CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for the period
From:
To:
1st May 2023
30" April 2024
Period start date
Period end date
Charity namc: Weodon's Almshouses
Charlty reglstratlon number: 208610
Objectives and Activities
SORP ￿feren
Part1.17
Summary of the purposes of
the charity as set oul in its
governing documenl
To provide housing for the poor and needy
of Chesham, Buckinghamshire. This
includes providing housing to Chesham
residents who have moved away and now
W18h to rotum to the aroa for famil Su
Provision of Almshouses for those in need.
Summary ofthe main
aclivities in relation to those
purposes for Ihe public
beriefil, in Pdrticuliqr, the
aclivitieg, projects or
services identified in the
accounts.
Para 1.17 and
1.19
Statement (x)nfirming
whether the trustee"
have
had regard to the guidance
issued by the Charity
Commission on public
benefit
Para 1.18
In providlng houslng for the poor and needy
-hirc, thc
-hom, Buckingham-
trustees have given careful consideration to
the Charity Commission's public benefit
guidanco.
Additional information (optional)
You ma
choose to include further statemènts where relevant about..
SORP i¥l¥iyii
Policy on grant making
Para 1.38
Policy on social inveslment
Including program related
investment
Para 1.38
Contribution made by
volunleers
Para 1.38
Other

Achlevements and Performance
SORP rÈfÈrèneé
-qiimmxry nf thp. main
achievements of the Charily,
identifying the difference the
charity's work has made lo
the circumstances of its
bp.n9.fir.iarieg and any wider
benefits to society as a
whole.
P3ra 1.20
Provision of hoLising for 400 years in the
town of Chesham. The charity has 8
dwellings of which 7 are occupied, one is
currentty empty and awaiting
refurbishment.
Agreement with The Mastgr Wardens and
Commonalty of the Mistery of Cordwainers
of the City of London enabled the charity to
receive a grant of £800,650 which is
designated to be used for major projects to
the properties (both Alms Cottages and
Alms Flats) and the perimetor wall to tha
site, over the next several years
The Alms Cottages were originally built in
the 1620's and are Grade 11 Listed
The Charity appointed a local fim of
Chartered Building Surveyors to assist in
the over811 management of these tLJture
projeGls including submitting planning
applications. listed building applications
and building regulation drawings &
application. In addition Ihey will provide
contract administration from the initial
prepaiation of a specification detailin9 aiiy
works to agreement of final accounl with
Ihe contractors
Additloiial Inforniallon (optional)
You ms
choosa to include further stat8monts where relevant about..
Achievements against
Para 1.41
objectives set
Performance offundraising
activities against objecb'ves
set
PAfA 1 41
Investment perfomiance
against objectives
Para 1 41
other

Financial Review
Review of the charity's
flnancial position at the end
of Ihe period
Para 1.21
The accounls were prepared on an
accruals basis tor the first time in
compliance with FRS 102 (Prior Year
comparatives were reststedl
There were no prcviou- records of Fixed
Assets held and hence these were
revalued at JO April 2024 to £1,240k wilh
2n equal and opposite rogorvÉ
Cash on Hand, together wilh Short Temi
Savings and a Fixed Term Deposit lotalled
£883.7k
Net Current Assets were £107.3k
During the year the chanty received a grant
of £800.7k, whiGh is tracked separately in
the accounts. This is treated as Deferred
Iiibortie together wilh any Interest eamea
{£17.9k in Ihe periodl- Deferred Income is
released to the Income Statement to match
any spending in th8 period of the grant.
This was 9_38.ok
The other main source of income is the
Contributions received from the
Almshouses residents which totalled
£42.7k.
Statement explaining the
policy for nol¢Ylng reseNes
slatin
wh thc arc hcld
Amounl of reserves held
Reasons for holding zero
rog&rvÈs
Details of fund malerially in
deficit
Explanation of any
uncertainlies about the
charity continuing as a going
con￿rn
Para 1.22
We have unrestricted funding of £1,347k
Para 1.22
£1,347k
NIA
Para 1.22
Para 1.24
Non
Para 1.23
None
Additional Information (optional)
You ma
choose to Inclu¢Je further staiemenls where relevant at)oul'.
The charity's principal
sources of funds (including
any fundraising)
Parg 1.47
Investment policy and
objectives including any
social investment pnliry
adopted
Para 1.48
A description of the principal
risks facing the ¢harity
Para 1.46

Olher

Structure, Governance and Management
D¥sLriplioii of Llicirily's
trugts:
Type of governing document
P8Ta 1.25
Constitution
How is the charity
Gonstiluted?
Pard 1.25
Charitable organisation
. ioroted
Trustee selection methods
including details of any
constiiutional provisions e.g.
election to post or name of
any person or body entitled
to appoint one 01 more
trustees
Para 1.25
Trustees selected by whole trustee board
Additional information (optional)
You ma
choose to include further statements where relevant abou1=
Policies and prO￿dureS
adopted for th8 induction
and training of trustees
Para 1.51
The charity's organisational
structure and any wider
network with which the
charity works
Para 1.51
Relatlonshlp wllh any related
portics
Paia 1.51
other
Reforonco and Adminlstrative details
Chari
name
other name the chari
uses
ibl¥r¥d bliclTiI
Flu￿}ber
Charity's principal address
Weedon's Almshouses
The Weedons Trust
208610
76 Deansway, Chesham. Bucks. HP5 2PF

Names of the charity trustees who manage the charity
Dates acted if not for whole
ear
Truatee name
Office Ilf any)
Name of person lor body) entitled
Int trusteè
Ifan
John lJraves
Chairman
Secretary
Treasurer
Alison Pirouet
David Marfleet
Bridget Powell
John Mann
Diane Brackley
steven Smith
?8th Novembp.r ?.n?.2
28 November 2023
Thomas Pirouet
10
12
13
14
15
16
17
18
19
20
Cor
orate trustees - names of the directors at Ihe date Ihe re
ort wa5
rove(I
Dir•ctor narn•
Name of trustees holding title to propety belonging to the charity
Trustse name
Diane Brackle
Date$ acted rf not for whole
ear

Funds held as custodian trustees on behalf of others
Description of the assets
NIA
held In thls capaclty
NAMP xnd nhjp.r.t8 nf thp.
Gharity on whose behalf the
assets are held and how this
falls within the cusiodian
charity's objects
NIA
Details of arrangements for
safe custody and
segregation of such assets
from the charity's own
NIA
Additional information (optional)
Names and addresses of advlsers (Optlonal infonnation)
Type of
Nam•
Addr•ss
advlser
Name of chief axecutiva or names of senior staff members (Optional information)
Exemptions from disclosure
Reason for non-disclosure of key personnel detalls
Other o
tional information

Declaratlons
Th• trusto•s doclam that thoy havo approvod tho tru8tèO8' report above.
Signed on behalf of the charity's Ir
tees
8ignalurel5)
Full namels)
Position {•g Soer•tary7
Chair. etc)
John Graves
David Maffleet
Chair
Treasurer
Date
1210212025

The Weedon's Almshouse Charity Trust
Cliarity. number: 208610
ANNUAL ACCOUNTS
FOlI'fiiE 12 MUNTHS ENDED 30 APIIIL 2024
Lhartered Managemcnl Accounidnis
AloxAthdor.Churehill Accoll￿t￿n¢t. Il(bii4E. 90 Tht IlrD2dwRy. Cheshxm. I1￿ kinEI)smshire. FIP.S I EC.

The Weedon's Almshouse Charity Trust
Charity number: 208610
ANNUAL ACCOUNTS
FOII THE 12 MONTHS ENDED 30 APRIL 2024
Pdges
Indcpcndent Lxaminer's Repon
Sialemcnt or rinancial Activiiies
Siaiemeni of Assets and Liabililics
Noie 1 29
Notes to the Accounls

(HARITY (OMMISSION
FOR ENGLAND AND WALES
Independent Examiner's Report on the Accounts
Report to thc tru5tecs
I'he Weedon's Aln)shouse Charitv Trust
On Aceounls lor the year
cndcil
30 April 2024
Charity
no (if any)
208610
Sel out on pagc5
I rcport lo Ihc Iruslccs on my examination of ihc accounts ofthe above charity ("the Trust") for the
ycar ¢ndcd i010412024
Responsibilities and
basis DI rcport
As tlic charity's Irusiees. you arc rcsponsible for ihe preparaiion of the accounts in accordance with
the requiremen15 Qf the Chariiics Act ?01 l ("the Act").
I report in respect of my examination ot"Ih¢ Trust's accounts carried out under section 145 ofthe
201 I ALI and in carryiiig out my cxamination, I liavc followed all thc applicable Directxons gwiven
by ihl CliaTiiy CuIiiiiii>)itsii uiidcr 3cciion 145(5Xb) vfih¥ Act.
Independent examiner's
statement
I have compleicd my examination. I confinn ihai no maicrial mailers have comc to Iny aticniion in
conncttion wilh ihc cxaminaiion which gives Ine cause to believe thai in, any material respect..
th¢ occounting records ivcrc not kepi in accorduncc with 5¢ciion 130 of thc Ch%iriti¢s Act.
or
the accounts did noi accord iviili the accoiiniinB rpp.nrd%', nr
the accuunis did not comply wilh ihe applicable requirements conc¢rning thc fom) and
onteni ofaccounts 5Ct oui in Ihc Chariiies (Accounts and Reports) Rcglllation5 2008 other
tlian ajiy rcqiiirei#ent Lhai IhL dccounls give a 'lru¢ and fair, vicw which is not a matier
considcTcd as part of an independcnt examinaiion.
I have no concerns and hayc com¢ across no oihcr maiicrs in conncclion wilh the cxaminaiion
10 which attcnlion should be drawn in this repon in order to enable a proper undcTStanding of
Ihc accounib 10 bc r¢ached.
Date:
2410212025
Sign¢d:
Namc:
Colin Alcxund¢r
Rclevarht prolc55ional
qualifie#iionl5) or body
(if Any):
ACMA
Addrc55:
Brandon House, 2n* Floor
90 The Broadway. Chesham, Buckinghamshire, HP5 1EG

