Smalles Goldie Group
CREATINfj ADVATr4TAGE
REGISTERED CHARITY NUMBER.. 225356
The Sir James Reckitt Charity
Financial Statements
31st December 2020
ICAEW
CHAR TERED
CCOUNTANTS
sly4w￿s Gr￿P k8atratthA9 namèol Go&**P4rtMishiP.

The Sir Jame5 Reckitt Charity
Content5 of the Financial Statements
for the year gnded 31st December 2020
Page
Rèference and Administratlve Detalls
Report of the Tru$iees
Report of the Irtrdependent Auditors
Statem8nt of Financial Activltles
10
Balanet Shoet
Cash Fl¢)w Staiement
12
Notes to the Cash Flow Statement
13
Notes to the Financial Statements
14 to 27

The Sir Jamès R•¢kitt Ch•rity
Ref¢rence and Adrnlnlstratlve Detalls
for the year ended 31st Oecomber 2020
TRUSTEES
Mrs S Craven Ichairmanl.
Mr J P Alherton"
Mr R M Gibson '
Miss E R Holl"
MrJHHolt"
MrPJHHolt"
Mrs C J J8nningS
Mr O J Jennings
Mr C A M8xsled
Mr N 8utler-Watts
Mrs M Fisher"
MrETCUplon-
Ms O Upton
MrRJUplon"
MrSEUpton'
Mr S J Uplon
Mrw Uplon
(retired 31.12.20201
(appointed 3.06.20201
(appointed 1.01.2020}
' tnErntser ol thE InvesimenLSuEkethnmiiteel
I" Nominated Pickenng & Hull Area Meetiw ollhe RelwJiou$ So¢iety ol Friends)
PRINI knlrA'
AnTr
Willerby
Hull
East Yorkshire
HU106ES
REGISTERED CHARITY NUMBER 225356
AUDITORS
Smalles Goldie
Chartered Accountsnts
StatsJtory Auditor
Regent's Court
Princess Street
Hull
East Yothshire
HU2 8BA
BANKERS
HSBC
3-4 Jameson Street
HU1 3JX
SOLICITORS
Rollits
Forsyth House
Alpha Court
Monks Cross
York
Y032 9WN
INVESTMENT ADVISORS
Quilter Cheviol Limited
Senator House
85 Queen Vi¢lorla Str881
LoncSon
WC2B 6AN
Pagè 1

The Slr James R•ckitt Charity
Report of the Truste•s
for th? year ¢nded 31st December 2020
The trustees present their report wth the financi81 statements of the Charity for the year ended 31st December 2020. The
trustees have adopt8d the provisions of the Statement of Recommended PrA¢li¢e ISORPI'Accounting and ReFKJrting by
Charities. in preparing th8 annual report and financ481 slatements of the charity.
The financial statemenis have been prèpaied in accordance with the accounting policiès $8t out in note$ lo the accounts and
comply with the charity's goveming document, th8 Charities Act 2011 and Accounting and Reporiing by Charities.. Stalemenl
of Recommended Practice applicable to chatities preparing their accounls in accordance with the Financial Reporting
Standard applicable in the UK and Republic of Ireland published in October 2019.
OBJECTIVES AND ACTIVITIES
Objectives and alms
The principal object of Ihe Charity is Ihat ils i1￿0￿8 be applied to such chariiable purrx)ses as the trustees think fil and which
are for the public benefit. In accordance wtth the lounderf$ wishes, causes which are Considered lo be of 8 warfike character
are excluded,. and some priority is given to Quaker causes wherever they may be. This 8mphasis on Quaker causes reflects
the lacl that the Re¢￿"tt family had been mgmbers of the Society ol Friends almost from the start of the movement. The
Charity welcomes appeals from Quaker organisations and seeks to fulfil this priority objective by supporting individual
Quakers, Quaker schools, Friends, Meètings and projects initiated by Brilain Yearty Meeting.
A high priority is also gwen to caus88 airned al bringing benefit to the people of Hull and East Yorkshire. The founder was
sponsible for many good work5 in th8 local area during his life and his foundab.on ol the Charity in 1921 ensU￿d that Ihese
would continue into the future. Consequently, the Ch8rity 18 able to satisfy this priority objectiv8 through its support ol a wide
range of local community initiab.ves and projects. The alleviation ol poverty,. support for 8gencies tackling homelessness and
substance dependerw., and the provision of facilities and opportunities for young people, are examples which feature
prorninently in the Charity's local giving. How8v8r, the Charity does not confine its grant making just lo social issues of this
kind. Viewing their role very widely, th8 trustees are just as likely lo support a residenb.al experience for local school children,
a Christmas party at a loG41 community centre, attendance at an intemats.onal lambor&8 ft)r IcK81 scouts and guides. or the
wod( of the many black and ethnic minority support groups which have been eslablish8d locally in recenl years.
A natural disaster overseas or a humanitarian crisis there might well attract a grant. parttularfy if an appeal is sponsored by
the Society of Friends ur an organisation such as Save the Children or the British Rod Cross.
In ￿VIewIng and ￿-sta￿ng th85e purposes and aims, ￿ference has been made to the Charity Commisson's general
guidance on public benefit. Alltiwng for the Quaker origins of the Charity and its empha%5 on good wo￿5 wiihin Hull and
Easl Yorf(shlre, it ￿M81n$ true that its grant rnaking is made widely available and, as Such. 18 for the public benefit.
S5gnlficant actlvltles
The trustees a￿ pleased to report that 2020 saw continued success in meeb.ng thg main aims of the Charity in spite of
difficumies creatod by th8 Cowd-19 emergency.
Many ol the grants which We￿ mado during the year supported the trustees, aim of bringing benefit lo the people of Hull and
East Yorkshire, parbcularfy 81 the lovel of local communiligs. The following few 8xamples illustrate the range of the Charity's
local grant makn'ng during 2020 and its concem for those in troubl8 or in need. Trustees gave further SUPPOrt to Emmaus,
Hull to 51JPPOrt its rough sleeper outreach programme whlch. in parthership with Hull City Council and other agencies,
engage5 wilh horn818ss people on the streets of Hull and Bridlington. The East Hull Foodbank which delivers emergency
food along with support and advice for local families in crisis received a grant. The University ol Hull was awarded an
additional gr8nt to SUPPOrt its work in combatting the Covid-19 pandemic in the I￿al area through the production of f8¢e
shields for NHS and social care workers and the selling up of a remole training programme in critical carè pracli¢e for local
healthcar8 workers, retired nurses and doctors and volunteers. A grant was made lo Teeth Team, a successful school-
based programm8 estsblished by I￿al dentists. In recogni$ing that tooth decay is Ihg most common chronic illness in
children Iwing in areas of social and economic depnvation, the project delivers a programme of 5UP8rvis8d looth brushing,
uoride vamish and education. Grants were made to OCD Support which rneets al Hull Quaker Meeting HoLsse and provides
a safe and supportive environment for ihose affected ty Obsessive Compulsive Disorder, and to th& Tuesday Aft9moon
Social C8rers Group in Hull which offers supwrt and friendship for those caring for partners diagnosed with a serious illness.
The Viking FM Cash for Kids scheme gives financial suprK)rt lo Icral families in need who are r8ferr8d by social services,
¢hildren's centres and women's refuges. Trustee5 recognised the need fo¥ ils seNices had in¢reased as $ result of the
Covid-19 emergency and approved a grant to support 115 work. Support was given to the work ol Railway Children whose
88feguarding projecl in collaboration with British Transport Poli￿ is airned at idents"fying and h8lping young people who are
escaping Irom difficult arcumstances and might find themselves on the st￿et$. The project wa5 originally launched at
Manchester Piccadilly but now extends into Yorkshire including Hull Paragon station.
Page 2

