REGIrnDCHARrrY NUMBER: Z11732
rtoft
AL¥

oundaiton Street Cha
cl￿tent$ of the NnanclalSt3tements
heye
d31
mber
Reportof theTrustees
Independent Examlnee5 Report
ststernent of F(n3ncJalAttMtfjes
Slatementof HnancLHI Posluon
Nates to the Fin#ndal Statemer
5 to 9
DetalknlStstementolFlnarKW ACt1th￿S
io

wich Foundatl
ortaft
Tnj
The trustees presem thelr wkh the financlal Aatemeftts of the charfryT for thÈ year er¥ted 31 December 2023. The trustees
have adopted the prov55￿n5 of Accountiry¥ ond Reportrn8 ￿ Chorrties.. Staternent of Recommended l>rathce appllcable to tharitie5
preparingthelr accounts in a￿Orda￿e wrth the Finanaal ReForting Standard ap￿icable fjn ihe UK and RepuWl¢ of Ireland IFRS 1021
lefleLt4ve l January20191.
ObJecU¥esand¥lms
The maln object ofthe charity isto provbje indeF*r¥knt and thdtered ￿t￿MOdItIoN for rethd *￿e.
AcHIEvEM￿AND PEf¢FORMAN
Chaiitsble aclbAtle5
The Charitys detailed statement of ffinand￿ acw p$8e 10. show • gross irtomt of £304,156 12022 £267.1061 and gro
expend1ttl￿ of £246,391120Z2 E182,4551, results￿ In asurphtsof £57,765tompared wltha Surp￿$01 W,651 In 2022.
The charlrfs InvestmeTrts showed an Incre•s¢ In vah* from the year of £20W2 compared wlth a de¢wse In the value
of £152,545 In 2022.
5fRLICWRE. GOVERNANCE Ap￿ P•lANAGEME14T
Governlng docurnert
Thecharlty Is controlled by h$8ovemlnBdo¢umtrrt, odeed oftru5t and const1tt￿an ￿lT￿OrIted t￿rMY.
R£FEIIENCE ANDADMIN15fRAmiE DÉTAILS
Re¥15t•rnd ChArlty numbv
211732
PrkKlpal •ddr•
Toolevs Court
Foundarion Street
Ip5wkh
rflolk
IP4 IBE
Trustees
Mr N Holnt$
MT A Grant
Mrs D Pearce
Mrs R Oodds
Kfjr D Knlghts
Mfsj Banthorpe
T POUNI
MTSA Terwick
Mts M Youn8
Mr L HarvÈv
Mr A GIMes
Independent Èjhimlner
MrA Porter FMAAT
9 Byford Court
rockatt Road
Hadlelgh
Ipswich
Strffolk
IP7 6RD
rof the t>)ard oltru5tees on.._
. and$￿￿ on its behall by.
Mr
Grant-Trwee

Inrfe
endertt E¥2miner's Re
with Foundation Street Char
totheTntstses of
Independent examlner's Fepcrtt0thEtn￿ee50f Ip5wIth SlJeei
I report to the tharity trustees on my examination of the Kcounts of Ipswch FourthiK)n street Charity lthe Trust) for the year
ended 31 December 2023.
R85ponsknJltles and basls of repNt
As the tharlty tnJsteÈs of thÈ Trust you are resp￿￿￿￿e forihe prepaiation of ac(wrts In ac(￿da￿e requ1￿ments of
the Charities kt 2011 Ilhe Act'l.
I rèp¢>rt In respect tsf rny examinatlon of the Trust's accounts caffled OLrt under Sectton 145 of the Act and in carrWng out mv
examinatlon I have followed all applkabie Dlretllons4Jven bytF* Commi55wJn under Settw)n 14515llbl ofthÈArt.
Independent examlner's stèterftht
%ncÈ your charhy's gross income exceeded £250.rJ)) ywr exafflher must be o member of a Ilsted kndy. I Corf1￿ that l am
qualif￿d to undErtake the exarnln411on l am a member ofihe Assodatknn of Ttthni¢ians, vthlch Is one of the
lisled bodie
I have completed rny exjmlnatlon. I rorfifm that rK* maier6al matters have come to ffly attenllon In connert4oD wlth the
e¥amlnatlon I￿Ing me cause to believe that in any materSal respectr.
acco¥ntln8records were not kept Sn res￿￿ ol the Trusr •sftquired by Sethon 130of thekt.. or
the •cctyJnts do ￿ •¢¢ord wlththose record5; or
the accounts do not cornply with the applkJble requlrements concemlr¢ the form conten¢ of •¢¢ouAts Set out In the
Charlties (Accounts and Report51 Re8ulation5 2(M)8 other t￿n ary requiremtnt that tl* •c¢ounts 8fve a true and fatr v*w
whlch Is not 3 rnatter co1￿￿￿ere￿ as part of an S￿endentexaM[￿ats(1rt.
I have no corterns •nd have tome acr0$5 noother rnatter5 In connection ¥￿th theexafftlnatkffiio whkh ittentlm should be drawn
Inthls r•port In ¢rderto enable a proper understanthn8of ￿ attounts to be reached.
MrA Porter FMAAT
Suffolk TaxkcountantSGr￿P
9 Byford Court
Crockatt load
Hadltiih
Ipswkh
Suffolk
IP? 6RD
Date..
Page 2