The Weedon's Almshouses Chari
Annual accounts for the
01-May-23
Trust
eriod
Charity No '.
208610
Period start ¢Sale
To
Period end dale
30-Apr-24
Section A Statement of financial activities (including summary income
and expenditure account)
Restricted
incom&
funds
Unrestricted
funds
Endowment
funds
Prior year
funds
Recommended categorles by activity
Total funds
Income (Note 31
F01
F02
F03
F04
FOS
Ineome and ondowments from:
Oonations and I￿aC1s5
S01
S02
42,701
38.029
80,730
42,077
Other tra¢Jing activities
Inve•lm¢nt.
S03
904
6g8
598
Separate material ilern of income
Other
Total
Expenditure (Notes 61
Expenditurg on..
Raising funds
Charitsble aclivitses
Separate material expense item
Othar
S05
sos
S07
43,299
38,029
81,328
42,077
S08
509
27,961
38,029
65,990
17.418
S10
g11
Total
S12
27,961
38.029
65,990
17.418
Net incomellexpenditurol boforo tax for
the reporting period
Tax payable
Net incomellexpenditurel after tax
before investment galnslllosses)
Nel g31nsll105se51 on Inve51rnents
Net incomellexpenditurel
Extraordinary items
Transfers between funds
Other recognised gainsl{losses}:
S13
15.338
15,338
24,659
S14
$15
15,338
52
15,390
15,338
24,659
286
24,945
S16
S17
15,338
S18
$19
Gains 8nd1055e5 on revalvaliDn ol fixed assets for the
charivs use
Olher gainwiK)ssesi
Net movement in funds
S20
S21
1,240,000
1,240,000
S22
1,255,390
1,255,338
24,945
Reconciliation of
funds..
Total lund5 brought forward
$23
91,894
1,347,284
91,894
1.347,232
66,949
91.894
Total funds carried forward
S2dS

The Weedon'$Ahwh¢us95 Charty
Chathy No
CnmriA
No
208610
Section B
8alance sheet
•lr5G
Income
nd8
Unr8$irfcbd
fwd•
Ent*)wmoni
furtde
Tol•l thls
y¢ar
Tolal last
yeof
Flxèd assèts
Foi
F02
F03
F04
F05
Intanglblg assets
Tanglble 3SSOts
Heritage asset
InveBtm8nts
(Note 151
(Note 141
(Nol? 161
INot8 171
Tglal lixed ass81S
1240 000
1,240.LKIO
1.240.0
Curnnt assets
sto¢k8
(Noto 181
Debtor6
(Note 101
Investments
(Note 17.41
ash at tyank and In hand (Note 241
Total¢uTh8nr assots
107,919
108.253
775,803
783,175
883,722
891,428
Cradttors: amount8 falllng duo wlthln
one year
(Not• 201
Nel cvn¥nt aSSet￿lIabIlItIeS)
107,284
704.566
811.850
Tolalass0ts10$5 currnnt Ilabllltlos
1,347.284
704.566
2.051,850
CrtdM¢)rs: amounts falllng dué aftèron•
year
(Note 201
Provisions forllabllltl•$
B14
rotal not a*5ets orllabllllles
1.347,284
1.347,254
Funds of the Charity
Endowment fund5 (Nol• 271
Re8trf¢ted Income funds INut¢ 271
Unrestrftlto iunos
B17
Bl8
Blg
107.204
1,240,0
RevaluatioTh resèThè
Farvalu¢ roser¥•
1,2¢0,￿
rolaifunds
1.347284
1,3d7,284
91.894
Tho companywBs on11t￿￿ to oxemptlon fmm 8udlt und6rs477 ofthe ¢omp#nlesAct 2006 Trltttlny lo small
companleg.
Thé members have nol rwulrnd thg companylo oblaln &n 8udll In 8ccordan¢g wllh soctlon 476 olthe Companles
Aet 200&
The dir6¢tOrn B¢knowledge thelrrnsponsltsilitlej lor¢omptylng wlth théfftyqulrnments oltho Companlés Act wllh
tsp￿* lo th•pr•p•F•tNyn oIRcrntJnts
rhése #¢couni$ have b88n preparsd In wlth thèptovlslons 8ppll¢ablg tg small romp8nles to
thtrsnjall ¢ompanl•s règlme and In JG¢o¥d&ntè wllh FR$102 SORP.
Datè of
èoomyal
SkJnèd by one or15￿ i
leesldkèctor&on bohaff 0141 lh•
sts8trJdi¢uor5
Print Namè
J¢hn GrdVe5-Chal￿rtn 8 Tw$iefy
2010212025
Daw Worllèel-T￿g5UpJ[ & Tw$ieb
20102r2025
ShJnawr8 ol dhvdoraulhenlkalkng arLyJunts bebig seni to
naiura
ddln
CC17A iExcell
2010212025

Section C
Notes to the accounts
Note 1
Basis of preparation
Thls sectlon should Oe completed by all charltles.
1.1 Basis of accounting
Thgse accoLintg have b@en proparod Linder the historie￿1 cost trrtnvp.ntirJn wth itÈmq recognised at cost or
transaction value unless otherwise staled in the relevant nole{s} lo these accounts.
The accounts have been prepared in accord8nce with..
the Statement of Recommended Practice.. Accounting and Reporting by Charilies
pr¢paring Ihcir account-
in ?ccordsnce with tht Financial Reporting Standard applicabl•
and with"
In the UK and Republic of Ireland IFRS 1021 issued on 16 July 2014
and with.
the Financial Reporting Standard applicable in the Unf(ed Kingdom and Republic of
Ireland IFRS 1021
and with the Charilies Act 2011.
The charity conslitules a public benefit enlily as defined by
FRS 102."
-TIr￿ A* ApprrJpriAtp
1.2 Going concern
If thère are material uncertaintie5 related to events or conditions that cast significant doubt on the
charity's ability to continue as a going ¢on¢ém, please provlde the following dètails orstate "Not
applicable- if appropriate..
An explanation as to those factors that
support Ihe conclusion that the charily 1$ a
going coneern..
Disclosure of any uncertainties that make the
going GonGem assumption doubtful.,
NIA
NIA
Where accounts a￿ not prepared on 8 going
concern basis, please disclose this fa¢t
together with the basis on which the Iruslees
prepared the accounls and the rea50n wny ine
charity is not ￿garded as a going concern.
NIA
1.3 Change of accounting policy
The accounts present a true and fair view and no changes have been made lo the accounting policies adopted in
not
Yes.
-Tid( as appropriate
No.
Please disclose..
Change to FRS102 followng receipt ol a substantial grant
(see N291 now gives a true & fair view on an accruals
ba$1S
(ij the nature of the change in accounting policy
(iij the reason5 why applying the new accountlng poliGy
provides more reliable and more relevant infomiation,.
and
Receipt of a grant £800,650 Isee N291 ￿QuiTe$ adoption
of FRS102
{iiiJ the amount of tho adjii.%tment for o•¢h lino affeetod
In the current perlgd, eacli prior periodpresentèd and
the aggregate amount of Ibe adjustment relating to
periods before those pres¢nted, 3.44 FRS102 SORP.
CC17a (Excell
2510212025

1.4 Changes to accounting egtlmates
No changes to a￿Unting estimates have c¢curf8d in the reportlng wriod (3.46 FRS102 SORP).
Yes.
-TIGk as aFpropriatè
Please dls¢los•."
(O th• nalure of any¢hanys,"
NIA
{IlJ the effect ofthe ehange on Income aftd ￿pense or
assets and Ilabllities for the ¢uryentperiod.' and
NIA
iii) wh•rn practlcable. the effe¢tof the ehang• in one or
more luturn peylods.
WA
1.5 Matsrfal prlor year orrorn
No material prior
ar error have ts8￿ identified in the reportin
period
3.47 FRS102 SORP .
-Tid( a5 appropriat•
No"
Please dis¢lose.'
(4 th• naturn of thewiorpeiiod effor.
NIA
(111 for each prforperlodpresented in th 8¢¢ounts, tho
amount of the ¢orne¢don ftireach •c¢ount Iln8 Item
affected.. and
NIA
riii) the amount olth• corye¢tlon at th• b8glnnlng of tho
earflestprtorpentodpmented In the a¢¢ounts.
NIA
17a {Exc¥ll