The Sir Jam•s Reckllt Charity
Report of the TTUSteg
for the year end•d 31st December 2020
OBJECnVES AND ACTIVITIES l¢ontinLted}
Signiflcant activitles Icontinuedl
Th8 village ol Leven, near Bev8rf8y, benefitted from Mo grants in 2020. The Leven Playing Field AsscKiab'on was awarded 8
grant to help it improve the site and provide better drainage and disabled a¢¢ess. The nalure parf( run by Lev8n Youth Club
received a grant to help il improve safety on the sile and provid8 electricity to the log cabin used for educational purposes.
The Hull-based charity SEED (Eating Disorder Supwrt Servioesl works to ensure that people wrth a rdnge of 881ing
disorders receive the help they need through monthly support groups and nutritional self-help groups. A grant from the
charity helped il cover its annual core costs and maintain ils dedicated resource rcK)m. The HEY Smi18 Foundation r8C8ived
the charitv's SUDL)Ort to h81p provide much needed ￿SpIte br¢aks for tèn 10&21 n￿dY families through its 'Srnile by th8 Sea,
project., whilsl Blind Veterans UK was awarded a grant in support of its work in the rehabilitation, training and care of former
service men and women trying lo adjust to sight loss and aiming for ind&pendent living.
The South Bransholme Community Associats'on in Hull. British Red Cmss (Hull and East Ridingl. KIDS Hull Family Centre
and Dove House Hospice 811 r8c8ived further funding support in 2020, 8$ did Sight Support Hull and East Yorkshire, East
Riding Voluniary Action Services IERVASI, Hull Council of Disabled People and the Home-start projects in Hull and Goole &
District and the Duke of Edinburgh Award Scheme run by Hull City CoLJncil. The national charity IPSEA Ilndgpendenl Panel
for Special Educalionl whid) works with pa￿ntS to ensure th81 children With special educational needs receiv8 the tailored
educational programme lo which they a￿ entilled, was awarded a grant lo support Its work in the Hull a￿a.
The Charity's support for the growing number of black and ethnic rninority groups in Hull was evidenced in 2020 by 8 fvrlher
grant to the Humber All-Nations Alliance which provides 8 wid8 rang8 of services for the benefit of members of the Black
and Minority Ethnic Communities In Ihe local area, particularfy aimed al the r8li8f of poverty and hardship and the promotion
018quality of opportunities. Grants were also made lo the Hull Open O¢x>rs Pr(>ject and to Bora Shabaa Refvge8 Cornmunity
Organisation. t)oth of which provido a range of support services. social events and workshops to help ￿lUgeeS and famsli85
$etUe Into their new life and to prornote inclusion and partlClP8tion. The new Welcome House, established wrth the help of
Hull City Council, was awarded 8 substantial grant to help it develop into 8 saf8 point of Contact for refUg￿S and asylum
seekers, stsffed by experienced workers and volunteers and open six days a w88k.
As these exatnples demonstrate, a larg8 nurnber of local charitable organisations acrtsss a very wide range of worthy causes
have continued to benefit from the giving of the Charity during 2020.
The Quaker objects'ves of the Charity were promoted by a ggnificant numbtrr of grants made during the year over and above
their regular support of Britain Yearfy Me8ting with an increased grant lo support its core aclivib"85 and Bncourage further
project developrn8nt. The Charitls support for Quaker education was confimied with grants to Sibford School, Banbury..
Sidcot School, North Sornerset., Leighlon P8rk. Roadiro., Ackworth School, Pontefr8Ct'. and the Iwo Quaker schools in York,
Bootham School and The Mount.
Grants Were also fflade lo Woodbrooke Quaker Study Centre, Young Friends General Meeting, West Midlands Quaker
pea￿ Education Proj8Ct and the Ulsler Qu8ker Servic8 Committee. The Charity's support of the QLJaker Council for
European Affairs was maintained in recognition of the value of it5 work in promoting p9ace and human ri9hts and enssjring a
Quaker Vol￿ is heard in these troubled b"mes. The Charity conb.nued its suppori Cbf Quaker Social Action which offers 3
range of services to th058 who are managing on low incornes and strugglin9 to pay for essentials without getting into
financial diff￿u￿.es.
In addition to their regular support of Hull Quaker Meetlng and the Hull and Pickering Quak8r M88ting, tfuslees approved an
addilion81 gr8nt to Ihe latter to help pay lor a vital repair to the healing system al the Pickering Meeting House. Granis were
also made lo assist with building irnprovemenls at Scart)(>rough Aleeling House and at the Rookhow Meeting House in West
Yorkshire. Trustees agreed to an earlier than pl8nned grant payment to Quaker Tapestry to help il cover ossential expenses
gs the Covid-19 emergenoy had drastically affected its income flow. Quaker activities for young people in the UK were
5UPtx)rted in 2020 with a furth8r grdnt tr) yorkshi￿ Friends Holiday School.
Al their November meeting, trustees received a p￿SentatiOn by two mernbers of the QLJaker United Nations Off￿e (Jonathan
Woo118y, Director and Lindsey Fielder C(KJk, representative for Climate Change). This was in support of an appeal for
funding to support th8 eore activities of QUNO. It was agreed that OUNO would provide detailed finanoial plan5 lo support
ihe appeal and that a sub-committee of trustees would 8SS8SS these and Make recommendations to the full Iruslee body.
The willingness of the Iruslees to support worthwhile overseas causes was evidenced in 2020 by their continued suptx)rt for
Farm Afn"ca which promotes improved fatming efficiency so that African farmers can improve iheir crops and build lor the
future. Following lurther enquiries by iwo ol th8 trustees, it was agreed that Int8matsonal Rescue Committee should be
awarded a grant in response lo ils appeal on behalf of the cibzens of Beirut suffering in the wake of the devastats'ng
explosion at the port f8¢ility there.
Page 3

The Sir Jam•s R•ckitt Charity
Report of the Trustw8
for the year ended 31st December 2020
OBJECTIVES AND ACTIVITIES Icontlnuedl
Slgnificant actlvltles l¢ontinuedl
The Charity continu85 to host monthly meetings of the Hull Granl Makers Consortium which considers cases ol individual
need presented by many local agencies such 8s Social Services, the Salvation Army, the Hull Domestic Abuse Pmject, the
Teenage Pregnancy Support Servi¢e and many of the local Children's Centres. AroLJnd 40 applications a￿ considered at
each meeting in collaboration with the Hes4ewood Children's Trust which was a Go-founder mernber ol the Consortium in
1995
Consortiurn grants are generalw made in the form of vouchers to be exchanged at loca1 suppliers for an ilern or fumiture or
household equipmenl. This part of the Charity's work clearfy satisfies its aiTn of h81ping to alleviate povety locally", and the
benefits brought a￿ direct and tangib18. Buying basic fumiture for a homeles5 individual being moved inlo accommodation..
replacing a broken washing machine for 8 har8&8ed single mother living on benefit.. or hfjlping a victim ol domestic abuse
relocate to a safer location, ar8 decision5 which make a real dIffe￿nCe to the lives of the Charity's beneficiaries. The Charity
made 318 such grants to individuals and families in need during 202012019.. 3861 at 8 oost of £93,88012019'. £105,088).
One ol the trustees attends each rn881ing of the Consortium and the trusL8e5 ar8 given a full report on the work of the
Consortium at their twice-yearfy rn8etings. The trustees regard this contribution to the alleviation of poverty in Hull as being
particulady important. It is a Glear demonstrdtion of one of Iha Ch8riVs main purposes being carried forward for the public
benefit.
During 2020 trustees continued their pro9fdrnme of enquiries into organisations which are in receipt of granis from th8
Charity, although the coronavirus emergency meant that these enquiries had lo be conducted mostly by telephone rather
than by personal vi5Fis. Each year ar(Trund 60 to 70 organisatrons ara the subje¢l ol an enquiry by a trustee whose purpose is
to check on the well-being and needs of each grant recipient and to confim their prop8r use of the Charity's support. In 2020
these enquiries included ChurGh Hotneless Trust which provides social housing ill Hull and has a large presence In thè
Bransholme a￿3.. Hull Children's Adventure Society which provid85 holiday breaks for Hull families who mwJht otherwise be
unable to afford one,. and Candlelighters Trust Fund which is based at Leeds General Hospital and supports famil*s who
have a child suffering from cancer.
Other organisations In 2020 which w&re the subject of a trustee enquiry included Di5abtlity Sports Yorkshire which does
excellent woth in provKling sporting opportunities for disabled peopl8 through coachir￿ in schools and athletics events", Hull
University Union Community Action IHUSSOI which offers opportunities for student voluntary service in the l(Kal community
especially with vulnerable peop18 and in c8re homes., and the Club Hous8 Cornmunily Centre in East Hull which is situated
in the Garden Village, built in 1W7-1 and the 'brainchild' of Sir James Reckitt founder of the Charity. All visits and
enquiries rnade by trustees are reported lo the fvll Iruste6s' meetings where r9coFnrTTendalions for fvture action and support
are con&￿e￿d.
In November 2019 it had be8n 8greed that the independent consultancy t8am ol John Gray and Rosie Camall and the
trustee working paty Gonlinue their lask of investigating the most effertive ways of promoting Quaker values through
support of Quaker education begun in 2018. 11 was decided lo explore th8 p05sible development of a GCSE-accrediled
Peace Education course which might be initially developed and piloted in collaboration with the Quaker schoo15. It was
ag￿ed thal the working party and consultancy team be asked to tak8 thi5 work further, and a budget or £15,0￿ to support
this worf( was approved. Unfortunately, the Coronavirus 8m8rg8ncy then intervened, and Ihe committee concluded that it
was not feasonabl8 lo expect teachers to give much time and thought lo 8 new in-depth curriulum project in the
circumstanc8s. Instead, Ihe commillee is now proposing an inform81 sludent-focussed approach to the project involving
internctive online sessions open lo students from all the Quaker sch￿1$. This will enable students to coniribule lo th8 scope
and ¢onlonl of future peace educatson curriculum developrnenl and be a good way of keeping the project g0Sng.
It ha5 lon9 been a wish of the trustees to est2bllsh stronger links wth Reckitt Benckiser Group plc Inow ￿brarTrded as
R6ckittl which 15 the successor company lo the family firm from which the Charity emanated. Good progress had been made
in 2019 with a joint meeting of trustees and key R8ckitt personnel and a guided tour ol the impressive new facilitie5 built al
the factory sile in advance of the official opening. Unfortunately, once again PrOg￿$S was disrupted in 2020 by the
coron8virus emergency. Plans for the Novemb8r trustees meeting to be hosted by Reckitt had lo be Cancelled and the
monthly Consorts'um meetings, again hosted by Reckitt, have not been held there since Marcj).
The Charity's policy documents with ￿gard to investrnents, financial prO￿dureS and grant makiro were reviewed in
November 2020 and several small aller8tlOn5 made lo tske account ol changing circumstances and practices.
Page 4