'th FoundathThSt
Cha
em
tof
ialA
31
hey
31.12.23
31.12.22
Totrdl
funds
INCOME AND ENDOWMENTS FROM
Donations and le8arie5
C￿Tkable •¢d¥Nts
Contribution5from re5wJents
Hireof btsitO¥S room
159,(62
251933
750
Investfflent Income
13.272
T4rtal
304,156
267,106
EXPENDITURÉ ON
CharItabh¥¢d￿￿r5
C05t501 R¥nnkngSheltered HO￿￿8
246,391
182.455
Net gain5111055e51 on Irhvestments
208,832
1152,5451
IIETINCOMEIIEXPEPIrnI
266,597
167m41
RECOPXILIATION OF FUND5
Total funds brwahtforward
1255,312
l323.X
TOTAL FUNDS CARAIED FORWARD
2,521,%
2,25S.312

chFo
reetcha
entof Finan
31 Dece
r20
I Posi
31.12.23
Unrestricted
funds
31.12.22
Total
fijr
Investments
2,330.228
2.121.396
1,691
IY3,730
C*5h at bank
I40.￿8
201,421
140.9)8
CRtDifoRS
Amounts falllnt duewrthlnoneyear
19,7401
16.9921
NEfcuRRENT ASSErs
191.6BI
133,916
2255,312
N￿A$sEr5
2,521.909
2,25S,312
FUNDS
Unrestri¢ted funds
2.521.￿9
2.25S,312
TOTAiFUNDS
2.521.W3
2,255,312
The fInorKlal statements Wefe approved ty the 8oard of Tnistees aTrJ authorfsed for LI*￿ on ......................... ...... .
ww
n Irs behalf ￿.
and
MrA Grant- Trustee
MrDKnth.T

