Standard apFdicable in ts UK and Republic of Ireland {FRS 102) in
prefere￿e to the Accounting and Reporting by Charities: Statement of RecommerKled Practice issued on 1 April
2005 which is referred to in the exlant regulations Ixrt has beerb *ilhdTawn.
l understaThJ that this has been done in order for the acc¢yJnts lo pro¥KJe a true and fair view in accordan￿ with
the Generalty Accepted Accounting Practic8 effective for repo￿n9 periods beg￿nIng on or after 1 January 2015.
I have completed my examination. I c{￿firn that rK> matters have come lo my attention in connecllon with the
examination giving me cause lo believe that in any materd ￿spect.
accounting reccrtds were not kept in respect of the ¢harity as required by section 130 of the 2011 Act; or
the accounts do not comply wilh Ihe aFylicabte requirements concemiry thg fomi and Content of
accounts set out in the Charities (Accounts and Reports) Regulatior6 2008 other than any requirement
thal the accounts give a Inje and fai¢ vr8w which K8 not a matter considered as part of an independeDI
examination.
I have no ¢oncems aTrJ have come across no other matters in connection wth the examination to which
attention $I￿Uld be drawn in this report in order to enable a prcw uThJerstarKJing of the accounts to be reached.
This report is made solely to th8 charity$ TTUSte8s. as 8 bcrfly. n accordance Part 4 of the Charities
{A¢counts and Reports) Regulaliorts 2008. P*ty work has been urKlertaken so that I might stale lo the ¢haritVs
Trustees those matters l am required to stste to them in an Independent exanNnerfs report and for M other
purpose. To th8 lullest extent permitted by law. I do not ￿p1 or assume responsibility to anwne Ot￿r than the
¢harity and the charitys Trustees as a body. for my work or for this report.
Signed:
Darren O'connor Bsc (Hon5} FCA ACCA
James Cowpef Krg$ton
Chartered Ac¢ountanls
ReadiNJ Biidgg House
George Street
Reading
RK¥rlrohir

BERKSHIRE NURSES AND REUEF IN SICKNES8 TRUST
STATEMEKf OF FINANCIAL ACTivmES
FOR THE YEAR ENDED 31 MARCH 2025
T¢)tal
funds
2025
Total
fvnds
2024
nds
2025
funds
2025
Income and endowments from:
Investments
101.653
101,653
91.891
Total Incom• and endowments
101.653
101,653
91.891
Expendlture on:
Charitable activities
101,699
101.699
44.972
Total expenditure
101,699
101.699
44,972
Net (expendi￿r¢yOn¢om0 bofore not
galnslllos5es) on investments
Net gainslllossesl on investments
(46)
51.051
46,919
119.231)
51,051
Net movement In funds
51.051
51.005
27.688
Ro¢on¢lllatlon of fvnds:
Total funds br￿ght ftxward
Net movement in fvnds
127255
{461
1,654.148
51,051
1.781.403
51,005
1.753.715
27,688
Total funds ￿lI1¢d fonvard
127209
1.705.199
1,832A08
1.781.403
The Statement of Fina￿18[ Ac￿￿lIeS wxaudes al gam￿ and k)sses recowi5ed n th8 yeai.
The notes on pages 9 to 16 form part of these finuKial statem￿ts.

BERKSHIRE NURSES AND REUEF PI SICKNESS TRUST
BALANCE SHEEr
8 AT 31 MARCH 2025
2025
2024
Fixod assets
Investments
1.707.166
1,656,115
1,707,166
1.656.115
Current assets
D&bt￿$
Cash al bank and in hand
127A86
127.448
127.882
127,448
Current Ilabilitles
Creditors: amounts falling *A•thln one
year
(1640)
{2.1601
Net curr•nt assets
125,242
125.288
Totsl net ass¢ts
1,832.408
1,781,403
Charfty funds
Endowmgnt funds
Unrestricted funds
10
10
1,705.199
127209
1.654,148
127,255
Totsl funds
1.832A08
1,781,403
The financial statemenls were approved and aUtIMi￿ fc* issue by Ihe Tnjstees and signed on th8ir behalf by..
Mrs L PaI￿r
Chaimian
Date:
The notes on pages 9 to 16 fomi part of Ihese finanwl statements.