The Sir Jamos Reckltt Charity
R•port of the Trustees
for the year ended 31st December 2020
OBJECTIVES ANO ACTIVITIES l¢¢)ntinuedl
Slgnificant actlvlties Icontlnued}
The frequ8nl references lo Covid-19 so far in this report confirm the inevttable impact it h88 had on the woth of the Charity
during 2020. The bNo full rneeting5 of trustees in April and November had lo be held remotely. Sirnilar arrangements had to
be made lor the fft meetings of the1nvestment Cornrnittee and most meetings of the Consortium. Whilst enabling the work
of th8 Charity to contsnue in a ￿aSonablY efficient rn8nner, the loss of direct personal inleraclion 1$ a source ol regret.
In the eady days of the pandemic, ihe Charitls investment managers (Quilter Cheviotl were asked lo conduct a thorough
review of the Charitv's ￿rtfoliO and the irnplicalions of the emergency for market valu95 and income streams. Acting on the
advice from Quilter Cheviol that some reduction of income was inevitable, rt was decided to exercise some caution when
estirnating the Chanty's income over the next year and wh&n Considering the award of grants.
Th8 on-going ernergency a150 raised questions about how to (Jeal with new appeals oth8T than on the nomal six-monthly
rneeling pattem. It was becoming clear at Ihat point, that ¢Ofonavirus-related appeals were starting tu be p￿sented from
charities whose own work and inctsme was being thr8atened. It was, therefo￿, decided lo establish a SL5b-comrnittee of
trustees. with a budget of £150,000, to consider such appeals. This sub-committee m81 online in June 2020 and approved
$8V8n grants at a total spend of £50,500. A further meeting planned for Seplemb8r 2020 was cancelled because, for
whatev8r reason, the number of coronavirus-￿lated appeals had significantly ￿dUCed in number.
Grantmaklng
The Charity's grant guidelines 8re available on request and on-line and give practical advic8 to grant seekers to help them
rnalch their funding appeal to the expectats.ons ol the Charity. The Charity receives fnany 8pplications for Ihe fvnding of
proie¢ts dunno the course of 8 year. These are assessod lo ensufe compatibility with the Charity's guidelines and presented
in surnmary lom for the decision of trustees at their Iwiee-yearly meetings. Although the trustees prefer lo make grants lo
regisler8d chantses, Ihey will rnake grants lo non-registered charib"es. They will also make grants to individua15, particularfy
Ihose living in the I￿al area and who arè In need since the reli81 of poverty is an important conc8m of the trustees.
An analysis of grant payments is shown in note 5 to financial 5tatern8nts and provides a useful summary of the areas in
which the trustees concentrate Ih81r 5UPlXJrt. A more detsiled analysis showing organisations ￿CeivIng support of £2,000 or
more is shown in note 17 to the financial statements.
FINANCIAL REVIEW
Principal fundlng sources
At 31st De¢ernber 2020, ihe value of the Charity's investment portfolio was £52,145.03912019'. £49,139.215}. Th8 Charity's
investment income for the year ended 31st D8cember 2020 was £1,575.521 12019.. £1,541,182). After administratlV8 cosls,
including support and governance costs, the balance available for distribution was £1,507,931 12019.. £1.457.8221 and ihe
Charily dislfibuled grants totalling £1,273.89612019'. £1,341,717).
Invg$tment policy and obj¢ctiv•s
The investment objective of the trustees is to maintsin a continuing increase in the di5po$able income ol the Charity al a ral8
equal to, or g￿ater than, the rate of inflaiion las measur8d by the Retail Price Index), whilsl preserving the real value of their
endowrn8nt fund in secure investm8nts.
The rnanagement ol the Charity's portfolio is undertaken by Quilt8r Cheviot Investment Managernenl Limited IQCI. A sub-
comrnittee ofthe trustees- the Investment Committee- supervises th8 work of QC and meets regularfy with them in order to
review and adjust the portfolio.
With regard lo reslriclion in Investmenis, the truste85 have resolved that 'no investment shall be made in th8 stock5 or
sharès of any company, the aims or products of which, in the Iruslees, opinion a￿ of a 'si9nifieant wartike nature
In the year under review, the capital value ol ihe Charity's portfolio rose by 6.2¢/o compared with 12.5°/¢ de¢lin8 in the capital
relum of the FTSE All Share Index. The income retum of 3.0°k me8ns that the tr)tal ￿turn for 2020 was a net increase of
9.3°k. This compares to a toial return of 2.2010 for the MSCI PIMFA Growth and a total decline of -9.8 /. for the FTSE AII
Share Index. Reckitt Bencki8er Group, which rernains the largesl single pogtion within the portfolio, delwered a to181 r8turn
019.5¢/), demonstrating the demand for its products driven by the arrival of the pandernic. Elsewhere, strong, maTkel beating
retLJrns ffom North America, Europe and Asia ensured an all-round successful performance. In particular wiihin North
AmerKa, Amazon and Apple were standout lealures, delivering total ￿turnS in excess of 70ts/0'. similar to R8, both proved
benefiuaries of consumer behaviour during the pandemic. In the perioty ahead, the managers exp8¢t to See 8 8hift in focus
towards opportunib'es across Asia and the Emerging Martets.
Rès•rves policy
Trustees have a reserves policy which aims to maintain unrestrict8d funds, whKh ar8 the fr8e r858Tv8s of ihe Charity. at a
rninimym level. This is to allow sufftcient funds to be available for necessary govemanGe and support costs," to honour
eKiStiro eommitments and about three months routine grant rnaking.. and to provide for emergency gr8nl applications. The
level of re*rve$ at 31st Decgmber 2020 stood at a surplus of £2,441.48912019". surplus of £2.101,5331.
Page S

The Slr James R•ckitt Charity
Report of the Trust￿8
for th• year ended 31st December 2020
FUTURE PLANS
Over the next twelve months, the Irust8e8 will hold two full meetings lo discuss grdnl applications and the management ol
the Charity. The Inv8Stm8nt Committee will rneel Nwce with the Charity's investment managers and consider adjustments to
the portfolio. The trustees will ¢ontinue their programme of enquiries into chari*i85 and organis81ions which a￿ re￿Iving
grants in order to review progress and report ba(* to the meeting of ￿SleeS. How all of th88e meetings and enquiries a
conducted will be detemined by progr88s made against the coronavirus em8rg8ncy.
Attention will continue to be paid to any ch8nges in charity legislation and to relevant guidance issued by the Charity
Comrnission which affect the work and status of the Charity.
Further consultancy reports on the Charity's support for Quaker educalion commissioned by the trustees will be considered
at length and is likefy to lead to new approaches by the Charity to the whole question of fvnding of Quaker causes.
It is intended that improved links with Friends House in London and the Reckitt 88ncki88r company in Hull can be developed
further to the benefit of all parties.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng docuff*nt
The Sir James Reckitt Charity I'th8 Charity'l is constituted under a trust deed dated 25th May 1921 and is a regislered
charity number 225￿6.
Recruitment and appaintmènt of new trustees
The appointment of trustees of the ChaThty is made by the existing trustees and is confirmed by Deed of Appointment. The
trust deed gives authority to appoint one new trustee who is a mernber ol the Pickering and Hull Aroa Meeting of the
Religious Society of Friends (Quakers). This appointment is currently held by Mr5 M. Fish8r.
A sub-cornmittee of tmstees which serv8s as an Appointmenis Committee is established when needed to Mlentsfy and
encourage potenlial new Iru51ees lo replace those who have left the service of the Gharity.
The names of Ihe trustees at 31 st December 2020 are sel out in page 1 of this Report. Ai trustees give their time voluntari
and receive no benefit5 frorn the Charity. Any trustee expenses reclaimed from the Charity are set out iri Note 8 to Ihe
financial statement$.
Organisatlonal structure and decision makin9
The trustees meet twice a year to discu35 the Charity's affairs and to alloG8te grants and c8n make such regulations as to
ihe general managgfTl8nl of Ihe Charity as they think fit.
A sub-committee of trustees 88rve5 as an Investment Committee and manages the investments of the Charity wrth
appropriate professional guidanc8, this being provided cU￿entlY by Quilt8r Ch8VlQt Investment Management Limited. The
committee me8ts with the investrn8nt managers fvlice a year.
Further sub-committees are sel up from time lo time lo consider curr8nt issues. Al the present lime there are 5ub-
committees In pla¢e to consider coronavirus-related appeals, Quaker aducation and potential fvnding of the Quaker United
Nations Office.
The routine man8g8menl of the affairs of the Charity is th& responsibility of the iwo part-lime salaiied administrators.
IndLtctlon and Ir•lnlng of new trustee6.
The procedure for introducing new Iruslees includes information meetings wiitt the Chainnan and the administrator5 and the
provision of relevant dwuments and procedure papers. The flrsl rtsviews of grant recipients undertaken by new Iruste8S 8re
generally done in combination with an existing trustee.
Key rnanagement remuneratlon
Key management remuneration is ag￿ed by th8 trust8es 8fKI is adjusted annual in respect of infialionary increases.
Risk manJ￿rnent
The Iruslees have the duty to identify arml review the risks to which the Charity 15 8xposed and to ensure appropr￿te
ontrols a￿ in place to provide reasonable assurance ag8inst fraud and error.
Th8 truste88 confimi that systems are in place to mitigate risks which the Charity might face. The policies of the Charity with
regard lo investments, financial procedures and grant rnaking are clearfy set down in policy statements which, in part,
address issues ol potential risk. These policy statements are 811 ￿vieWed on a regular ba515 and amended, where necessary
Lo lake account of changing circUmstan￿S and practic8S and made available lo all trustees.
Page 6