Section C
Notes to the accounts
{Gont>
Note 2
Accounting policies
This standard lisf of accounting policies has been applied by the charify except for those deleted. Where a
different or additional policy has been adopted then thi5 15 detailed in the box bèlow.
2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
Please provide a description
of the nature of each change
in accounting policy
Prepayments and accruals calculated for YE 30-Apf-22, YE 30-Apr-23 and YE 30-Apr-24
Recon¢iliatlon of funds perprevious GAAP to funds determined underFRS 102
Start of
End of
period
period
For YE 30-Apr.24
Fund balan¢e$ a5 prèvlously
stated
Adjus¢ments.'
Accruals
92,798
-1,213
309
Prepayments
Fund balance as restated
O Revised Opening Fundlng Bal a5 at 1.May-23
Reconciliation of net incomel(net expenditu￿) perpreviou$ GAAP to net incomelfnet expenditure) under FRS
102
End of
Nèt Incomell•xponditur•l as p￿VIouslY
stated
Adjustments."
Previous period net In¢omellaxpenditure}
as restated
CC17a {Excell
2510212025

Not62
A¢¢ounUng pollcl
12 INCOME
R•e•ll￿￿￿OfJn0￿rn•
Yq8'
tty¥thdLYK*Uodbytr*FR5 1Q2SORP•rFRS Ifyl
ntykwl•4MwAIISIOVJ&12FRS102SOAP
cm•0fwrtcffi￿•rOI￿¥dVqrrtl trWNfftht¢rlybgwordMdlr*
Yoi.
ttth1&18FRS 102
Hpi.
Y*s'
Dwtqd
q•t OnlLi5ththpv￿￿Of¥iQth
Yai.
hwthw47thg$OF
Y•5"
Y¢$.
Y•s'
¢¢17FIIS 1tr2SOAP

tythw•mt1&10*5.12
K¢¥r•knthoSoF
ZJ EXpEND￿vRE AND LIABILITIES
Y￿.
YM"
Ir•Jywn•ffj•
9vav￿lO.7FRSI￿2SORP. 11.17
1911.14 FRS102 SOAP.
2A AsS￿s
YM"
Y•nllibi• rtsgo
thjnclh
Yv.
Ye•.
I&
7kty4I•Y￿￿jIlC*qL SwM18
Y•5"
Y¥.
Y••.
No.
Y•$.
ADomoNAL TOOR
FFEREMfpROM
ce17FRS 102 SOAP

Section C
Nolcs to tlio.?ccounts
Not• 3
In¢om•
An•ly•l& of Ineom•
T￿￿tun￿• Pfvyww
Glft Abj
GeneAI grants p￿ded by gtsvemmth)Voth8r
chariti88
Membw5hlp 8nd ¥PCm¢Mhl
wfach wre In $ubitsnc8 dOna￿On$
Donated ood8. fAdlMe$ Bnd
Toial
¢hnriiabl•
*etlvltkn:
COIth￿onI
Grant.8ee N29
Other
Total
42.701
Othwtr•dl
•ctlvhl•ts.'
Bpnk Int￿t
O¢h8r
Incom•trom
Ini8resi income
D￿ld0nd Incomo
Rental and188th
Olher
incon
Toial
so￿10t?
m•trrlal liam
In¢om•
Total
CorN8r*)n ofendo¥m*nl funds Inlo kncomo
Galn t)n dl$posg1 ol• t8nglWe fix¢d •s$¢t
held for ch?
.5 OVM USB
Galn on th8pos81 ola prooramnt8 related
in¥eslment
Royalties from Ihg of Inteleduwl
Oih&r
Total
TOTAL INCOME
OlhorlnfonThllUon.'
Iln¢ome In the Prfor￿r￿a￿￿nrn6¢￿Ct¢d 0￿•91[￿r.
IpJ•atsè pro¥hb and amtANtt*I
NIA
Wh￿Any@￿d[*MrnO￿tfvnd Is conytttod Into Incoffl• In Ib
reportlng ple•B• g1¥olh• reason f¢rth#¢Qn¥grs￿￿.
NIA
Whorn anyq￿lOWrn•￿tlurtd ts ¢onwert•d knto In￿mI Mth•
prlw P￿adI p1••8•9fvoth• r••g0Tr lotth•conYBAlon.
NIA
7Altnin Inr¢Jmw nomB•Oo¥qtnwToiio￿ny iirv
WA
yvrwnounll)
Thl*y••r Whernsum• dvnornlna*•d In forolgn
boon In Inco￿. explalTr the ba•lion
WA
cun•n¢y IthT•hl¢h Ih•atttyJnty •r• drnvm upl.
Lutyellr. Wh4rnsums w￿1n￿￿￿￿nvM1n•1Od lThf•r•igTr
ciirTOW*llvé bt•n In l¢K•m. •xpl4ln Iho ba•ls o
Ich ttto80 eum6 hi¥e b•w tran•l•i4d Into stsrflng lorth*
currnJKyln7hthlch th• a¢oouNi• #r¢ d¢awn uol.
WA
CC171 (Exc

Sectlon C
Notes to the accounts
Icontl
Note 4
Analysis of receipts of government grant$
Thls year
Descrl tlon
Government grant 1
Government grant 2
Government grant 3
other
Total
Last year
Descrl tlon
Government grant 1
Government grant 2
Government grant 3
other
Total
Th59
ear
Last
ear
Please provlde detalls ofèny
unffuifilled conditions and other
¢otTrtingencl¢s &tta¢hirt9 ¢0 9ran
that have been ￿CognISed In Income.
Thls
ear
Last
ear
Please give detatils ol other forms of
govemmentasslstance from which
(he ¢harlty hès dire¢tly b¢nefrted.
CC174 IExc•ll
2510212025

Section C
Notes to the accounts
Icont)
Note 5
Donated good5, facilities and services
This year
Lasi year
Seconded Stsff
Use of propèrty
Other
This year
Last
ear
Pleasg provido details of the
a¢counting policy for the rècognition
and valuation of donatgd good$,
facilities and servicès.
Plaase provide details of any
untuiiiiiea condiiions and oinèr
contingencies attaching to resources
from donated goods and s¢rvices not
recognised in in¢omg.
Please give detai15 of othgr forms of
other donated goods and service$ not
recognised in the accounts. eg
contrÈbution of unpaid volunteer5.
CC173 (Excell
10
25102n025

Section C
Notes (ts tlie accounts
Icontl
Note 6
Expgndlture
Th18 year
La8tyear
An1￿16
Ex ndituro on rabsth fund&'.
Incvrred 5Beking donatknns
Incurre(l $eeklng legac￿$
Incurred seeking grants
Operating m8mb8rshlp 8chwno• and $ocl•l
tterie5
Staging fvndrai$lrvJ e￿nts
Fudiaistng agents
Operatlng tharity sho
Operating a trading Company un¢ertakiNd
actni
AdverfKsing. rnarkeling. direct rnall and
PUDIIC
Start up In¢urred Irb g?ngratlng n
59ur¢o of futu￿ Income
Database dev8lownent ¢osts
Other Iradlng a¢Uvttle$
Investment management ¢osls".
Portfolio rnanagemenl ¢tsSts
Cost of obtaSnlng thveslment advl
fundB
fvnd•
Tothl thndi fthds
fvrt4•
Inv8slrti8nt 8dmlnlBtr8lkJn
InlelkntU81 proF¢ty licerK*ng rthts
Rent ¢ollectkJn. prcyerty ￿paIrS and
maiThtenBncè ¢har9es
Total frxpendltyre on ralslng funds
Expndlture on charltable ac￿¥1￿.
Legal. Intsur￿) & Fees
Reyirs And
Admin
Utllttl88 and Other
Total expendlture on ¢h•rltsble a¢llvlti
se
rate m•tsrl•l It￿ of ex
gn88
Totsl
Oth•r
Total oth8T expendltur•
TOTAL EXPENDITURE
27.960
38.029
65,￿9
17.418
17.418
CC178 IEMt411
11

AnolyBls of •xp9ndbturg on ¢P*rltablè a￿¥11108
Thl
8ar
Grafit
lundlng ol
acllvlll
Grnnt
fundlng ol
aetl¥ltlei
8upport
C￿ts
Tothl ltst
ye•r
bmty or prngr•mmè
undortakon
dlrtcdy
Supw¢
T•thithi8
t) dlrocuy
Total
Th15 Y￿r. Whero s￿9 tyIBlnally dènomlnltad kn lar•tgn eurrgncy have
been Included In Oxpendtture. explaln tho baxls on whkh th0￿81*nO
btrèn translatod Into stqrllng lor tho curygnGy In whlGh tho
L•ety￿r Whoro•ym• orf914￿1￿dQnorn1nlIOd Inforllgn curr•ney hllvfr
bwn Induded In expTrndlture, explalnthe bog15 oDwhlch thotsa 811
Ve lrnrbslnted Intostarflng lorlh• ¢¥rr¢n¢y In whkh th•
drnwn up
CC17a IExe8b)
12

Section C
Notes to the accounts
{cont)
Note 7
Extraordinary itomg
Please explain the nature of each extraordinary item occurring in the perlod.
Thi5 year
Last year
Description
Extraordinary item 1
Extraoroinary Item 2
Extraordlnary Item 3
Extraordlnary IteTn 4
Total extraordlnary liern5
CC17a (Excell
13
2510212025