BERKSHIRE NURSES AND REUEF IN SICKNESS TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
ountlng pollcles
1.1 8asls of pr•paratlon of financlal statem
The financi81 ststernents been prep￿ed in aCI￿rdan￿ ¥￿th the Chartties SORP (FRS 102) -
Accounting and Reporting by Charilies: Statement of Recommended Practice applicable lo chariknes
preparing their acc¥Junts in aCCordar￿e th the Financial RerMYting Standard applicable in the UK
and Republic of Ireland IFRS 102) (effeclive 1 January 20151. th8 Financial Reporting Standard
applicatda in the UK and Re￿￿liC of IrelaTrJ IFRS 102) and the Charities Act 2011.
The financial slalements have been prepared lo Give a 'true and fairf view and have departed from
the Charili8s {Accounls and Rep￿ts> R8gulatKmS 2008 onty to exlenl req(#red lo provide a 'tnJe
and fairf view. This departure has invow folowing the Charit*s SORP {FRS 1021 published
October 2019 rather than the Accounting and Repcrtiry by Charits* Stslement of Recommended
Praclice effective frcKn 1 Awil 21J05 has since been withdrawn.
B8rkshire Nurses and Relief in Sickness Trust meets the deffftilion of a public benefit entity under
FRS 102. Assets and liatHlities are initialy recognised al hithiral cost or transaction valu& unless
otherwise ststed in the relevant a(XoUnlr￿ FM)licy.
12 Funds structure
The Charity has an eXper￿e eThJ¢yAThnl fund. (Trated by a scheme dated 25 April 1980. The
trustees appty all the income, and al thew discretion the whole or part of the property of the
charity. All in)rne is treated as being unr8strKaeil.
Unrestricted income fvnds comprise Ihcw fuThJs *thich the trustees are free lo use for any purpose in
furthwance of the charitabk object&
1.3 Income
All income is recognised On￿ the charity has entitlement to the In(J￿ne. it is probable that the income
will be receNed and the amcxjnt of inc•Th recerwdL4e can mea5ur8d reliably.
Interest on furKls held on deposit is uicbjjed when receivable and amount can be measured
reliably by the charity. I￿S is [￿allY UFX)n Th)t[r￿tiOn of the interost paid or payable by the bank
Institution whom the funts are deposited.
Dividends we rectyjnised orTh dedared and rvXifi¢ation ha5 been receNed of the dlvKlend due.
1 A Expgnditure
Liabilities ar8 recognised as expenditu￿ as %)on as there is a ￿al or constsuctive obligat￿n
committi'ng the charity lo the expen(fiture. li wctsble that setuement ￿411 be requ￿ed aThl the
arnounl d the obl*Jation can be measured reliabty.
All expe￿IltUre is accwnted for ￿ an accxuals basis.
Expenditure is recognised once there is a legal or constructive oblKJation to transfer economic benefit
to a third paty. it is probable thai a Iransfer of economic benefits ￿711 b8 required in settlement and
the amount of the obligation can be measured reliakty. Expenditure is dassified by aclNity. The costs
of each ￿tIvIty are made up of the lotal of direct costs arKI shared costs. induding support costs
invc4ved in undertaknng eath activity. Direct costs attrthlable to a sing18 activity are allocated dlwlly
to that aclivty. Shared wsts which contribute lo more than one activity and support costs which a
not attributable to a single activity are apFM)rtioned between those aGtivities on a basis consislenl with
the use of ￿oUrCeS. Central slaff costs are aHo&2ted on Ihe basis of time spenl. and depre¢ialion
charges alhxated on the porlicm of the assefs use.