The Sir James Reckitt Charity
Report of the Tru$te85
for the year trnded 31st December 2020
STRUCTURE, GOVERNANCE AND MANAGEMENT Icontlnued)
Risk management Icontinuedl
Org8nisations which ￿ceive regular granis from the Charity are subject to remew by tnjstees by rne8ns of an èstablished
eyele ol visits and enquiries. All grants which arg phased ovgr iwo or th￿e years are made striclly condiltonal on Ihe receipt
of salisfactory pwress reports and are subject to the agTeernent trf the trustees al each stage. It is also customary for a
ntjmber of new appeals lo be made the subject of an enquiry by a trLJStee befo￿ a grant is decided. parti¢ul8rly if it is felt
Ih8re are matters needing closer examination or if the polenlial grant was large. Every year around 60 to 70 organisations
are made the subj8Ct of a visit or enquiry by a trustee. This figure rep￿sents around 25Vv of the total number of
oroanisations which r8C8ived o Qfant during the year.
The importance of full compliance wlh all legal requirem8Nts is understood and are relevanl issues are aired and dlscussed
al meets'ngs. The Charity 1$ a member of the Association of Charitable Foundations and trustees hav8 full access to news
and advi￿ Provided by the Assoaation. Close working relationships with the Charity's Inv8strn8nt Managers and
A¢¢ountants are irntx)rt8nl in 8nsuring that awarene55 of areas of potential risk can be maintained and addr8ss8d.
STATEMENT OF TRUSTEES RESPONSIBILITES
The trust6es a￿ responsible for preparing ihe Trustees, Report and the financial statements in accordance wtth appllcable
law and Uniled Kingdom Ac¢ountlng Standards (United Kingdorn Ggnprally A¢￿p(ed AccountiryJ Prdcbcgl.
The law applicable to charities in England & Vvales, the Charities Act 2011, Charity (Accounts and R8POrtsl Regulations
2008 and the provisions of the trust deed require5 the Iruslees lo prepare financial slaiements for each financial year which
give a true and lair view of the stale ol affairs of the Charity and of the Incoming resources and ap￿IcatIon of reSoUr￿s,
including the incorne and expenditure, of the Charity for that P9riod. In preparing these financial statements. the trusleès are
rAniiifpfl tn.
select suitable accounting policies and apply them consistently.
observe the methods and principles in the Charities SORP.
rllake judgements and estimales thal a￿ reasonable and prudent.
sl8le whether applicable accounting standards have been followed, subjed to any material departures disclosed an
8xplained In the financial statements.
p￿pare the financia1 statements on the golng concem basis unless it is inappropriatè to presume that the Charity will
conb'nue in operalion.
The trustees are responsible for keeping propel awounb.ng records which disclose with reasonab18 accuracy at any time Ihe
finanaal position of the Charity and enable them to ensu￿ that the financial statements comply wrth the Charities Act 2011.
the Charity (Account5 and Reportsl R￿UlatIOnS 2008 and Ihe provisions of the Irust deed. They ar8 a150 responsible for
safeguarding the assets of th8 Charity and hen￿ for taking reasonable steps for the prevenbon and (Jeteth"on ol fraud and
other irregularities.
Approved by order ol ihe bo81(J of Imstèes on 26th May 2021 and signed on ils behalf by .'
JOCL ,
Mrs S Craven IGhaimianl- Trustee
Page 7

R•port of th• IrFdependenl Auditors to the Trustses of
The Slr James Reckltt Charity
Opinion
Wg have audited the financial statements of Thè Sir J8m8s Reckitt Charity (the charity'l for the year ended
31st December 2020 which comprise the Statement of FinarFcial Activities, the Balance Sheel, thè Cash Flow St81grnenl
and not8S to the financial slatemenls. including a summary of significant accountiThJ poliaes. The financial reporting
frarnework that has been applied in their preparailon Is appli¢able law and United Kirodom Accounting Sland8rds
(United Kingdom Generally Accepted Accounting Practice).
In our opinion the financial stat8rnenls'.
give a true and fair view of the Stale of the charity's affairs as at 31st Docernber 2020 and of ils incoming resou￿￿5
and application ol r8sourc8s, for the year then ended",
have been properfy p￿pared in a¢cordance with United Kingdom Generally A¢￿PIed AccountirrfJ Practice., and
have been prepa￿￿ in accordance with the requirements ofthe Charities Act 2011.
8asls for opinion
We conducted our audit in accordance Inlemational Standards on Auditing IUKI IISAS IUK}l and applicabk law. Our
responsibjlities under those standard8 are further described in the Audilors, ￿SponSibl1111es for the audit of the financial
siatemanls seetion of our report. We are independent of the charity in accordance with the ethical requirements th* a
levanl to our audit of the financial stslemenls in the UK, including the FRC'S Ethical Standard, and we have luifilled our
other ethical ￿SponsIbl11118s in acry)rd8nce with these requirements. We believe that the audit evidence we have
obtained Is sufficient 8nd appropriate to provide a basis for our opinion.
Concluslons r•latiny to golng concern
In auditing the financial st8t8m8nts. we have concluded thal the trust885' use of the going concem bas6s of accounting in
the preparalton of the financial statements is appropriale.
Based on the work we have perforrned. we have not Identified any m8t8ri81 uncertainties relating to event5 or conditions
that, individually or ¢olle¢tively, rnay cast significant doubt on the charity's ability to continue as a going concem for 8
penod of at least Iwelve months frorn when the financial statements are authorised for Tssue.
Our responsibilili8s and the responsibilities of the tnJste&s wlth rgsptrct to goiry c4)ncern are described in the relevant
sects'ons ofthis ￿pOrt.
Other Infomiation
The trustees ar8 responsible for the other infom)ation. The other infomation comprises Ihe infomation included in the
Annual Report, other than tre f1n8ncial stalements and our R8port of the Independent Auditors thereon.
Our opinion on the financAal slalemenls does not cover the olhor information and, except lo the extent othèMi88 explicitly
stated Sn our ￿port. we do not express any form of assurance conclusion Ihereon.
In connection with our audit of the fin8ncial statements, our r8sponsibility is lo ￿a￿ the other infomialion and, in doing
SO, COll5id8r whether the other inlomialion is matenally Inconsistent with the financial statement5 or our knowledge
obtained in the 8udil or otherwise appears to be materially misstated. If we idents.fy such material inconsistencies or
appa￿rnt material rnisstalements, we are reqUI￿d to delerrnine whether there is a material misstat8rnenl in the financial
statements or a material misstalernent of the other information. If, based on the work we have perfome(J. we conclude
that there is a material misstatemenl of this oth8r information, we are required to report thal fact. Vvg have nolhirvJ to
report in this regard.
Matters on which we are required to report by •xe•ption
Wg have nothing to report in respect ol the following matters where the Charitses Act 2011 ￿quI￿8 us to report to you if.
in our opinion..
the infomiation given in the Report of the Trustees is inconsistent in any Mate￿&1 respect wlh the financial
51alernents; or
sufficient accounting records have not ￿8n kept,. or
the financial statements are not in agr88menl wlh the accounting ￿CordS and relums., or
we have not re￿Ived all the Informab'on and explanations we require for our audiL
Responslbllltles of tru$t••$
As explained more fully in the Statem8nl of Trustees, Responsibilities, th8 trustees are responsible for tho preparatlon of
the financial sialements which giv8 8 true and fair view, and for such intemal control as the trustees detemiine is
necessary to enable the pr8paration of financial siatements ihat are f￿e from material misstatement, whether dtse io
fraud or error.
In p￿panng the finaneial statem8nts, the trustees a¥e responsible for assessing (he charity's ability to continue as
going concern, disclosing, as applic8b18, matters related to going concem and using the going concem basis of
accounting unless the trust885 either intend to liquidate the charity or to Cease operdlions, or have no realistic altemalNe
but lo do so.
Page 8

Report of the Independent Audltors to the Trustees of
The Sir Jam9$ Reckltt Charlty
Our responsibilitleg for the audit of the flnanclal statements
We have been appoinled as auditors under Section 144 of the Ch8rili85 Act 2011 and ￿port in accordance with the Act
and relevant regulations made or having affect thereunder.
Our objectives are to obtain reasonable assur8￿8 about whether the financial stalernents 8$ a Who￿ are free from
material misslatement, whether due to fraud or 8rror, and to issue a Report of the Independent Auditors that includes our
opinion. Reasonable assuran￿ is a high lev81 01 assuran￿ but is not a guarantèe that an audit conducted in
accordance with ISAS IUKI will always delecl a material misstatement when It exists. Mi851atements can arise from traud
or error and are wnsidered material if. individually or In the agg￿gate, they could reasonably be expected to inlluence
the economic decisions of users taken on the basis of these financial stalern8nls.
Irregularities, including fraud, are instances of nOn-￿ThpL1ance with laws and regu18tions. We design procedures in line
with our responsibilitiès, outlined above. to dele¢t material misstatements in Tespecl of irregularities, including fraud. The
extent to which our procedures are capable of detecting irregularities, including fraud is d8tailed below..
Our approach to identifying and assessing the risk5 of material misstatement in re5pe¢t of irwularities. including Iraud
and non-compliance with laws and regulations, was focused on specific laws and regulations which we considered
may have a direct material effect on the financial ststements or the operations of th8 chanty, including The Charity Act
2011, d8ts protection laws and employrvenl laws. An underslanding of thes8 laws and ￿gUlationS was obtain8d
through discussion wth management and insp8Cting legal and ￿gUlatOry corresw)nden¢e.
We assessed the susceptibility of Ihe ch8rity's financial statements to material misstatement. including obtaining an
undersi8nding of how fraud might occur. by making enquiries ol management and considering Ihe intemal controls in
place to mitwjale risks of fraud and non-cornpliance with laws and regulations.
To address the risk of fraud Ihrouqh manaqern8nt bi8$ and override of controls, we perform¢d analyb.cal procedures lo
identify any unusual or unexpected relationships., t8st8d joumal entries to identify unusual transactions: assessed
whether judgements and assumptions made in detemiining the accounbw 8stimates were indicalive of polenlial bias.,
and investigated the r8tionale behind significant or unusu81 transactions.
In response to the risk ol irTegulari(ies and non-cornpliance with laws and regulations, we designed procedures which
includecj, but were not limited to." agreeing financial statement disclosures to underfying supporting documentation.,
r8ading the minutes of rneetings ol Ihose charged with goveman¢e', enquiring of manag81ll8nt as lo actual and
potential litigation and daims., and reviewing correstK)nd8nce with HMRC. relevant regulators and the parent
company's and group's legal advisors.
Due to the inherent limi131ions ol an audit, there is a risk that we will not d8tect all irregularities, including those leading to
a material misstatement in th8 financial statements or non-compliance with regulalion. This risk incr9as8s the more Imat
compliance with a law or regulalioll is removed frorn the events and transactions reflecled in the finanGial statements, as
we W￿11 be le55 likely lo become aware of Instances ol non-complianc8. Au(Siting standards also lirnit the audit procedures
required to idenb.fy non-compliance with laws and regulab.ons to enquiry of the dir¢¢lors and other management 8fKI the
inspectson of regulatory and legal correspondence. if any.
The risk is also grèatèr regarding irregularitr'8s 0￿Urring due lo fraud rather than error, as fraud involves intention81
Concealment, forgery, wllusion, omission, or rnisrepre58ntab"on.
A further description of our r9$ponsibilities for the audit ol the financ4al slalemenis is located on th8 Financial Reporting
Council's website al www.frc.org.uklauditorsresponsibilities. This descriptson fomis part of our Report of the Independent
Auditors.
Use of our report
This report is solely to the charity's trusiees, 0$ a tM)dy, in accordance with SeGlion 144 of the Charities AGt 2011
and regulations made under s8cts.on 154 of that Act. Our audit work has been undertaken so th81 we mighl state to tha
harty's trustees and the Iruslees those matters we are required to state to them in an auditOfS' Teport and for no other
purpos8. To the fullest extent permitted by law, we do not accept or assume responsibility lo anyone other than the
charity and tho eh
'ty's trustees as a body, for our alsdil work. for this retY)rt, or for the opinions we h8V8 fomed.
t6phen Bramall BSC, FCA (Senior Stalulory Audilorl
For and on behalf of Srnailes Goldie
Chartered Accountants
Slalutory ALJdittrr
Eligible lo act a$ an auditor in lerrns of Se¢tion 1212 of the Companies Act 2006
Regent's Court
Princess Street
Hull
East Yorkshire
HU2 8BA
26th May 2021
Page 9
Type text here