ch Fou
Th5treetC
tothÈFi
rthe Year Ended 31 De￿mb
AccouMllNG pouaES
Bas15 of prepafk¥ theflnantlalstatern
The finantial 5tsterneThts of the tharity, which 15 o publK benefft enty FR$ 102, hove been wepared In accoydante
vjlth the tharities SORP IFRS 1021'Accountlw and ReF￿1Th8 by ctrortl1￿ Statement of RecommÈNld PraLty¢e applicable
to chartt￿ preparlw thelr ￿tou￿$ In atcordance with the lin3￿131 Report5w Standard a￿kable In the UK and Republlc
of IrelarKI IFRS 1021 leffetfve l JarKwry 20191., Fuwncial ReF<*rting Standard 102 Tr Fina￿al Reportln8 Standard
awlKabk iry the UK arsd Republk of IrdaThd' and the Chariues Att 201L The financ￿ statsm*Trts have been prepared
underthe historical cost coThventKsn, wlth theexceptk)ft of IrtVe5tfflents whKh are ind￿led at market val¢Je.
Income
l irKome is recogntsed the 5tatÉment of Flnanciil Acuvlbes orKe the d*rftyhas *)tltbèmeot to thefrJ[￿, It t5 probable
that the Intome wrll be rewvedand the amount can be meastsred reliably.
Expendllur•
Liabilttie5 are ¥ewr￿sed a5 expenthth as soon as ttrwe ts a ￿11 N ¢on5tructNe obliqatksn commlthng the chadty to that
expenditure, rt Is probable that a transfer of e¢0￿m￿ beneffts WMI be rewmred lfi Sett￿ment and the amount of the
obligatknn can be measwEd rdlabty. Expenditure Is accounteé for on an x¢rv#15 basis and has been ¢l•sslfled under
headlw that aggregate all cost related to the tatem. Where costs cannot be dtrecity •tUlbuted to partkulaf headlngs
they have been allocated to on a IM$1s¢0rn5btenl the Oftesour￿.
T•x•Uon
The charity k5 exemptfrom tax on 6ts Charrtablo athill•&
unle￿¢¢e￿ funds ¢èn L*ustd In ic(c￿thI￿e wlth the thartt4bleobknThY5at the dlscretlon offv trystees.
Restricted funds cèn ofity be v5ed for portkular restricted purposes wlthin the objects of the charlty. Ilestrf¢tk*ns ar&e
when $pe¢lfitd ￿ the donororwhen fvI￿ are rafjsed for partkul4rrestric￿ wrr*)ses.
Furtherexplana￿oTh ofthe n￿￿￿e Ind ofeach fund ts I￿11thd In the notes to1￿ finarK&I statemen
INVESTMEpn INCOME
31.12.23
31.12.22
lTrtere5t rece￿ed
In¢orne Irom Investments
IA73
13.266
83
13,189
14,739
13.272
TRUSTEtS' REMIMRAIIONAND BENEFITS
There We￿ no tTUStet5' reThJneraUon or other beneffts for tts year eThJtd 31 Oxember 2023 nor for the year er¥Jed
31 December 1022.
There rK) truste25' expEn5es ￿IdfOrtheyeaT eryled 31 Decembw2023 norfortl* yÈarèfided 31 December 2022.
contlnued.-.

v￿Ch Fout¥Jation S
e Yeai End
31 Dec
023
STAFFCOST5
The a¥eraue monthty numbef ofemployees duriw d*yearwas a5 foll￿.
31.12.23
31.12.22
Admini5ts3tor
Repalrs and Mainte￿￿
Warden
CateTln8
No empknyees retd%*demoluments In ey£es5 of£f4),CQ).
Unrestricted
funds
INCOMEAMD ENDOWMEins FROM
Donatlons and lesacles
151
Contribution5 from resldwrts
ofvlsttors room
252,933
750
IThVest￿lbt Income
13,272
Total
267.106
ÈXPV4DITUREON
Charttabfe ￿11¥110
Cost5 of RuTrninRShe￿eTed
181455
Net 8alnsllh)ssesl on Irwestments
1152.5451
NÈTIMCOMEIIEXPENDITURE)
167,8941
RECONCIUATION OF FUNOS
Total funds brou8ht fO￿ard
1323.2C
TOTAL FUNDSCARIUEDFORWARD
2.Z55,312
Page 6
¢ontinu2d...

wich FouNlation SITeet
tothe Fl
ial Statsments-co
forthe Yèar Ended 31 December 2023
L15ted
investmwts
MARKETVAWE
At I lanuary 2023
Rev&lu8Yo
112L396
208.832
At 31 De¢ember2023
2,330,228
NET BOOK VALUE
At 31 Detembef 2023
2,330,228
At 31 t*cember2022
1121,396
Therewere no Investment ￿ets￿￿￿k1•t￿ VL
DEbTORS:AMOUNTS FAWNG wmiiM014É YEAR
31.12.23
31.12.22
Otherdebto
1.691
CREDITOR&. AMOUNTS FAWN8 DU£ TIIITHWONÉ YÉAR
31.12.23
31.12.22
Othercredftors
9,740
6,992
MOVEMEiif IN FUNDS
Net
movement
in funds
At
31.12.23
At 1.1.23
General fund
Cydical Repa* Fund
EKrnordlnary Repalr Fund
l.3ll.094
290.116
654.102
201016
23,972
L513.110
314,1￿8
.711
2.25S.312
266597
1521.9)9
TOTAL FUNDS
U55.312
266,597
2.521.WJ
Net movemert In funds, IrK*Jtted In the areas follrrtts..
G•in5 and
Movement
iTrfunds
Unrestrlcted funds
GenEr31 futhd
Cydical Repair Fund
ExtraordlnaryRepalrF
12453911
144J50
23,973
201016
23.972
1246.3911
208￿32
266,597
TOTAL FUNDS
3¢Jl.156
1246.3911
208,832
266.597
contiTrued...