BERKSHIRE NURSES ANO REUEF IN 8ICKNES8 TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
ounllng pollcles (conllnu¢d)
1A Expendlthre {contlnuedl
Expenditure on charitabfe activities inc#Jrred on dire¢ty undertaknng the aclivib8s which further the
charitys objectives, as wel as any asso￿ated suppcrt costs.
Grants payable are char￿d in the year when the offer is made eX￿p1 in kne cases where the offer
is ujndibonal, suth grants beiThJ recognised as experKli1u￿ when Ihe conditions attaching are
fuFllled. Grants offered subject to conditions have noi been mel at the year end are noted as a
commitrrwt. but not acuued as expenditure.
All expenditure 15 indus1￿ of irr￿0ve(abIe VAT.
1.$ Charftsble actlvltles
Costs ol clwritable actI￿11eS grants made to irKlividuals and organisations. SL¥Wrt wsls and
govemance costs.
Supwrt costs comprise all day to day costs of administering the Charity and making syanl payments.
These Ind￿1¢ those for Off￿S. stslKffW. printin9. Postage. and th& cost of the $e¢ret8Ws
honorarium.
Govemance costs comprise al costs invdwng the public accountability of the charity and its
compliance with regulalion ￿ goc#J wacbce. These costs. include the cost of the independent
examination of the financial statements. treasurerfs ￿￿Orariurn, ￿sts of trustee meetings and travel
¢osts.
1.6 Investments
Fixed asset investrnents are a fomi of finanoal inslrumenl and are ￿llIallY recognised at Ihelr
transaction cost and subsequently measured at fair value at the state￿nI of Financial Position date,
unless the value cannot b& rnea￿red reliably in case tt is measured al cost less impairment.
Investrnent gains and losses. t*thether reallsed or unrealised. are CA)mbined and presented as
'Gainsl{Losses) on inveslments. in the Slalemert of finarKial *ivilies.
1.7 Debtors
Trade and other debt(xs are rec4)gnised at the settlwnent am(￿nI after trade discount offered.
PrepayTnents are valued ai the anw)unt Fryaid net of any trade discounts due.
1A Cash at bank and in hand
Cash at b￿k and in hand indth cash aNI shcrt4enn highly liquid investments with a shcrt malurity
of Ihree monlhs or less from the date of arwi&lion or opening of the de[￿￿1 or similar account.

BERKSHIRE NURSES AND REUEF IN SICKNE88 TRUST
NOTÉS TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Inv8Blment Inco
Unr¢$trictsd
funds
2025
Total
funds
2025
Total
funds
2024
Investment irmne
COIF deposit acccxjnl interest
Bank interest
98,304
1.761
1.388
89.489
1,729
673
1.761
101.653
101,653
91.891
Total 2024
91,891
91,891
Analysls of grants
Grants to Grants to
Institutions Indivlduals
2025
2025
Total
funds
2025
Total
funds
2024
Grants
.162
29.672
B9.834
32,785
Total 2024
10,096
32.785
Th8 charity has made the fdkywing malerial grants to inslltut￿s dumg the year:
2025
2024
Namg of Institutlon
Ridgeline Trust
Younger People with Dementia
Parents and Children Togeth
Torch Hub
Clear Sky
Brave Mind
Berkshire Health and Well Being Social Ertsrpyises
Community Outreath and C￿r￿ellIng
Douglas Bader Foundation
10.01)0
9,240
5.000
s.000
5.000
5,000
8.589
5,5C(J
50,680
19,089
Oiher grants lo inStitu￿nS

BERKSHIRE NURSES AND REUEF IN SICKNESS TRUST
NOTES TO THE FINANCIAL STATEMEKrs
FOR THE YEAR ENDED 31 MARCH 2025
Analysls of expendllwe by a￿[vId
Grant
funding of
¥tivities
Support
costs
2025
Total
funds
2025
Total
funds
2024
2025
Charitable a(IMties
89.834
11.865
101,699
44.972
Totsl 2024
32.785
12.187
44,972
Analysls of support Gosts
Total
funds
2025
Total
funds
2024
Printing and slatiwery
Secretary- Honorarium
Secretary- office healiTh3
Gifts
TreaSu￿r- Honorarium
Govemance costs
S203
1.251
27
2,481
2.868
6,497
2,319
2.451
11,865
12,187
IndependoDt examln•fs rnmunornlion
2025
2024
Fees payable to ihe charity$ indep**Jent examiner for tt)& preparation
iTrJep8ndent examinalirffl of the ¢hariWs annual aCc￿nts
2.640
2.1￿•