The Sir James Reckltt Charity
Statement of Financlal Actlvltles
for the year ended 31st December 2020
2020
Total
fundB
2019
Totsl
funds
Unrestricled
fund
Endowment
fund
Notes
INCOME AND ENDOWMENTS
FROM
Donations and legacies
Inv8stsll8nt income
250
1,575,521
250
1.575.521
1,541,182
Total Incorne
1,S75,771
1 575,771
1,541.182
EXPENDITURE ON
Raising funds
142,841
142,841
141.699
Charitabl¢ ¥etlvltl•s
Children
Education
Eldarfy
Environment
Medical
Religion
Social Worf
Youth
54.214
256.249
18,179
9.679
105.928
136,283
703,567
57,637
$4,214
256,249
18,179
9,679
105,928
136.283
703,567
57,637
41.597
301,827
18,332
18,332
95.994
146,445
743,668
58.882
Total •xpendlture
1 341736
142,841
1,566,776
Nel gainslllossesl on
investments
3 061.319
3 146488
6,701,416
NET INCOME
319,204
2,918.478
3,237,682
6,675,822
Transfers b•twè•n fund8
20,752
20,7521
Net movement in funds
339.956
2,897,726
3,237,682
6,675,822
RECONCILIATION OF FUNDS
Total funds brought fornard
2,101,533
47,669,527
49.771.060
43,095,239
TOTAL FUNDS CARRIED
FORWARD
2,441489
50 567,253
53,008,742
49,771,060
The notes fom part of these finanrial statements
Page 10

The Slr Jame5 Reckitt Charfty
Balan￿ Sheet
31st December 2020
2020
Total
funds
2019
Tot81
funds
Unrestricted
fund
EndowTh8nt
fund
Notèg
FIXED ASSETS
Investments
1,539,086
50,605,953
S2,145,039
49,139.215
CURRENT ASSETS
Doblors
Cash al bank
12
68.950
848 707
88,950
848,7Q7
44,578
721,459
917,657
917,657
766,037
CREOITORS
Amounts falling due within one
year
13
15,2541
38.7001
53,954
129,1921
NET CURRENT ASSETS
902 403
38 700)
8fj3 703
636,845
TOTAL ASSETS LESS
CURRENT LIAeiLITIES
2,441,489
50,567,253
53,008,742
49.776,060
r.RFniTnR<
Amoynls tslling due after more
than one yeaf
14
5,0001
NET ASSETS
2.441,489
50,567,253
53.008,742
49,771,060
FUNDS
Unrestricted funds
Endovmient funds
15
2,441,489
50,587 253
2,101,533
47.669,527
TOTAL FUNDS
53,008,742
49,771.060
The financial slalements were approved by the Board of Trustees on 26th May 2021 and were signed on its bohalf by..
. CACL JGA
Mrs S Craven IChairmanl- Trustee
The notes fom part of these financial statements
Pag8 11

The SÈr Jam•s R•ckitt Charity
Cash Flow Statement
for the year ended 31st December 2020
2020
2019
Notes
Cash flows from operating xtivitiOS
Cash generated from operalions
11,448,273)
11,496,537)
Net cash used in operabrvj activiti8S
1,448,273)
1,498,537)
Ca$h flows from Inwsting actlvltles
Purohase of fixed asset investmenis
S818 of tsngible fixed assets
Inve51menl rnanagemenl lees
Interest received
Dividends received
15,506,081)
4,997,270
1140,6651
216,033
1,359,488
17.378,1281
7,440,144
1181,4941
81,062
1,460.120
Net cash provided by investing activities
926,045
1,421,704
Change In cash and cash equlvalents In
the reporting period
Cash and c35h ¢qui¥818nts at the
beglnning of th¢ r•p¢rtlng perlod
1522,228)
176,8331
1,561,077
1,637,910
•8h and cash equivalents at the end of
the reporting perlod
1,038,849
1.561.077
The notes form part of these finanaal statements
Page 12

The Sir Jamos Reckltt Charity
Notes to the Cash Flow Stat8m•nt
for the year ended 31st December 2020
RECONCILIATION OF NET INCOMEI{EXPENDITUREI TO NET CASH FLOW FROM OPERATING
AGTMTIES
2020
2019
Net Income for the reporting perlod las per the Statement of Financial
Aetivitiesl
Adjustments for..
Gain on investments
Dividends received
Investmenl mallagemenl f88S
Foreign exchange movements
Iftte￿St ￿ceiVed from investmants
llncreaseyD￿re8S￿ in debtors
Decrease in creditors
3,237,682
6.675,822
{3,146,4881
{1.359,4881
142,841
16,701,416}
11,460,120}
141,699
11461
181,0621
7,439
80 7531
1216,033}
124.372}
8241S}
Net cash used In operalions
1,448,273)
1,498,537)
ANALYSIS OF CHANGES IN NET FUNDS
At1.1.20
Cash flow
At 31.12.20
Cash at bank
Cash held by investmenl managers
721.459
839,618
127,248
649,4781
848,707
190,142
Total
1 561,077
522 2281
1.038.849
The cash held by investment managers is not avai18ble to tha charity for Ihe furtheran￿ of Gharitab18 activities,
as it is held as part ol the charity's endowment fvnd.
Page 13

The Sir James Roekitt Charity
Notes to the Financial Statements
for the year ended 31st December 2020
ACCOUNTING POLICIES
Basis of preparing the financial statem•nts
The Sir JaTnes R8ckitt Charity 18 consts'tuled by a deed of trust and registered with the Charity Commtssion in
England I Wales. Th8 princip818ddress is given in the Reference and Administration Details on page 1 of these
financial stAtements. The nature of the charitys operations and principal activities are set out in the Report of the
Trustees on pages 2 10 7.
The charity constitutes a PLJblic benefit entity as defined by FRS 102. The financial statements have b88n
p￿par8d in accordance wth Accounting and Reporting by Charities.. Slalernent ol Recommended Practice
applicable to charits.es p￿paring their accounts in accordance with the Finaneial Reporting Siandard applic3bJe
In the UK and Republic of Ireland issued in October 2019, th8 Financi81 Reporbng Standard applicable in the
United Kingdom and Republic of Ireland IFRS 1021, the Chariti85 Act 2011 and UK Geneially Accepted
Accounting PTactiC8.
The financial statements have been prepa￿d lo gNe a 'tfue 8nd fairf view and have departed from the Char5bes
(Accounts and Reptrrtsl Regulations 2008 only to the extent required to provide a 'true and lair vlew. This
departure has involved following the Accounting and Reporting by Charities.. Stalem6nt ol Recomrnended
Practice applicab18 to charities preparing their accounts in accordan￿ with the Financial Reporting Standard
applicabl8 Tn th8 UK and Republic of Ireland issued in October 2019 rather than the Accounting and Reporting by
Charities.. Statement of Recommended Practice effective from 1 April 2005 which has Sin￿ been withdrawn.
The finaneial statern8n& are prepared on a going concern basis under the historical cost convention, modified lo
include certain it8rn8 al fair value. The financial statements are presentsd in sterfing which is the functional
cul￿nCy of th8 charity and rounded io the neafest £1.
The signifiGanl ac¢ounling policies applied in the preparation of these financial statements a￿ $8t out below.
These polieies have be8n consistently applied to all years presenle¢J unless otheiwise stated.
Going concern
The financial stslerTTents have been prepare(J on a going concern b8sis as the trustees believe that no material
urTcertainties exisl. The Iruslees have considered the lev81 of funds held and the expected level of income and
expenditure for 12 rnonths from aulhorising these financial statements. The budgeled income and Bxpenditure is
s¢Jfficienl with the levol of reserves for the charity to be able lo Continue 8s a going concem.
Incomè
All incom8 is rèwgnised in the Statement of Financial Aotiwties Or￿ the charity has entitlement to th6 funds, it is
probable that the in¢ome will be re￿ived, and the amount can be MeasU￿d reliably.
Expenditure
Llabiliti85 are recDgnised as expenditu￿ as soon as trere is a legal or constructive obligab'tsn committing the
charity to thal expenditure, il is probable that a transfer of economic benefits will be ￿QuIred In sett18rnent and
the amount of the obligation can be measured r81iably. Expenditure is accounted for on an accruals basis and
has been classified under headings that aggr8gale all cost related lo the category. Where ¢osls cannot be
directly attributed lo particular headings, they have been allocated to activities on a basis ¢onsistenl the use
of resourGes.
Grants payable are charged in the year when the offer is made except in thcse cases Ihg offer is conditional,
such grants being r8cognised as expenditure when the conditions attaching are fullilled. Grants offered subject to
ondilions which have not been m8t at the year-end date a￿ noted as a commitment but not accrued as
expenditu￿.
All resources expended a￿ inclusiv8 of irrecoverable VAT.
Ralsing funds
The cost of generafjng funds consist of investmenl management and certain legal fees.
Charltable actlvlties
Cosl of charitable activities include grants made and an apportionment of overhead support costs as shown in
note 4.
Allocatlon and apportlonm¥nt of costs
Overhead and support costs have been allLKated first between charitable activities and governan￿. Ovethèad
and support costs relating to thari18ble activities have been apportioned based on the value of grants made. The
allocation of overhead and support costs is analysed in nole 6.
Page 14
continued...