ch F ndatlo
N¢)test
e Year
Financial State
nded
I t*£ember 20
MOVEME1￿ IN FUN05. tont
Net
At
31.12.22
1.1.22
hjnds
UnrestrSrtedfvnds
Genero1 ftjnd
Cyclical Repalr Fund
Extraordlnary RÈpalr Fur#1
L350,363
323.869
64974
139.2691
133,7531
5.128
1,311,CY34
29),116
654.102
1323,206
167,8941
2.255.312
rALFUNDS
1323.2C6
167,8941
1255.312
Cornparafve net mo¥ew*nt Infitnds. lrtluded In thÈ abovtart •5 folow*'
InconNrKq
Resourres
Galns and
k>sses
ovement
fjnfuTra5
Generol fvnd
Cyclical Repolr Fund
Extraordlnary Repair Fund
267.IC
1182.4551
1123,9201
133,7531
5.128
139,2691
133,7531
5,128
267.106
1182,4551
1152.5451
167,8941
TOTAL FUt4DS
267.106
11814551
IIS2.5451
167,8941
Acurrent year 12 months prknr year 12 months ¢c*mbined posllkn b45 Id1￿.
Net
mo¥em¢nt
In funds
At
31.12.23
At Ll.22
Unr•sirki•d lu
General fund
Cycll£al Repalr Fund
Extraordlnary fiepair Fw
L350.363
323.869
648.974
161747
19,7811
45,737
1513.110
314.088
694,711
1323.11
2,521,X
roTAL FUPIDS
1323.2(
198,703
1521.909
Acurrent yeor 12 monthsand 12 mcffith$c(*m￿r￿d ￿ rr4Mmefit In lund5. Irxlwjed In the aL*)ve are as folows..
IncomlnE
ResoyTees
expended
Galnsand
Movement
In funds
General fund
Cyclical Repair FurKI
Extraoidinary Repair Fund
57L263
iij
1428A461
20,330
19,7801
45.737
162,747
19,7811
45,737
5n.262
1428.8461
56,287
198.703
TOVALFUNDS
57L262
1428.846)
56287
198.703
continued...

l Fou1￿110￿5treet(thart
io.
RELATED PARTY DISCLOSURES
There were no related party tranSaCtb￿ fortheyeartnded31 DÈtÈmF*r 2023.
FREEM(￿ PROPERTY
The ¢harity OVMS the property wse5 to kyovide indeFendent aTrJ sheltered attomm￿lI￿on for retired PeD￿e. The
prtsperty was dorwted to the Charlty by Henry Todey in the sixteenth century aNI due to the drffjculty in establLshlwg the
value of the asset at that tlme. the woperty ss not {￿l￿dEd in the balarKe sheet. The trU￿e*S belI￿e that the ¥alue of the
donatlon al the Ilrne of re¢tlpt w0￿d I￿t be m*erial and woujd no %ythfitont lrnpxt on the financkil poskLiTh of the
¢harlty at the year end.
The freehdd property is currently Insured for£7.25oixKII2022 e7,250,(XX)I.

I h Found
iled S
the Year
tem
Finan
31 Dece
31.12.28
31.12.22
INCOME ANO ENIX>w￿l￿[S
Donatlonsand teg
Dtsnatlons
Interest received
IrKome from Inve5trnents
L473
13,266
83
13.189
14.739
13.272
Chorft•ble a(tl¥ttl•¥
Rents Rece￿ed
Hire of Ylsltors room
Re5klellts ContrfbutlDf15toward Electwh
253.377
247.ni
7SO
5.211
5,675
259.532
253.683
Total In(¢bmb¥ r•s¢wrc
301,156
267,ICfj
EXPENDMJRE
Charfl*Je •c¢l¥lll
Wages
Rates and wat•r
Insurance
Ll8ht and heat
Telephone
Pomage and stattomry
arm System
Cleanlng
Garden & Mis￿lIar￿$
Repalrs and renewa15
96,575
4.163
8,467
34.483
1,274
818
9L037
4,493
8.126
3L819
1,818
J02
12,K15
2,414
80,947
9,492
1197
29.162
246.391
182,455
Total re50wce5 expended
246,391
182,455
N•tln¢om•
57.765
84,651