BERKSHIRE NURSES AND REUEF IN SICKNESS TRUST
NOTES TO THE HNANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Tn￿te•s. romuneratlon and •xpenses
Durlng the year. I￿) Tnjslees received any renNJneration ￿ oU)er benefits (2024- £NIL).
During the year ended 31 Marth 2025 one trustee received a grfl of £27 from the Trust in gratit￿le for
Ihelr service5. Other than the gift rK) trustee expenses have bew incurred (2024- £NIL)
Flx¢d assot Inveslments
Llsled
securftles
Cost or valuatlon
AI 1 ApTII 2024
Revaluatlons
1,656.115
51,051
At 31 March 2025
1.707,166
Net b¢>ok value
At 31 Mwth 2025
1,707.166
At 31 March 2024
1.656.115
Debtors
2025
2024
Due wlthln year
Other debtors
396
396
Credltors: amounts falllng due T*lthln one year
2025
2024
AGcruals and deferred inc
2,160

BERKSHIRE NUR8E8 AND RELIEF IN SICKNESS TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
10. Stat•m8nt of fund8
Slatomenl of funds . current yoar
Balance al
31 March
2025
Balance at 1
Aprll 2024
Galnsl
(Losses)
Income Expendfture
Unr•stricted funds
General Fund$
127255
101.653
(101.699)
127,209
Endowment funds
Expendabb ErwJ¢ywment Funds
1.654.14B
51.051
1.705.199
Total of funds
1.781.403
101.653
(101.699)
51,051
1.832.408
The expendable endowment fund was established under a Scheme dated 25 April 1980 in order to assist
retired nurse$ who worked in Berkshire lo help p8rsons resident in Berkshire who are sick,
handrcapped or infirm.
The unrestricted funds are av*ble to truslees to be spent in fLKIhefa￿e of the charitys adivilies.

BERKSHIRE NUK8ES AND RELIEF IN SICKNESS TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 IAARCH 2025
10. Statemont of funds (¢iMrtinued)
Statement of funds - prlor year
Balance al
31 March
2024
Balance at
1 April 2023
Transfers
inloul
Galnsl
(Losses}
Unrostrlcted
funds
General Funds
130,336
91,891
{44.972)
(SO.￿0)
127,255
End¢>wment
funds
Expendable
Endowment
FuThJs
1.623,379
{19,231} 1.654,148
Totsl of funds
1.753,715
91.891
(44.972)
(19.231)
1,781,403
At the meeting held ￿ October 2023, the Tntstee's approved a trdnsfer of £50,OIXI from the Trusfs
unrestricted fvnds lo ils endowment funds. The Trust's cash bala￿eS had reached a level significantly in
excess of the amount required lo cover 12 months. expenditure commitments. Consequenlly, the
decision was taken lo transfer £50.0(M) to fvnds generating a much great8r level of income.
11. Anatysls ol n8t assets between funds
Analysls of not assets betwetn funds . curr•nt ye
Unrestrl¢t¢d Endowment
funds
funds
2025
2025
Totsl
funds
2025
Flxed asset investments
Current assets
Creditors due within one yEar
1.967
127.882
(2,640)
1.705,199
1,707.166
127.882
(2,640)
Total
127.209
1,705.199
1.832.408

BERKSHIRE NURSES AND RELIEF IN SICKNESS TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
11. Analysls of net assets between fvnds (conllnuedj
Anatysls of net assgts b•tw•en funds- prfor y¢ar
Unrestricted EThJowTnent
funds
fvnds
2024
2024
T￿al
nds
2024
FFxed asset investments
Curr6nt assets
Cr•Jitors due wilhin one )ear
1.967
127.448
<2.160)
1.654,148
1.656,115
127,448
{2.1601
Totsl
127.255
1.654,148
1.781.403
12. Related party Irans•¢Uons
There were no related party trrnctions in the ret¥xtiThJ perDJ.