The Sir Jamos Reckltt Charity
Not85 to th• Frnanclal Statemonts- continued
for the year ended 31st Dec•mb•r 2020
ACCOUNTING POLICIES- continuod
Govern3ne• costs
Gov8rnance cosis comprise all costs involvlng the public accountability of the Gharity and it5 compliance with
regulation and good Pf8CtIC8. Th8se expenses include costs ￿lated lo statutory audit and legal fees together with
an apporttonment of overhead anil support cosls. whe￿ costs cannot be dirgclly attribuled to èither ol these
calegod6s, It is estimated. based on activity levels that 85°/D Staffing costs, office supptsrt costs, membership lees
and office equipment and 90Q/o of the costs ol trustees meeting are attribul8b18 to charitable expenditure with the
balance to qovemance costs. Governance costs are apportioned based on th8 valu8 of granis made.
Taxatlon
The Sir James Reckitt Ch8rity is a UK regisle￿d charity and all of its in¢orn8 is applth to Ihe achievement of its
ch8ritable objectives. The charitable company is therefore exempt under Current legislation from most fomis ol
taKation
Fund accountlng
Restricted funds are frjnds which ar8 able to be used in accordance with th8 S￿C￿e ￿triCtiOnS imposed by the
donor.
Endowm8nt funds comprise 8ss&ts in a permanent endovmient fund with no power to convert the capital into
income. Gainslllossesl on asset h8ld in the endowment fund, both ￿alIsed and unrealised, increaselldecreasel
the endowment fund.
The irwme fund is an Un￿strICted fund and is expendable at the discretion of the trust885 furtherance of the
objectiv8s of the Charity. Income is derived from the investment of the Charitys endtswmenl fund.
Investment income, gains and108ses are allocated to the appropriate fund.
nslon costs and other post-retlremgnl bgn¢fits
The Gharity operates a defined contribution pension scheme. Contributrons Payab￿ lo the chariys pension
scheme are charged lo ihe Statement of Fin8ncial Aobvilies in the period io which they relate.
Debtors and ¢r•dltors receivablelpayable within one yèar
Debtors and Q￿dItorS wilh no stated interesl rate and r8C8ivabl& or payable wthin on8 year ar8 rEcorded at
iraisaction price. Any losses arising from impairme418re recognised in expenditu￿.
Int0r08t rgcelvable
Interest on funds held on deposit is included when ￿CeiVable and the amount can be rnea$V￿ reliably by the
Charity." this is normally upofj nob'ficalion of the interesl paid or payable by the bank.
Offi¢• equlpment
Office equipment costirrfJ less than £2,500 par unit is charged against incom8 in the year ol purchase and
apporb'oned between chariiable expenditurts and govemance costs.
Reallsed gains and loss•s
All gains and losses are taken to Ihe stalernenl of finan¢T81 aetiwties as they arise. Realised gains and losses on
investments are calculated a$ the difference be￿en sales proceeds and th8 opening carrying value or purchase
value if aCqUi￿d subsequent to the first day of the financial year. Unreali5ed gains and losses are calculated as
the dtfference between Ihe fair valu8 at the year end and their carrying value. Realised and unrealised investment
gains and losses are combined in the Stat8m8nt of Financial Activities.
Flnancial Instruments
The Charity only h8s financial assets and financial liabiliti88 of a kind tliat qualify as basic financial instwments.
Basic financial instwmenls are initially recognised at transaction value 3nd subseQuen￿Y measured al amortised
cost wilh the exception of fixed assel investmanis which are subsequenuy rneasur8d at fair value as al the
bal8nGe sheet date using the closing quoted market price.
Critical ac¢ountlng •8tSmate8 and areas of judgement
Estimates and Judgements a￿ continually evaluated and are based on historical experience and other 18clors,
including expectations of futUf¢ events that are believed to be reasonable under the circumstances.
The Charity makes estimat&$ and a$sumpb"ons conceming the future. The r85u1kn.ng accounting estimates and
assumptions will, by definition, seldom equal the related actual results. The estimate5 and a55UmPtions that have
a significant risk of causing a material adjuslm8llt to the carrying amounts ol assets and liabilthes, within the nexl
financial year, are the level of investment return and the performance of investment markets (see investment
policy and performance risk management Section of the trust8es annual report for further delailsl.
Page 15
continued...

The Slr Jame$ Reckltt Charlty
Nolgfj to the Flnanclal Statements . continued
for th• y•ar ènded 31st December 2020
ACCOUNTING POLICIES- continu•d
FSxed a88et 5nv08tments
Fixed asset inveslmenls are a lomi of basic financial instNment Bnd a￿ initially recogni58d at their transaction
value and subsequently rreasured at their fair value as the balance sheet date using the c105ing quot8d tnarkèt
price. The statement of financial activities includes Ihe net gains and losses arising on r8v8lualion and disposals
throughout the year.
The charty does not acquire PLrt options, derivatives or other complex financial instwments.
The main forni of financial risk laced by the charity is that of volalility in equity markets investment fflarkets
U8 to wider econornic conditions. the attitude ol inveslors to Investment dsk and Changes in $enlimenl
onceming equrties and within particular sectors or sub sectors.
INVESTMENT INCOME
2020
2019
Interest- fixed Inte￿St security
Dividends
216,033
1,359.488
81,062
1.460,120
1,575,521
1.541,182
RAISING FUNDS
Investment management costs
2020
2019
Portfolio management
142,841
141,699
CHARITABLE ACTIVITIES COSTS
Grant
funding of
activities
(see note
51
Support
costs (see
not8 61
Totals
Children
Education
Elderty
51,500
243,360
17,500
9,000
100,500
129,500
687,611
54,925
2,714
12,889
679
679
S,428
6,783
35,956
2,712
54,214
258,249
18,179
9,679
105,928
136,283
703,567
57,637
Environrn8nt
Medical
Religion
Soaal Work
Youth
1 273.896
67,840
1,341.736
Page 16
continued...

The Sir James Reckitt Charity
Note$ lo the Financial Stat•monts- contlnued
for the year ended 31st December 2020
GRANTS PAYA8LE
2020
2019
Children
EduGobon
Elderly
Environment
edical
R81ioion
Soci81 Work
Youth
51.500
243.360
17,500
9,000
100,500
129.500
667.611
39,100
284,348
17,500
17,500
91,000
138,120
698,599
55.550
1.273,896
1 341 717
The total grants paid lo inskn'tul'ons during the year was as follows..
2020
2019
Grants to Inslitulions
1,178,486
1.236.629
The totsl grants paid lo indwidu¥ls during the yaar was as follows..
2020
2019
4nK noo
A detsiled list ol 811 grants payable during the year is included in note 17.
SUPPORT COSTS
Manag•m•nt
and staff
Oth•f office
costs
Trustees
meetings Bank charges
Year ended 31 December 2020
Children
Educats'on
Elderfy
1,505
7,150
376
376
3,010
3,764
19.945
1,505
134
637
34
34
268
335
1.776
134
34
160
Environment
M8diral
Religion
S￿181
Youth
37
46
245
18
68
84
32
37.631
462
3,352
Membershlp
Costs
Year ended 31 Dec8mb8r 2020
Consultancy
Governonce
Totals
Children
Education
Eldedy
Environment
Medical
Religion
Social
Youth
154
732
39
39
308
385
2,043
154
75
355
19
19
150
187
990
75
2,714
12,889
679
679
5,428
6,783
35,956
2.712
3.767
198
198
1,587
1,982
10,509
794
1,870
19,829
Page 17
¢onlinue(J...