Section C
Notes to the accounts
Note 8
Funds received as agent
8.1 Please eomplete this note if the Charity has agreed to administer the funds of another entity as its agent. Note.. If a charity
is acting as an agen£ it5houldnot rècognlse the Income in the Statement of Finan¢ialA¢tivilies or the Balance Sheet.
Amount received
Amount
aid out
Balance held at period end
Dèscriptionlname of party
Related
party (Yes
orNo
This year
Last year
This year
Last year
This year
Last year
Totsl
6.2 Where a consortia orsimilar arrangemènt exists whereby 2 ormore eharitie5 CQ•operate to achieve e¢onomies in the
purehasè of goods orsèrvlcesi please disclose detalls of any balances otststanding between anyparti¢ipatiny members.
DE5GrfptlonlnamE of party
Balance held at period end
Thi5 year
Last year
Total
CC17a (Excell
2510212025

Section C
Notes to the a¢eounts
Note 9
Support Costs
Please complete this note ir the charily has analysed its èxpenses using acD"viry
categories and has support Costs.
This year
Ralsln
funds
Actlvl 1
Activit 2
Activi
Grand totsl
Basis of allocation
Support cost
exam
les
IDescrlbe rnethodl
Governance
Other
Total
Last year
Support ¢o$t
exam
les
Ralglng funds
Activlty 1
Activlty 2
Actlvlty 3
Grand totsl
Basls of allocation
Ioestribe methodl
)ovprnAnr.p
Other
Totsl
Please provide details of the accounting policy
adopted for the apportionment of ¢osts between
activities and any estimation tècnniques used to
calculate their apportionmenL
CC17a (Excell
15
2Y0212025

Se¢tlon C
Notes to the accounts
Nvle 10
Details of ¢ertain type? of expenditure
Note 10.1 Fees for examination of the accounts
Please provide details of the amount paid for any statutory external scnitiny of
•GGountJ •nd other 3ervi¢es providcd by your independ•nt axamin•r. If nothing
was paid please enter Yl, in the apprt)prlate boxfesj.
This year
Last year
Independent examin•ls fees
800
396
AssurancÈ services othèr than independent examlnation
Tax advisory fees
Other fees (for examplè.. financial advice. ¢onsultancy, accountancy services) paid
to thg independent examinér
CC17a (Excell
16
2510212025

Section C
Notes to the accounts
(cont)
NotÈ 11
Paid p.mplnyees
Please complete thls note if the charity has any employees (transactions with Trustees dealt with in Note
28)
11.1 Staff Costs
This year
Last year
Salaries and wages
Social security costs
Pension costs (defined contribution scheme)
Other employee benefits
Total staff costs
This year:
Please provide details of expenditure on staff worklng for the
charity whose contracts are with and are paid by a related party
Last year:
Please provide details of expenditure on staff working for the
charity whose contracts are with and are paid by a related party
Please give details of the number of employees whose total employee benefits (excluding employer
pension costs) fell within each band of £10.000 from £60,000 upwards. If there are no such transactions,
please enter 'true' in the box provided.
No employees received employee benefits (excluding employer
pension costs) for the reporting period of more than £60,000
Band
Nijmber of employees
This
ear
Last year
£60,000 to £69,999
£70,000 to £79,999
£80,000 to £89,999
£90,000 to £99,999
£100.000 to £109,999
Thls year
Last year
Please provide the total amount pald to key management
CC17a (Excell
17
2510212025

11.2 Average head count In the year
The parts of the charlty In whlch the
employees work
This year
Number
Last year
Number
Fundraisin
Charitable Activities
Covoriian¢c
Other
Total
11.3 EX￿ratIa payments to employees and others (excludlng trustees)
Please complete if an ex-gratia payment is mado.
Please explain the nature of the
payment
Thls year
Last year
Please state the legal authorfty or
reason for maklng the payment
Thls year
Last year
Thls year
Last year
Please state the amount of the payment {or value of any walver of
a rlght to an asset)
CC17a (Excell
18
2510212025

11.4 Redundancy payments
Please complete If any redundancy or tem7ination payment Is made in the perlod.
Thls year
Last year
Total amount of payment
The nature of the payment (cash. asset
etc.
Thls year
Last year
The extent of redundancy fundlng at the balance sheet date
Please stste the a¢¢ountlng pollcy for any redundancy or
temiination payments
CC17a {ExGell
19
2510212025

Sectlon C
Notes to the accoun
Iconi}
Note 12
Defined contributlon pension 5chèmo or defined benefit 5tthÈme accounted
for as a defined contribution scheme.
12.1 Please complete thls note ila delin•d contrfbution pension scheme Is operated.
Thls year
Last year
Amount of contributions recognised In the SOFA as an expensè
Please explain the bas1$ for allocatlng the Ilablllty and expense of
defined contribution pension scheme betr¥een a¢tivities and
rgBtrlctod and unrgstrletod liind$
12.2 Pleas¢ ¢omplt¢e ¢hrS Sectlon where the Gharity partlGipates in a deflned b•nefitp•nJion plan but IJ
unable to ascertaln Its share of the underlying assets and liabtlitiè5.
Please conflmi that although the
Bchgme IB *¢¢tyvntogl tor ag a d•fln•d
contribution plan. It is a defined benefit
plan.
Please provide such information as Is
avallable about the plan's surplus or
deficit and the Impllcations, if any, lor
the reporting charlty this year and last
year. Ir dlfferent
12.3 Pleasè complet• thls s•ction whérè tho charitypartlcipates In a muttl-8mployer dèfinèd b•nèlit
pension plan that is 8c¢ounted foras 8 defttned contribution plan.
Descrlbe thè èxtènt to whlch thè charlty
can be Ilable to the plan for other
entltles, obligatlons under the terms
and conditions of thg multi-employer
plan. If this is dirrerent for last year.
provide detsils
Provide an explanation of how any
liablllty arising from an a9reernent with
a multi*rnployer plan to fund a deficit
has been detemined. If thls Is different
for last ypari provltle detalls
CC17a (Exeell
20
2510212025

Section C
Not&S to tlic accounts
Icontl
Note13
Grantmaklng
Ple8se ¢ompl•te thls I￿1¥ Ilthe ¢h•ffltymod• •rygrants ordon*WoM wlM¢h In •ggJyle fonn 8 m&tertalp•rtol
the ¢harftabl• ocfvlttes Unrfertat￿.
Thls year:
13.1 Anal B15 of
nts ald Ilnduded In ¢ostof ¢harttablo •¢tlvll1
Grants io
Grants to
In•titutlon$
IDdl¥ldua
Sypportco8ts
Total
Actkntyor pro￿1 I '
Acinpi
or
or
¢¢13
Total
pl￿90 entsr"Nlf rfth• ¢harftydots notldendly&nth•llo¢o¢e supportcosts.
112 Grants m•d• to iNstitstlon•
Ple?￿p￿Id•
detalls of¢hwlty
Myclwltyhas madegronts top8rtkul•rlnstl(udons thatare m•terfalln
the eonlextof ftg gr8nlm¥klng. Detalts olth• lftsdludDn supported.
purpose ofthegrartandtotalpaldto each Insthuuon 18 •v•ll8ble M the
ch8rfty& slte.
Y•$
Provlde detsl
Purpo89
Totsl amountof
grants pald £
Nam8* of In8tltutlon
Totalgrnnts to InsNtutlons In mpo￿A9p*r1od
OtheruNn•ly5vdgTrnts
TOTAL GRANTSPAID
CC17a IEx¢¢ry
21

Last year:
13.3 Ana
18of
rants pild
In¢l¥d￿ In COBt of charitablo actlvltl¢sl
Grnnts to
arants to
ih8tiiutlon8
An8￿1
Supportcosts
Tolal
or
Actm
or
Actm
or
ect3
Aclkn
tsr
Totsl
13A Gwants made to In•tltu¢lon$
Pleaseprovlde
details of chanlys
URL
My¢h•Tltyh•$ m(1¢ ￿￿￿ts lop8rd¢ularlnstithtlons tIMt*rn m#t¢rf41 In
the contextollts grantmaklnffi Det*i7s orth• Instttullon supported,
pu￿￿¥ of thegmnt*ndlotslpaldto••¢h Inslll¥Non Is av•Hable on the
¢h•rlty$ web ¥ft
Ye$
Pmvldo
Name• of in8tiiution
Purpo$9
Total amount of
rdnts
aid£
Totslgrants to Insdlullons In reportlngporfod
Otherunwwfysedgrart
roTAL GRAIITS PAID
CC171 (Ex
2￿212025

S&¢tlon C
Notes to the accounts
Icontl
Note 14
Tangible fixed assets
Please complete thls note if the chariry has any tanglble fixedès5ets
14.1 Cost or valuatlon
Froohold land &
buildings
othor13nd &
bulldlng8
Plan( machinery and
motor vehicle5
Fixturè$, fittSng8 and
equipment
Total
At the beginnsng of
the year
Addits'on5
Revaluation5
Disposals
Transfere '
1.240,000
1.240.000
At end ol the year
1.240.000
1.240.000
14.2 0gpr¢clatlon and Impalrments
'Ba8is
SL
SLorRB
LorRB
SLorRB
5LorRB
Ratg
2%pa
At beginning of the
year
Disp0581s
Depreciation
Impairmenl
Transf6rs'
Al end ol the year
14.3 Net book value
Net book value at the
beginning of the year
Nel book value al the
en¢ of tne year
1.240.000
1,240.000
CC17a (Excell
23
2510212025