The Slr Jam•s R•ckitt Charity
Notes to the Flnanclal Statements- contlnu•d
for tho year ended 31st December 2020
SUPPORT COSTS (continued}
Management
and staff
Othgr office
Trust•e8
meetings Bank charg•s
Year ended 31 December 2019
Children
Education
Elderly
Environment
Medical
Religion
Social
Youth
1,089
7.624
363
363
2.178
3,630
19,656
1,452
523
3,662
174
174
1,046
1,744
9.441
698
12
81
80
23
37
208
15
23
39
212
16
36,355
382
17,462
391
Membership
C06ts
Yaar ènded 31 D9cernber 2019
Consultan¢y
Govemance
Total8
Children
Education
Eldedy
Environment
Medieal
Religion
Social
Youth
178
1,244
59
59
356
593
3.208
237
55
386
18
18
110
629
4,402
210
210
1.258
2,098
11.347
840
2,497
17,479
832
832
4.994
8.325
45.069
3,332
997
74
1,842
20,994
83,360
Gov8m8n¢8 costs include the following items of expendiluro..
2020
2019
AcC￿ntanCY charges
Audit fees
Legal and professional fees
Staff costs
Office costs
Bank charges
Trusteeg meetir@s
Training
5,370
5.184
2.030
6,551
173
149
372
5,160
4,260
2.271
6,407
101
69
1.938
20,994
AUDITORS. REMUNERATION
2020
2019
F8es payable lo the charity8 auditors for the audil of the Charity's financial
statements
Auditors. remunerdtion for non-audit worf(
5,184
5,371
4,260
5,160
TRUSTEES. REMUNERATION ANO BENEFITS
Th8 Iruslees neither received nor We￿ entillèd to rg¢eive any emoluments in Ihe current or previous y8ar.
Trust•¢$' gxpen5es
Costs of tru5t88s' rn88tings includes £447 in respect of the reirnbursement of travelling, subsistence and ralated
expenses to two trust88s 12019. £12.882 to 16 trustees). The remainder of trustees, meeting costs relate to
payments Fnade to third paty suppliers in respecl ol venue, catèring and other associated cosis.
Pag8 18
ontinued...

The Sir Jarnes Reckitt Charlty
Notgs to the Financial Statements- continu•d
for the year ended 31st D?￿rnber 2020
STAFF COSTS
2020
2019
Wages and salanes
Social S8CUTity costs
Other pension costs- deffined contribution scheme
42,010
41,424
145
1,280
44,271
42,709
The average monthly number of 8mploy&e8 during th8 year was as fdlows..
2020
2019
Support
The full time eqU￿valent IFTEI number Of staff was 1.412019- 1.41
No employees received amoluments in excess of £60.000.
10.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
TA+al
fund
fund
funds
INCOME AND ENOOWMENTS FROM
Investment income
1,541,182
1,541,182
EXPENDITURE ON
Raising lunds
141,699
141,699
Charttable activltles
Children
Education
Elderfy
Environment
Medical
Religion
Social Work
Youth
41.597
301.827
18.332
18,332
95,994
146,445
743.668
58,882
41,597
301,827
18,332
18,332
95,994
146,445
743,668
58,882
To￿1
1,425,077
141,699
1.566,776
Net gainslllossesl on investments
41,489
6,659,927
6,701,416
Net mov•m•nt In funds
157.594
6.518.228
6.675,822
RECONCILIATION OF FUNDS
Total funds brought forward
41,151,299
43,095.238
TOTAL FUNDS CARRIED FORWARD
2,101,533
47,669,527
49,771,060
Page 19
continued...

Thg Sir J8m•s R￿kItt Charfty
Notes lo the Financlal Statements - eontlnu•d
for the year ended 31st D•¢emb•r 2020
FIXED ASSET INVESTMENTS
Cash held
by
investment
managers
Fixed
interest
stooks
Equities
Totals
MARKET VALUE
At 1 st January 2020
Additions
Disposa15
R8valualions
Investment management charges
2,386,461
45,913,136
290,209
5,215,872
1202.4131 15,202,402>
14,0751
3,558,109
839,618
15,506,081
4,997,270
49,139,215
1407,5451
3.554,034
140,8651
140,6651
At 3151 December 2020
2470 182
49 484.71 S
190,142
$2.145,039
NET BOOK VALUE
At 31st December 2020
2.470 182
49.484 715
190 142
52 145.039
Al 31 st Decembe¥ 2019
2,386,461
45,913,136
83g,618
49 139.215
Investments at market value comprlse:
UK
Ov•rs•as
2020
2019
Equities
Fixed interesl stocks
Cash held by investment managers
25,474,603
2,079,582
190.142
24,010.112
390.600
49,484.715
2.470.182
190,142
45,913,136
2,386,461
839,618
Total market value
27,744,327
24,400,712
52,145,039
49 139,215
Valuauon
All investments ar8 carried at their fair value. Investments in equities and fixed interest securities are all traded in
quoled public rllark8tS, PriTnarily th8 London SloGk Exchange. Holdings in comrnon inveslm8nl funds, unil trusts
and open-ended Investment companies a￿ at the bid price. Assot 8al95 and purchasos are recognised 81 the
date of trade at cost ltrat is their transa¢lion value).
The significancè of financial instruments lo the ongoiro fin8nci81 sustainabilty of the ch8rity is considered in the
financial revi8w and inv85tm8nt policy and performanc8 sections of the Trustges. Annual Report.
M•t•rial invgstments eXC￿dIng 5% of the market value portfolio
2020
2019
Reckitt Benckiser Group plc
157,65012019. 170,9501 ordinary shares of1 Op
10,313,463
10.477,526
10.313.463
10477526
12.
DEBTORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2020
2019
Prepaymants and accruad income
44,578
Pag8 20
¢onty'nugd...

The Sir James Reckitt Charity
Note8 to the Flnanclal Slatemen¢s- contlnued
for the year ended 31st Dec¢mb•r 2020
13.
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2020
2019
Grants accrued - Institutional
Accrued expenses
5,000
83,000
46,192
53,954
129,192
14.
CREDifoRS.. AMOUNTS FALLING DUE AFTER MORE THAN ONE YEAR
2020
2019
Grant5 accru8d Institutional
5,000
Movem•nt in recognlsed provlslons and funding commitments durlng the year
Charitable
commltments
accrued
Grant commitmants r8cognis8d at the siart of the yoar
New grant cornmrtments charged to the Statement of financial activities In the year (note Sl
88,000
1,273.896
Grants refunded during the year
Amount of grant C￿nEr11Ments recoqnised as al (he end of the ye8r
15.
MOVEMENT IN FUNDS
Nel
Transfers
betW88n
funds
mov8ment
in funds
At
31.12.20
At1.1.20
Unrostrl¢ted funds
Genecal fuftd
D8signated Funds- Methodist Homes
Fund
1,974,872
126,881
319,204
147,413
1126,8611
2,441,489
2.101,533
319,204
20,752
2.441,489
Endowment funds
Endowment Fund
47,669,527
2,918,478
(20,7521
50,567,253
TOTAL FUNDS
49 771060
3 237 682
53.008 742
Nel movement in funds, included in the above a￿ as follows..
Incoming
r8sourc8S
ReSou￿S
expended
Gains and
losses
Movemenl
in funds
Unrestrfctod funds
General ILJnd
1,575,771
11,341.7361
85.169
319,204
Endowmgnt funds
Endowment Fund
1142,8411
3,061,319
2,918,478
TOTAL FUNDS
1,575,771
1,484,577)
3,146,488
3,237,682
Page 21
continued .-

Th• Slr J¥mg$ R•¢kitt Charlty
Notes to the Financial St8tements- eontlnu•d
for th& year •nded 31st D•cemb•r 2020
15.
MOVEMENT IN FUNDS- conllnu
Comparallvo6 fly movement In lund8
Net
movemenl
in funds
Transfers
befften
funds
At
31.12.19
At1.1.19
Unr•strict•d funds
G8n8ral fund
D8signat8d Funds- Melhodisl Hornes
Fund
1,817,278
157,594
1,974,872
126.661
126,661
1,943,939
157,594
2,101,533
Endowment funds
Endowfflenl Fund
41.151,299
6,518.228
47.669.527
TOTAL FUNDS
43,095,238
6,675,822
49,771,060
Comparative net movement in funds. included in the abov8 aT8 as follows..
Incoming
SOLJrces
Resou￿￿$
gXP8nd8d
Gains and
losses
Movement
in funds
Unrestrlcted funds
General fvnd
1.541,182
11,425,077)
41,489
157,594
Endowment funds
Endowment Fund
1141,6991
6,659,927
6.518,228
TOTAL FUNDS
1,541,182
1.566,7761
6,701,416
6,675,822
The Methodist Homes Fund was designated by th8 Trustees to fund a long-tenn commitment l¢iwards sofving the
ISSU8s of social care provision for elderly people in East Yorkshire, partnered with the Melhodisl Homes
Association and other local orgallis8ttons. Having rnade various donations over the years, the IDJslees have
decided to redeS￿nate the remaining tund to the General fund and accordingly there is a transfer shown betr￿en
the fund$.
16.
RELATED PARTY DISCLOSURES
During Ihg year the Charity rnade one grant to a relate¢J paty totalling £2,00012019-. £4.0ts0I. A grant of £2,000
was made lo the Hull Preparative Meeting, ol which Mrs M Fisher is a member. This grant wa5 awarded in
accordance with the Charity's grant making policies.
Pagè 22
continued...

The Sir Jam85 Re¢kitt Charfty
Notes to the Flnanclal Ststemgnts- continued
for the year ended 31st Doc•mber 2020
f7.
GRANTS (SINGLE GRANTS UNLESS SHOWN OTHERWISE)
2020
hildfen
Scholarshlps for Street Kids
Save the Child￿n Fund
NSPCC
Barnardo's
The PrinciDle Trust Children's Charity
Hull Children's University
The Sailors, Families Society
Hull child￿n'S Adventure Society
Th8 Sick child￿n'S Trust
Whizz-Kidz
Viking FM Cash for Kids
2 payments under £2,000
8,000
.uuo
8.LKIO
5,000
4,500
3,000
3,000
2,500
2,500
2,500
2,000
Total Childr•n grants pald In year and recognised in Statom•nt of Financlal Aetlyltles
Educatian
The Univ8rsIty of Hull
Ackworth School
Boolham School Trust
Leighlon Park Trusl
The Mount School Yorf( Foundation
Sibford School
Sidcot School
Hymers College
Hull Collegiat8 Trust
Frederick Holmes School
p￿-School Leaining Aliance
Gillarnoor Primary School
Independent Provider of Special Education A(Jvice
David Ross Education Trust
shakespea￿ Schools Ftsundalion
Hull Play Resource Centre S¢rapslore
West Midlands Quaker Peac8 Education Project
St James CE Academy Schwl
Hornsea Nursery School
5 payments under £2,000
30.000
25.000
25,0(KJ
25,000
25,0(K)
25,OCiI
25,0
13,000
10,660
8,000
7,000
4,000
4,OOfl
3.000
3.000
3,000
3.000
2.000
2.000
Ipreviously accrued)
Total EducatFon grants pald in year
Less.. Previously accrued
Total Educatlon grant$ recognls8d Sn Statement of Flnancial A¢tivitie$
246,360
Elderly
Age UK (Hull)
Abbeyfield UK
Hull & District Liv8 at Home
10,000
4,000
Total Elderly grants paid in year and mcognlsod In Statement of Flnanclal Activlties
Page 23
continued..