14A lrnpalmient
Thls yw. Pleasèpmvlde a descrfptlon ofthe events and
¢I￿￿mStanc•S thatledto lh• r•eoBnhlon orr•v•ra•l olan
Impalrnientl￿.
NIA
L•styeAr Pl•as•pmYldè • doscrlptlon ofthe 8v•nts and
cIr¢umst￿¢0S thtttledlo the reeognhlon orrevgrnal ofan
lmpa1rnientl￿.
NIA
14.5 R•¥aluatlon
Ilkn aecovntlngpoV¢yof r•valu•don Is adopt¢4 Pl￿$0 provlde..
Th18 y•af
Lalt y•ar
Ihe •ffoctlvo af th• rwaluadon
3￿Apr-24
an
Partn8r, of Jagg8rd
Macland LLP
tho nam• ofind￿*fidvng ￿l￿or. If •ppll¢ab
Mathet value
approach assurning
V8eant potsèssion
for all properties
No cthts avallatrle
the methods applI￿and$19￿lft¢anta$Sumptl•ns
th* ¢ar￿"nO amount th4twouldh•vo )8en reeognisodhad
Ihe ￿ets béen e•tti8dundwthe ¢ostmodeL
14.6 Oth•r d18cIo811rn0
Th1• y•ar
Last year
(JJ Fry••sè stat• th• amount of bormwlng ¢osts, MAny. capltallsedln th•
¢onstru¢dgn of ¢•nglbh fix•d•ss•ts and the eaphallsatlon used.
(ID Pl￿8prOVIde the •mount of contr•c￿•1 conwnllments forthe 4cqul¥ldon
of tsnglljle fix•dassel&
(IIQ Dots11s of the exlstenc? •ndegrrylng amounts ofprop•ty, pl•nt•nd
Iprnertto whlch th• chaiytyhas rnstrl¢iedlllle orthatarepl¢dged
4tturltyforllabllhl•&
' Thè Irènsfèts"rnvts formov8ments behsyen fvedasset Ga16gories.
'Pl8ase Indlcete th& methodof depreci81ti)n byd$lo&ng Ujè m•thod ftot appl￿8￿￿ (SL= straohtling.. RB= rnduchg balance). Also
¢¢17• (EWD
2510212025

S•¢tion C
Notes to tho accounts
{¢ontl
Note 15
Intsngible assets
Please complete this note if the charity has any intangible assets
15.1 Cost or valuation
Research &
development
Patents and
trademarks
Other
Total
Al beginning of the
Additions
Disposals
Revaluations
Transfers.
At end of the year
1S.2 Amortisation and impairments
'Basls
SLorRB
SLorRB
SLorRB
SLorRB
Straight Line
I,￿L"l¢r
Reducing
Balance
I'RB'I
' Rate
At beginning ol the
Disposals
Amortisalion
Impairmeril
Transfers.
Al end of year
1 S.3 Net book value
Nel book value al the
beginning of the year
Net book value at the
end of the year
15.4 Accounting pollcy
Please disclose the accounting policy forlntangible fixed assets Including..
Reasons for chooslng
amortisation rates
Policies for the re¢ognAtion of any
capital development
CC17a (Excell
25
2510212025

15.5 Impalrniont
This yoar.
Please pmvld• a dexrlptlon of the evwts and
¢lffumstsn¢•s that led to the ffg¢ognition or
rnversal of an Impolmient loss.
Last y•ar.
Pleasepmvld• a description of the events and
clrcumstane•s that led to the Yg¢ognhlon or
re￿tsaI of ￿ Impalnnent los&
15.6 Revaluatlon
Ilan accountingpoll¢y of rnvaluatlon Is adopt•d> pl••seprovidè.'
Thls ygar
Last yaar
the effective dats of th• rwaluatlon
tho nama of Independent v•luer, Ilappllcablè
the nfftthods applled
th• carrylng amount that wouldhave tRen
recognlsedh8d tho assets been caftiedunder
the ¢ost model.
16.7 othor dlsclosures
fl) Myourlntanglble asset was acqulred by way
olgr*rte. prt4vid• v•lts• on lftitl41 rneognillon and
carrylng an￿nt of the asseL
(Il) Detalls of the ¢anylng amounts of any
Intsngible assets to which the charity has
rn$tn'¢t￿ title orthatarn pl8dg•d•s se¢urlty for
Ilabllltles.
(111) Please pmvlde the amount of ¢ontsa¢tual
¢ommltments forth• a¢qulslllon of Int8nglble
ssets.
(iv) State the emount of research and
dovelopment expendfturn recognised as
expendlture In Ihe year.
fv) Please detail the headin9$ In the SOFA In
whleh a charge foramortlsauon of Intonglble
assets Is Included.
fvly Forany mot•nal intanglble assets. ple8$0
provlde a des¢rlptloft. Its 6•nylng amount•nd
anyremaining •mo￿S8110￿ period.
' The ?rnnslers"mw ts lormovemgnts between fixedass81 calegorfes.
' Please indicate tha methodof deprecffjtioft by deleting the n7¢thod not appllcable (SL - sfralght line,. RB - r8duclng
balance). Alsopknse indicate Ihe rale of deprewlAon.' forstrawhl line. what is the antk*ted life of the a￿et (
y88ts),' lor reducing balance, what the percenlagg 8nnu81 deduclron.
CC17a {Excell
2510212025

Section C
Notes to the accounts
(conti
Note 16
H•rftsgo assets
Pleas• eompl•t• thts notè If the ch&rtyh•s h•&Stsg• assets
16.1 Gonernl dl•closur•8 for•ll charftte8 holdlng h•rltage assets
ThlB yoar
La8tyoar
111 Explaln thg nature and scale of
heAtag• assets held.
111) Explaln the pollcy lorth•
a¢qul$ltlon, pMervallon.
management and dl8F)08al of h•rft•gè
as¥ets.
162 Co•torvaluallon
Total
Al WinThing ol Ihe y•ar
Ad<lition$
Disposa19
R•valuallons
Tranifets.
At erKI of the year
16.3 DoproetAtlon and Imp•lnngnt8
S￿ight Llno
I"SL"lor
ReduuThJ
Balance
At beginniNJ of th• year
Di¥pJ¥ots
Depr¥¢i8th)n
Imp8imient
Transfars"
Atend of yegr
16A Net book valu•
Net book value at the bryinning ofth8
year
Not book value at Ihe ond of th8 year
178 (Excdl
27
2W02r2025

18.6 Impalnnent
Thls year
Please provlde a d•sertptlon of the events and ¢lrcumBtsIi¢os
Ilwtl*dto the recognldon orr•v•rsal olan ImpalmJ•nt lo•s.
NIA
La•tye4r
Pleasepmvldo a descrlpdon of the events and¢1￿￿M¥¢4￿¢0S
that led to th• rneognltlon Or￿•￿￿•1 of an Impalmientlos&
NIA
16.6 RO￿lUatIOn
If an •eeountlngpolkyof r8v•lu•llon ts adopte¢¢ provlde..
Thkn year
. Last
NIA
the name of Ind•p•nd•ntvaluer. IlappM¢8bl¢
quallncodons of Ind•pendert valuer
th• m•llK+ds appNedandslgnlne•nt￿8tsmpt1On$
anysl9nlTh¢ant IlmR&tlons on th• valuatlon
16.7 A￿￿16 of herStsgg a88ets by ¢18s• or group d18tlnouhhln9 th0o8 atco•t and th¢w ot valuatlon
Atvaluwtlon
At ￿$t Group
Group A
Total
¢8ffwng amount atthe beginning ofthe
periorj
Addilits
DlsposalB
Deprotiatio￿irnpolMWrtt
Revaluation
car￿Trg amount atthe eTrJ ol Ferlod
16.8 Herlt80O a•••t• {whtte h•rltage *8B•t8 ar• not rncolgnl8•d on the balanco 8heeti
Th18
Last y￿r
111 Explaln the r•a8on why hgrltage
•88ets ha￿ not bggn rncognl¥gd on
the balance 8h••L
1111 008CTlb• th• 8lgnlfirAnc• and
naturn ol herltaBe a880ts.
11111 Dbclo$g infomation that18
helpful In 8#808•lng th• value of
herltag9 assets.
Ilvl Explaln the rga8on why It18 not
practlcobl? to obialn a valuatlon of
hèrfthgo assots.
CC178 I&￿e1)
28
251tr212W25

16.9 Fl¥• ￿ar¥UMMIry of herftage a•8ets trAMactl•n•
201S
2014
2013
2012
Pureha$o8
Group A
Group B
Group C
Othar
Donotlon8
Group A
Group B
Group C
Olher
Totsl addltlon•
Chory? for Imp81nrfent
Gro￿? A
Gro￿ 8
Group C
Other
Total charyg for Impalmient
018PO8a
Group A- cawryirvJ amount
Group B- rArrylng amount
Group C
Totsl dl8po8als
CC17a l&xc811
2W2025