The Slr Jame6 Reckltt Charfty
Notes to Ihg Flnanclal Statements- contlnued
for th• y•ar •nded 31st December 2020
17.
GRANTS (SINGLE GRANTS UNLESS SHOWN OTHERWISE) ICONTINUEOI
2020
Environment
Farrn Africa
Field Studies Council
1 payment under £2.CKJO
5,500
2,500
Tolal Environment grants paid in year and reeognised in Statement of Financlal ActSvi11•8
Medical
The Retreat York
Antibio￿.¢ Research UK
Brain Tumour Charity
Marie Curie Cancer Care
University of Hull
Marie Curie Cancer Care
Action lor ME121
Moghissi Laser Trust
Asthma UK
Cancer Support UK
Teeth Team
The Migraine Trust
Candlelighlers Trust Fund
Blood Can￿1 UK
The Virtual Doctors Ltd RIC
Spinal Injuries Asswiation
Anthony Nolan
Huntington's Disease Associab'on
3 payments under £2,00
30,000
25,000
10,000
10,000
7,500
6,5(K)
8,000
5.000
4.000
3.￿0
2.500
2,500
2,500
2,500
2,000
2,000
2,OtK)
2.Otx)
Ipreviou51y gccruedl
(previously d￿rued)
Total Medlcal grants paid In y•ar
Le5s.' Previously accNed
Total Medical grants recogni$ed in Stslgm?nt of Financlal ActSvltles
130,500
130,0001
Religion
Woodbrooke Quaker Study Cent￿12)
Britain Yearly Meeting
Ulster Quaker Service Committee
RJ Working (Restorative Justice)
Pickering Meeting
Quaker Tapestry Ltd
Yorkshire Friends Holiday School
Pickering & Hull Area Meeting
Kendal & Sedb8rgh Ar88 Meeting
Rookhow Quak8r M88ling
The Friend. Publicath"ons
Friends Housing Bursary Trust
Hull Preparative M88ting
Sl P8t8r5 Pgrish Humbleton
4 payments under £2,000
50,000
30,000
12,000
7.500
6,000
5,000
4,000
3,000
2,500
2,500
2,500
2.500
2,000
2,000
(previously accrued)
Totsl Rellglon grants paid in year
Less.. Previously accrued
Le5s.' Grants ￿paid
Total ￿lIgIon grants Tecognlsed In Statomont of Financial Actlvlde
15,0001
Paga 24
continued...

Th• Slr James Reckltt Charity
Notes to the Flnanclal Statemfrnt8- ¢￿tIll￿e￿
for the year ended 31st December 2020
17.
GRANTS {SINGLE GRANTS UNLESS SHOWN OTHERWISE) ICONTINUEDI
2020
Soclal
Meihodist Homes MHA
Dove House Hospic8121
Hull Community & Voluntary SeNicas131
Doorstep of Hull
Peace Oirect
Humberca
British Red Cross121
Listening Books121
Therapy Servioes UK121
Quaker Social Action
Lake Oistrict Calvert Trusl131
Anli-slavery In18rnational
Welcome Hous8
Home-start, Hull121
Martin House
Spring Bank Community Association
Hiuntinglon's Dis8ase Association
Hull Lighthouse Project
Hull Rape Crisis & Sextjal Advice Service
Siohl SuDDOrt Hull & East Yorkshire
Disability Sport Yorkshire
HUSSO Studenl Comrnunity Action
HeS￿e Road Network
Mobility Trust
Hull Women's Centre
All Marshall Centre
Catzero Ltd
VictiTn Support Hurnber Ltd
8LESMA National Appeal
Cherry Tree Community AssOCi81ion
Forward Trusl
Hull Samariians
Rerun Furniture SeNice Ltd
Sl Leon8rd's Hospice
Inspire Comrnunilies
Endike Community ca￿ Association
Siroke Association
The Happy Baby Community
Hope for Justice
Leonard cheshi￿ Homes
Bridlinglon Samaritans
The Green Team
PAMC Open Dty)rs
Camphill Village Trust
Church Homeless Trust
Down's Syndrome A$soci8bon
House of Llght
RHM Recovery
SEED Eating Disorders Support Serv￿5
HEY Smile FoLSndatitrn
East Riding Voluntary A¢ts'on SeNices ERVAS
SSAFA Forces Help
International RescLse Committ88
Suzy Lamplugh Trusl121
(previously accrued)
40,000
28.000
22,500
17,000
15,000
15.000
13,000
12,500
12.000
11,000
10,500
10,000
10,000
9.500
8.000
8.000
8.000
8.000
8.000
8,0(KJ
7,000
6,500
6,000
6,000
6,000
6,000
6,000
6.000
6,000
6,000
6,0(K)
5,000
5,0(X)
5,000
5,0(YJ
5,0(Xl
5,000
5,000
5,000
5.000
5,000
5,000
5.000
5.000
5,000
5,0(X)
5,OQO
5,000
5,000
5,000
5,000
5,000
Ipreviwsly accrued)
Page 25
continued...

The Sir Jam•s Reckrtt Charity
Notes to the Financial Stat8ment5 - continued
for the year ended 31st December 2020
17.
GRANTS (SINGLE GRANTS UNLESS SHOWN OTHERWISE} ICONTINUEDI
2020
Social {contlnuedl
Hull Council ol Disabled P8OP
M S Society
Designability
Family Holiday Association
Humber Al-Nation5 Alliance
Cruse Ber8av8ment C8re Hull & East RidirrfJ
The New Bridge
Emmaus Hull & Ea$1 Riding
Prison Refom Trust
Motor Neuron8 Disease A55￿18t10n
RELATE Hull & East Riding
The No Way Trust
Prisoners Abroad
QCEA British Committ88
Oxford Re58arch Group
Hull Chamber Musc
Royal National Mission to Deep Sea Fishemien
Scoliosis Association
Project Orchid Ltd
Blind Velerans UK
Circles UK South W8St
Rebuilding Sri Lanka
Tha Club House Comfflunity Centre
Coltman Area Ctsmmunity Association
Camegie Heritage Centr9
Young Adults Support S8NC8s YASS
Catzero Ltd
Stroke A550ciation
Saint Catherine's Hospice
Etemal 8enefits Fumilure
CASE Training Services
E.Y. Disabled Sports Asst￿18t10n
Home-start Goo18 & District
Wilberfoss. Kexby and Newton PFA
Yani Zertalis
Oriffield & Oistrict Skate and BMX Park
Easl Hull Food Bank
Hull Comtnunity Church
Humber Community Advice Services
Spring Bank Community A5￿￿lation
Ytsrkshire AirArnbulance
Ditto
Hull Animal Welfare Trust
Hearing Dogs for Deaf People
Leven Playing Field AssooatsDn
Hull 8ullnose Heritage Group
27 payments under £2,000
318 payments to individuals
4,000
4,000
4,000
4,000
4,000
4,000
4,000
3,500
3,500
3,500
3,500
3,000
3,000
3,000
3.000
3,0(K)
3,000
3,0(X)
3.0(M)
3,000
3,000
3.000
3.000
2,500
2,500
2,500
2,500
2,500
2,500
2,500
2,￿0
2.500
2.000
2,000
2,0(K)
2,0(X)
2,OtK)
2,000
2,000
2,000
2,000
2,000
2.000
2,000
2.000
2,000
28,730
Total Social grants pald In ￿ar
Less.. P￿vIOuslY accrued
Total Soclal grants recognlsed in Statoment of Financial Actlvltles
Pagg 26
continued...

The Sir James Reckitt Charity
Not•8 to the Financial Stat•ments . continued
for ¢he year onded 31st DeCem￿r 2020
17.
GRANTS ISINGLE GRANTS UNLESS SHOVIIN OTHERVIISEI ICONTINUEDI
2020
Youth
The W8fTen of Hull Ltd
Endeavour Training
The Pedro Club
And￿W M8rv811 Youth Centre
Tall Ships Youth TTLJSt
Ocean Youth Trust North
Hull Sea Cadets
Cottingham Scout and Guide Trust
Awards for Young Musicians
Maximum Life Youth Pfoiect
City of Hull Sport & Community Group
Leven Youth Club
3 payments under £2.000
4 payments to individuals
10,000
7,000
5,000
4,500
4,500
4,500
4,000
3,000
3,000
2,500
2.000
2,000
1.575
Total Youth grant$ paid in y•ar
Less.. Grants rep¥id
Total Youth grants re¢oonisèd In Statement of Financial Activitles
Grand totals
Total grants paid in year
Less". Previously accrued
Less.. Grants ￿Paid
Total grants ￿¢09nised in Statement of Financial Aetlvltl•s
1,359,596
183,000)
18.
FUTURE COMMITMENTS
The truslees have agreed lo make future grants. Subl￿t to r)roviding accounts and projection5, of £Nil
12019. £750,000)
These future commitments arg entirely at the discretion of the trusteès and a￿, therefore, not included wthin the
financial statements as ¢￿dItOrS.
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