SL'¢lion C
Nots 17
In¥o$lmont assets
Pl•a¥¢ ¢ompl•i• th18 notgmthe ¢h8rltyh•J ￿Y1￿¥•8￿￿ert￿
17.1 Flxgd a￿e¢l Inveslrnents IplH8e pr¢>vlde for •a¢h ¢18￿ of inwslmentl
Uitsd
Inw•tmo
pffjpgrUoB
&Klal
Total
ulya￿￿1•
cl￿n9 Ilalrlv8lu8 at bWrthJ ol
Add: addttkni to hwe8tsn8nts thjhng
od.
L•98: dlspgsals al carrylng
Add: Rowr•￿ oflmp41m*nts
AddUd¢¢uW: tr•wl•r lrfout) Sn V
Alth1d￿u¢lI. gaMo851 c•
aluallon
CatyrvJ (lair) ¥alu• at ofy8w
Il•Ai*tsp•¢lfy addlilon8 rn8ultlng Irom
a¢qul8ltlon¥ through bu11rt￿ combln•tSon8.11
•ny.
Plo88• not• th•1 P41r VJlu¢ In thls eonre*tis th•8mountrorwhkh Wtras*ètea￿￿èo &¥¢hatwdbet**•n
knowloyable and wllllngpardes In on kngth tran8aetIo￿ Fortr&dedsq¢wlll¢s, the f4lrvalue Is the valuè ol
th¥se¢urfty qu•t•d on IhèLondon Sto¢kEx¢hang¢ oollyoifkial Ustor e(wlvdont Forotherassets whore #w•
ts ￿ n￿k0$PrIC0 on 8 tr8d6dmwko¢ 111$ the IN4t￿.￿r walu*s'b881 0118tr v41ue.
172 Please provld& a breakdown of inv•#lm•nts Shown abov• agreelng wlth the balance Bhqet row B04
dltsrentI￿ng belween those held atlair valu¢ and th￿¢ hold at C08l le88 IMpai￿O￿t
Thls y•ar
Anetysl• ollw•lmgDts
FO￿¥11￿ •ty••rgnd
Colt l•B$ Impolrment
C•Bh or¢￿￿ wuhlen¢•
$0È1&1 Sn¥tstrn•nty
OthorlDv•tskni•rt•
Toljl
GraThl total IFalr valu• ￿ty￿r9Dd•Co1f tmpjlrmqrtll
Analys]8 of In¥￿Irn?nts
Faiiyaluo ￿Yq1r•￿I
Cwt1481 lrnpDlniI￿t
¢a8h or cash •qulv8lon18
Llatsd lrtwBlmèt
10,805
Invg•trttent propDrU•8
S•¢l•l Inv¢$kn•Aty
Oth•r In¥•8bMnts
Total
10.895
10.895
CG17• (Exc4r)
ao

17.3 llyour ¢ha¥lty hold$ Invq8kngnt prop9rt1￿ plga$g ¢omplete the followlng nots:
Th1$
Last
Explaln th8 mèthad% attd 8jghlfleart•$$umpu￿ In
¥*tomilnln9 tholafr v&luv of InvotstsnD￿iwurtY h•ld ty th•
¢hprfty
NIA
NIA
1111 Nam• or Indo￿nd￿nI¥4I￿¢r, Sf appllc4blg, wlvjnt
4uQllfl￿t1DTh
NIA
11111 Provld? dotslts Of •ny rggtrldloThB thp ablllty to M8U80
proprty tsi on thts Mmlttart• of Incomo or
dl¥po8•1 proe•wl
tIlA
NIA
Ilvl Explaln •ny ¢w¢r•¢tyal obltqatk4nB lorth• purchuo.
nstru¢￿rt or d•volopmont of IRvo8lrn*ntprop•ty orf¢r
r•paFr6, malntonane? or ￿nh￿￿O￿OnI•
NIA
NIA
17.4 Pl•as• provlde • bTr•kdown of curreThta8￿t Inv•sbrnnts. Ilappll¢•bh, •gr•elng wilh th• bal•n¢e
Anatysl$ of cyrrnnt￿•￿1n¥85trnD￿ts
Thlsyellr
LAstyo4r
¢uh or ¢8Bh gqufvwlents
Llstod Inv•sbnonlg
io,e95
Invfr8thwnt proport1
Soclal knve8thi•r
Oth*r Inv•gtmMt•
Totsl
10.895
17A.GuarnntsèJ
This
Last
Pl¢￿* provlde d•i•U$and •mountolwny gu*Mrtt•• m•d• to
or on b•hoif of • thlrd plrty
NIA
NIA
•nUty or•tth b•l￿ffl￿n0lIw tho••
WA
NIA
ptè*&• èxplaln howth• quArnntg9 th• ¢b•rlV• alm8
WA
NIA
CC178 IExEd)
#1

17.6 Con¢o85ion•ry loan8
Thls y•are
L4styearE
Am•yniof tont898lonAry lopn¥ fflid&VI
None
th•1¥th4gwBsrytt•n do¢sMt otsvrn*nlN¢ant
rotal
Doscrfptlon
Th1•y￿r£
La•ty•wE
Thls yvr
Last yoar
T•rni8 and eon41111on• •g lrtereBt ratè. 8•tuvlty
provld¢d
MIA
WA
Valu• ol •ny Con¢￿[On￿ry loanb whlch hav•
bBath tommitt•d bllt not t•k•n up atthp ropDrtkng
NIA
WA
Amounts payablo wlthln l y
Amounts phyablg after than 1 ygar
Arnounts recolvAble wlthFn l y￿r
Amounts r8e•h4blo •ft•r rnor• thwn 1 ygar
NIA
NIA
NIA
NIA
NIA
MIA
NIA
WA
17.7Addltlorb*l Infomwtl¢
M&G Chortty mu￿ Fund
Ple•w pro￿tte InfovnM¢lon •bDylthg slgnllSBnnc•
of tnv•8knonts to th8 eharlty* fln•n¢lal p￿St￿On
or wrk*rmon¢A 09. and condltlon8 ol IoAll8
orth• uiè of hodglrtg to manA9• fln•nGIAI rlg
WA
Forall Ihvothhts m•a8ur•d at lalr Val￿. th•
ba818 ford8tomilnlng th6f4aluo, InGludlng any
Quot•d Prttt• #t ao April 2023
WA
tO¢hnlq￿•.
Wh•r• a ¢harfty haB wovlded IIDon¢lJl 4¥•¥ts 4¥
Ml of B•curJty, carylKg amount ofth•
ftnanclal a880t pledgod a$ s•curfty And th• t•Tm¥
and ¢ondltkn¥ rBlpllrvd to Its pled
NIA
NIA
Forall Inv88tm8n18 atfalr value, tho
bsBl8 lordotsmilnlng tho Va￿0, Indudlno Any
Bsumptlons Appllgd wlJ•n U￿￿9 • ¥￿￿0119￿
tsehhlqu
Quoi¢d Pts 0130 W 2WJ
WA
charlty ha8 provld•d ftnanclal 9980ts a8
forni ol 8qturlty. corrylmg amount ofthè
Ilnan¢lal a¥sot plodged ag ￿￿rIty and tho t•vrn*
and Gondlllon¥ rnl•llry to plgdgp.
IA
NIA
CC17a(Excd)

Section C
Notes lo the accounts
Icontl
Note 18
Stock8
Please complets thls note If the ¢harfty hol(ts anystock item
18.1 Plea80 slats the carrylng 8mount of stock and work In progre85 analy8•d between
activities.
stock
Donated goodB
Work
pMgM$8
For
dlstrlbutlon
For resalo
For
di8trlbution
For resalo
CharftsbEe actlvltlos:
Openlng
Addedln perfod
Exp•nS￿l￿ p8*lod
frnpgir¢d
Clo&lrtg
Other tradlng actlvtHe8:
O￿nIng
Ad¢ledkn p•rlod
knyir¢d
Openlng
Addedlnp¢rtod
Expwwed In perfod
￿p￿rn￿
Closlry
Total thls y8ar
rotaiprevlous year
Th15
Last
18.2 Please ¥peclfy the carrylng amount of
ny sto¢k8 plodggd as socurSty for li•bllltlo8
CC178 IExc811
25102r2025

Section G
Notes to the accounts
(cont)
Note 19
Debtors and prepayments
Please complete this note if the charity has any debtors orprepayments.
19.1 Analysis of debtors
This year
Last year
Trade debtors
Prepayments and accrued Income
Other debtors
7.706.0
309.0
Total
7.706.0
309.0
Complete 79.2 where a material debtor is recoverable more than a year after the reporting date.
19.2 Disclosure of debtors recoverable in more than 1 year (included In debtors above)
This year
Last year
Trade debtors
Prepayments and accrued income
Other debtors
Total
CC17a (Excell
251021202S

Se¢tion C
Notes to the a¢counts
Note 20
Creditors and accruals
Please complete this note if the Charity hos any creditors or accrnals.
20.1 Analysls of credilor5
Amounts falling due within one
year
Amounts falling due after
more than one year
Thi5 year
Last year
This year
Last year
Accruals for grants payable
Ejank loans and overclratts
Trade creditors
Payments received on account for contracts
or performance-related grants
Accruals and deferred income
78,609
1,214
704.566
Taxation and social security
Other creditors
Totsl
78,609
1.214
704,566
20.2 Deferred income
Please cornplete this note If the charity has deferred income.
This year
Thi5 year the charity received a
generous grant from The Master
Wardens and Commonalty of the
Mislery of Cordwainers of the City of
London of £800,650.
The Trustee5 agree ihal IhEy blibll
hold and apply the Grant solely and
exclusively for Weedon's Objects and
in particular Ibul wilhoul limilationl
siich nf the works
described in the first six items
specified in the Grant Proposal (see N
29 lor details) as the Trustees shall in
their absolute discretion delerrnine.
This grant is accounted for in
Deferred Income and is recognised in
IncDITIII)g Rvsvuiies wlieii
expenditure on ariy of the firsl six
items in tha grant proposal has been
made.
Last year
Please explaln the reasons why income is
deferred.
NIA
Movement In deferred Income account
Thls year
La5l year
Balance at the start of the reporting perlo
Amounts added In currènt period
Amounts released to income from previous periods
BalancE at the End of the reportlng period
818,564
-38.029
780.535
CC17a (Excell
35
25102r2025

Section C
Notes to the accounts
(cont)
Note 21 Provisions for liabilities and charges
Please complete this note if you have included in charity expenditure any provisions. A provision
is made when the charity has a liability of uncertain timing or amount.
21.1 Movements in recognised provisions and funding commitment during the period
This year
Last year
Balance at the stsrt of the reporting period
Amounts added in current period
Amounts charged against the provision in the current period
Unused amounts reversed during the period
Balance at the end of the reporting period
21.2 Please provide.,
a brief description of any obligations on the
balance sheet and the expected amount and
timing of resulting payments.
This year
Last year
an indication of the uncertainties about the
amount or timing of those outflows: and
the amount of any expected
reimbursement, stating the amount of any
asset that has been recognised for that
expected reimbursement.
This year
Last year
21.3 For any funding commitment that is not
recognised as a liability or provision, provide
details of commitment made, the time frame
of that commitment, any performance-related
conditions and details of how the
commitment will be funded (with contracts
for capital expenditure separately identified).
21.4 Where unrestricted funds have been
designated to a fund commitment. please
disclose the nature of any amounts
designated and the likely timing of that
expenditure.
CC17a (Excell
36
2510212025

Section C
Notes to the accounts
{cont
Note 22 Other disclosures for debtors. creditors and other baslc financial instruments
This year
Last year
22.1 Please provide information about the
51gnifiGancE of finanGiial iriblruiTivrit$ le9.
debtors, creditors, investments etcl to the
charity's financial position or performance.
for example, the terms and conditions of
loans or the use of hedging to manag
rinancial risk.
22.2 If the charlty has provided financlal
assets as a form of security, the carrying
amount of the financial assets pledged as
security and the terms and conitions related
to its pledgg should be given here.
CC17a (Excell
37
2510212025

Section C
Notes to the accounts
Icontl
N¢)ts 23 Contlngent IlabllMl¢s and contlnggnt assets
23.1 Contlngent11obS11th8
Wher• the ¢harity has contlng•nt 1labl1llltl￿. please compl?ts th• followlng 8•¢tion unlo$8 the
PO88lblllty of thelr •xlstènce Is remote.
Thls y•ar
De8crlptlon of Item Includlng Its legal nature.
Please doserfbè any 8ecurfty provld•d In
Connectlon to the Ilablllty.
E¥tlmat• of Ilnanclal •ffgCt
D•scrlptlon ol Item Includlng Stslogal natur•.
Pleas• d•$¢rbba any securlty provlded In
¢onntetlon to the Ilablllty.
Estlmate of financlal effect
212 Conttngent 488ets
Where th• ¢harlty hoa ¢onllrynt 4ss•ts* pl￿8• eompl•t• lh• followlng #èetlon wlwn th•lr
•xJstence IB probabl•
Th18
De8crlptloTr of Item
E8￿Mat* of flnanclal effect
Last year
De8¢rl
on ol Item
E8ttrnat• of flnanctal effect
23.4 Other dlgclosures lor conttngent assets andlor 1labl1l￿eB
Plwg provld• thè followlng Inf0M￿tIon wh•rn prn¢tkab￿.
Thi8 yèar
La8t y•ar
Explaln any ￿nCertaIntleS relatlng to the
arnount ortlming of ￿ttI&ma11t. and th•
PO8slbilty of any rèlmburn•m•nt
Wh•r• tt t8 not prnctical to make one or more
ol thes& dl8¢108ures, plea8& Stats th18 fact
¢¢178 IEx¢gf)

Section C
Notes to the accounts
(cont
Noto 24 Cash at bank and in hand
This year
Last year
Short term cash investments (less than 3 months maturity datel
Short term deposits
Cash at bank and on hand
Other
Total
502,736
Jbu,uuu
30,985
81,903
883.721
81.903
CC17a IExcell
39
2510212025

Section C
Notes to the accounts
cont
Not8 25
Fair value of assets and liabilttie5
Thls
aar
Last year
25.1 Please provide details of the charity.
exposure to credlt rlsk Ithe rlsk of
incurring a1055 due to a debtor not paylng
what 1$ owedl, Ilquidity rlsk (the risk of not
being ablÈ to meet short term financlal
d•mand61 and m•rk•t risk Ithg risk that thè
value of an investment will fall due to
change$ In the m2rkÈtl arlsing from
financial instrurnents to which the charlty
is exposed at the end of the reporting
P•Tlod and 6xplaln how the charlty
manages those risks.
25.2 Ple¥ge give detsil¥ of the amount ol
change In the fair value ol basic lfjnanclal
Instrurnents Idebtor5, cretlitor5,
investments Isee section 11. 102
SORPII measured at fair value through Ihe
SOFA that is attributable to thangÈs In
credit risk.
CC17a (Excell
40
2510212025

Section C
Notes to the accounts
Icontl
Note 26
Event5 after the end of the reporting period
Plegs¢ complete this noto (kpot roquiring adjoi_¢tmont to tho accountsj have occurred after the end of the
reporting period but before the accounts are authorised which relate to conditions that arose after the end of the
reporting period.
This year
Last year
Please provide details of the nature of the
event
Provide an estimate of the financial effect
of the event or a statement that such an
estimate cannot be made
CC17a IExcel)
41
2510212025

27
Charl lynd
27.1 D•ialli ol rnatgrlal funds held and mav¢mothts dvrlng thty CURRENT roportlng
Y4Iv•iiDn re5eThpandl•trvBl¥•wwv4 11oppll¢Wfr). Th• 7oiallv•ds'llgwobotow¥hoWr•¢gn¢ll• to Tots1fw￿¥'In th• W•n¢•¥hort
Iwjds
Furtd
Fund
Trp• P4 EE
R•fuR"
t*uught
G•lfis
urrlgd
Fund n*m•#
Weedon.
91.894
43399
-27,*1
107284
R8Y¥ualon Rqservé lorFxéd &
HerWA88et6
1.240,WQ
1,240,QOQ
Cothwnwy ReseNg
SpetificProled8obje¢ih888 ouuined in
. Corthw8in6rn Gr8niAgreernent- Se& N 29
38.029
-38.029
Totsl Funds u PEr￿l•n￿¥hOeI
61,32B
1240,052
1.347.2V4
bthnc••c•rrtbd lor*•rd In￿￿￿•4￿•th •Trd In•for￿￿Tr￿1￿
¢¢17•(ExOJ
42

1111111111
1111111111
111111111
1111111111
plliiiiiiiiii
elliiiiiiiiii

Section C
Notes to the accounts
(cont)
Note 27
Charity funds (cont}
27.3 Transfers between funds
This
ear
Reason for transfer and where endowment is converted to
income, legal power for its conversion
Amount
Between unreslricled and
reslricled funds
None
Between endowment and
restricted funds
None
Between endowment and
unreslricled funds
None
Last
ear
Reason for transfer and where endowment is converted lo
income. legal power for its converslon
Amount
Be￿een unreslricled and
re3tricted funds
None
Between endowment and
restricted funds
None
Between endowment and
unreslricled funds
None
27.4 Designated funds
This year
Planned usg
Purpose of the designation
Amount
Last
ear
Planned use
Purpose of the designation
Amount
CC17a (Excell
2510212025

Section C
Notes to tlie accounts
Icontl
Note 28
TransaGtions with trusteès and related parties
Ilthg charttyha8 any trnnsoctlons wfth relatedpartles (otherthan the trustee expens￿ exphbJ•dln guldane• noi•s)
details of¥ueh trnnsaetlons shouldbe prOvId￿1n thls not•. Ifthern 8r• no trnnsaellons lo r•por¢ please enter Yw?"In
th• box or-Fals•" rfth•r• 8r• tr•nuctlons to Yeport
28.1 Trustèè remunerntlon and bgnefits
Th1$ year
None of the tru8te•8 have been pald any rnmuneratlon or rKelved any other beneflts from •n
•mpl¢)Ym￿I wlth thèlr eharity or a r•latod •ntlty (True or Fal8el
TRUE
ltt thep•rfod tb• ¢h•rlty hgs yld trust••s r•mvner8Won andbeneffts. Pleas•glYe the 8mountol. and l•gal authorfty for,
any r¥munerallon oroth•rb•n•fitspald£o a trusteebylh• charlty orany Insdlutton ore¢)mpanyeonnectsdwlih IL
Amounts p4ld or beneflt value
Legal outhormy leg
order, govamlng
docum•nt)
emunorauon
pomion
¢ontrtbutlon
R8ounoanGy
Iln¢ludlng
1085 of
offkey?x
Name oltr￿s￿•
Pleas• glv• detslls ofwhy rgmunvrnllon or other
employm•ntbeneffts werepald.
Wh•r• an •xgralla paymenthas b￿n made to a truste4
provlde an txpl8nadon of the naturn of th• p•ymw
Ka thlrdpartyh#$ I￿n rolmbursedforprovldlng one or
more trus￿5, stste th• natur• olthepwymentand
mountof th• rolmbur&•meftL
stste the numberof tru¥te•s to whom r•Urem•ntbonefits
are accrulng under"4 delln•d eontrlbutlon pen$lon
schem
CC170 (Ex
45
2510212025

La8ty•Ar
Nonè ol the truBto¥s have been any remuneratloD or r8e•lvod any other ￿nefits from an
èmployment wlth thtlr eharfty or a relatsd •ntlty ITru• or Falsel
TRUE
In the ptrlodthe CharItyh￿pa1dtrnsté0$ r•muneradon andb#n•fft& Pl•ase gly• tho amount of. andl•gal authorty for,
*nyrnmuneratlon orotherl>en•lltspald£o a trnsto0 byth• eharlty oranylnstltutlon or¢ornpanNeonn•cted wllh
Amounts pald or beneflt valu?
L•pl authorlty leg
ordor, yov•rnlng
do¢um•nt)
Remyn¢ratlon
Pmslon
contr]butk•n
Redund8n¢y
Ilncludlng
lobs of
offlcoyex
grabo
Ot￿r
TOTAL
Nam• ottru8t••
Please glvè d¢talls of whyremuneyatlon orolher
•mploym•nt beneffts were pald.
l*here 4n exgr3d8 payment has bè•n mad• to a trust••.
provlde an explonadon ofth• natur• of th•paymenL
Ila thlrdparty has been relmbuTsedforpn>vldlng t7n• or
more trustoes. 8tstg the natur• 01th•paym￿laftd
amountof th• rnlmbursoment
Slato tho numboroftwstees to whom reurgmentbeneffts
are acc￿1￿9 unuera u&inea conrrtljutlon penslon
$¢hgm
28.2 Tntstees. expenses
Ilthe charltyhas pald trustees expen¥e8 forfulfflllng thelrdulles. detaHs of such transactlons shO￿ldhePM￿dedl￿ thls
note Mthere are no trnnsaeth>n$ ￿ report pb•s• •ftt•r°Trn•" In th• boxbelow. If thgrn are transact10￿ to repo¢
plvs• •nt•r"Fal$•".
No tryst•• •xpgn8•s hav• b••n Incurrld (Tr￿ or Fals•l
FALSE
Type of expen¥es relmburned
Th18 y•ar
Lastyear
Travel
Subs5stèncè
Aecommodatlon
Oth•r (plea8• sp•eWyl:
- Chrfstmas gms for residents, l¢xksfflith. ststMJnery. land wistry
833
633
230
230
TOTAL
Pl•a•e provld• th• numberoltrustees relmbur8ed for expen8e8 or who
h•d •xp•ns•$ pald by the charlty
CC17a (Ex
25nJ2r2025

28.3 Transactlonlsl wlth related partles
Ple•s• gfve d6talls of kny tsansaclion undertaken by(oron behaff OQ the charlty In whkh a r•l•todpartyhas a mateylal
Int•rns¢ Ineludlng wh•re fvnds havo bgon held8s ogent lorrelatedpartles. Kthere ar• no such transactlons, please
entor tru•'ln th• boxprovlded.
Thls year
There have been no related party transactlono In th• reportlng perlod (True or Fal$o1
TRUE
Amounts
wrltten
off durln9
reportlng
rlod
De¥¢rlpWon of the
transaetlonls)
Name of the truste?
or relatsd party
R•latlon$hlp
to ¢hprlty
Balance ot
Porfod end
Provl8lon for bad debts
at prfod end
Amount
In rnlation 19 Ihe trnn5a¢tlons abov•. pl￿$•p￿VId• th?
t•mis andeondiuons, Includlng anyseeurltyand the
noture of 4nypayment(conslderaUonJ to lJepro¥ldedln
$ettlemenL
Forany rnlatèdpaity, pl•a$• provldfy d•talls olany
guar8ntsos glven orrneelvèd.,
Last yoar
Thèm havg bgen no rgla¢•d p3rty tr¥n$o¢t5ons In tho roportlng perlod (True or Fal$•l
Amounts
wrttten
off durlng
r•portbng
p•rlod
Namg of the tr￿te0
or rglotsd party
R91￿10n¥h1p
to ¢haTIty
D•$eripllon of the
an88e￿OnI$l
Amount
Batance at
perlod end
Provlston for bad debts
at perfod end
In relatlon to the transactlons abov•. pl•as• provlde the
terms andcondhlons. Includlng any $ecurftyandthe
natur• olJnyyyment{conslderprfon) ts be prnvld•dln
ForanYr•1at￿p#lty, ple•s$provlde d•t411$ ofany
guarant••s giv•n orM¢•lwod.
CC17a IExc4D
47
25I02rd025

SeGtion C
Notes to tkie aGGount>
{Goiit)
Note 29
Additional Disclosures
The following are significant matters which are not covered in other notes and need to be Included to
provl(Je a proper unOersian(Jlng or the accounts. If there 15 InsuffiGiEnt rvvivi liervj ylease add a
separate sheet.
1. Fixed Assets had no value in the previous years accounts and there were no records held for these assets.
The Charity owns the freehold of the Sand. the four Weedon Alm Cottages and Slandring Alrn Flats as in the
Land Registry Tille BM317375.
The trustees instructed Greg Rowlands of Jaggard Macland LLP lo carry out a valuation of said property for
inclusion in the accounts for Year Ending 30 April 2024.
This generated the entries in Fixed Assets (N 141 with an equal and opposite entry in a Revaluation Reserve
2. This year the charity received a generous grant from The Master Wardens and Commonalty of the Mistery
of Cordwainers of the City of London of £800,650.
The Trustees agree that they shall hold and apply the Grant solely and exclusively for Weedors's Objects and
in particular (but wilhoul limitalionl such of the works
described in the first six items specified in the Grant Proposal {see below) as the Trustees shall in their
absolute discretion determine
This grant is accounted for in Deferred Income and is recognised in In¢oming Resources when expenditure on
any of the first six items in the grant proposal has been made.
Six Projects
1. Replacement of roof on Nos 1-4 Cottages
2. Refurbishment of Nos 24 Cottages
3. Replacement of all il Doiiers ILottages and Flais)
4. Renovation and repairs to Grade11 listed perimeter flint and brick wall
5. Conslwcl 2 new flats to east end of Standing Alms flats on existing land
6. Rewire electrica5 supply lo Standring Alms flats
CC17a (Excell
48
2510212025

(HARITY COMM15510N
FOR ENGLAND AND WALES
Independent Examiner's Report on the AccoLints
Rcport to tlJ¢ trusle¢s
"I he Weedon's Almshousc Chariiy Trllsi
On accounls for the yenr
ended
30 April 2024
Charity
no (if any)
208610
$¢1 out pagt5
I report to the Iruslccs on my examination ofihe accounis of the above charity ("the Trusi") for the
ycar cndcd J010412024
Responsibilities ￿nd
bklsis of r¢p(>rt
As the chariry's irusiee5. you are rcsponsible for the preparalion of the accounts in accordance with
th¢ r¢quireinen15 of Ilie Charitics Arl ?01 l {"the A¢t"l.
I report in respect ofn)y examinaiion ol-lhe'l rust's accounis caThicd out under section 145 of Ihc
201 l Aci and in carrying out my cxamination, I liavc folluwed all the applicable Directions given
by Ihe Charity ComJnis5ion undrr ¥riiiv15 145(5Xb) ufili¢ Aci.
Ind@péndÈnt @X3minÈr's
statement
I have complelcd Iny cxamination. I confirn) thal no malerial matters have come to my a(Icniion in
conncction wilh th¢ examination which gives me cause io believe that in, any mat¢rial respect..
Ihe accouniinbw i¥¢ic iiot kcyi iii accordaiic¢ iyith 5C¢lton IJO of Ihc Charilic3 Act.
or
Ihe accounts did iiot accord ivitli the accoiiniino rccords. or
Ihe accounis did noi Loiiiply iviili Ili¥ iipyIiLdblr J¢quii¢iii¢nts concctniR8 the fomi and
¢oni¢ni of accounts sei oul in Ilie ChaTilies IA¢¢oun¢s and Report5) Kcglllations 2008 othcr
tlian aiiy rcquireinent thai IhL accoujts give a 'true and fair, vicw which is noi a matier
on5idcTcd part of an indep¢ndcnt cxaminaiion.
I ha¥¢ no conceriis and havc comc acr055 rs0 oih¢r maiicrs in conncrlion wilh the eX￿n￿natiOn
lo wliich allcrilivn should be drawn in this report in ordcr to enable a propcr und¢TSTanding of
thc accounls lu be reached.
Dat¢-
24102/2025
Signod:
Nttme:
Colin Alcxandcr
Relcvani profe55lonal
qualificalionls) or body
(if uny):
ACMA
Addre55:
Brandon House, 2n¢ Floor
90 The Broadway. Chesham, Buckinghamshire, HP5 1EG