Registered Charity No
227177
GPM Charitable Trust
Accounts
31 March 2025

GPM Chafltable Trust
Report and acry￿nts
Contents
Pagè
ReFX)rt of the trustees
Statement of finanaal activitieg
1&2
Balance sheet
Notes lo the financial statements

GPM Charitable Trust
Registered Charlty No. 227177
R•port of the Trustees
Flnanelal y•ar
31 March 2025
Th• charWJ wlnclpal addr•ss li:
Keith Keys
43 Spriggs
Clapham
80(Iford
MK418GD
The charity tr￿￿•* durfng th• ywr w•rn:
Mr D Chair
8 L MMbr- Vk? Ch￿r
Ms R M(￿1•y- Treasuref
MTGDB8￿r
Mrs C Gam8r
Mr M Pike
Mr R Moo8a
Th• tnMt••• ar• appolnt•d by r•￿I￿tIon ol th• tru•tw body.
S8¢fvlary
MrKK•
88nk9rs
Thb ctr0pora￿e Bank
Invèstment AdvLw8rn Sarnsin & Partners
The oblart of th& ¢harlty is the rdi*f ol parnons and d?pendAnls WPKJ are k) nged. h8rdshlp or
¢Yl$iress or who ar• $i¢k. conVal•￿ent. dSsabled or inflmi ènd who are or hav8 b88n employed In
Iho graphi¢81. pap¥r and m&liq trad•$. Th? Iru5t88s may rglieve those 8lKJit4e for a881st8n￿ ty
m8kiryJ grants of rNJney'. provNJing or FeyiTh3 lor gc￿. sarvw cYfaciliti•s.' or making grants
to other pèr¥ons or t4)dlos who provhJe g¢xtyJ$, or facilitios to t￿)9￿ elkJible for 8$s￿18ne•.
Publ1¢ b•n•fft
The trustees confirm Ih8y have eompli8d wnth rng•rds to the Charity CoMr￿s8k)n'S ggnornl guldanc•
on publi¢ benoflt and the acbwtsè5 carri8d out by Iho chorltythring tho year w•r• al undgrtakan
in ordor tts fvrthèr th8 ch8rtty9 oms for beneficwigs.
Thorg Is a d•tsiled a4)I￿alOn of tho adMII89 ¢arrknd (xjt duriTrJ th• ygar under revkn and ￿￿￿tIo$
for th• year.
Slat•rn•nt of trustw rospon¥lblllll•
Law 8pplScablg lo charitw in England 8nrJ Wales r8quires thè trusts•$ k) wepare fifi0nd￿ ststemants
for èach finan¢kg1 ￿ar which grve a true and fair of th8 ch8ntYg finanoal 8d]v￿"e5 during the
and of its financial p05itson at Ihg eThJ of the ￿T. In pryring finanCb￿ slatom￿ts and
I￿r vlw, the truslees shoukl prac￿* wjd..
Selèct sult8ble accounbng PL4irAes 8r*J then apptythem CL*W￿￿ty.
Mak8 judgernents and estirnale8 that 8re ￿asOnable and prudenL
St8t8 whelher applic8ble accounbng standards and 8tst8n￿ts of recommended have been
followed, subject to any depAr￿TeS dk4dosed and explained in Ihe finanwl ststements luninLY)rporated
charitiesl
Prepara the fin8nryal ststen*nts on Ihe wng concem ba8is unless it is inapFvc¥Jwiple to presun* that
Ihe chanty will contirwe buslness.

GPM Charltable Trust
Reglstered Charity No. 227177
Report of the Trustees (Gontlnued)
R¢¥lew and actlvltlas forth• y••T
During tho year the charity met four times to conS￿er 8pplicat*)ns wilh the objectives of
Ihe charlty. to review Ihe financial strategy of ts (l)anty and Ihe ￿cIng and fubjre
ackn'vities of tha charity.
Thg trustees have continued to FKomote lh8 obje¢ts of the charlty through organWbns
connacted vthh graphical. pap$r and media industries.
The charity awarded 12 grants totslling £6.11J)12024- 14 grants totsling £8.795).
The Burplus for tho ￿ar was £12.12612024 £8,265).
R•Mrv•• pollcy
The ¢hartty has set up an Inve51rnent r&serye to help to provfjde the necossary grants and
donatlons In accordanc& its objacts.
Sarasin & Partnern are appolnw H)vestrn8nt advlstrs. the non<ash investmonts are
managed under a Discreuonary M8nageFn8nt S8lVI¢8.
In accord8n¢e with thg Slolem8nt of InvKtrnenl Prinrypl8s. Sar8sin reports rtgularly to
to the Trustees.
The market valw of Ihe Inv￿￿ents al tho gTrJ of 31 Marth 2025 ww8 £939,674131
March 2024 £929,894). The valu8 of invosimants managed ty Sarasin h88 Incraa$8d In
Value by £9,780.
The cash balances held al bank at 31 Merch 2025 w•rt £122.876 (31 Marth 2024 £110.751}
whlch Is gn Incr6￿ of £12,125.
D•clar•tk*n
The trustees have apwOV￿ the Trustees. Rgm 8t*)ve
f/712o.i.r

GPM Charltable Trust
Statement of Financial Athltles
For the year ended 31 March 2025
Unrostrl¢tsd Funds
31.03.2025
31.03.2024
Incomlng rosourc
Incc*nlrwJ resowces from pr￿alIng funds
Interest Income
Investment income
Total Incomlng lo￿￿re
2.160
25.610
27.770
1,0(
25,616
26,622
Ro$our¢•• •xpond
Cost of generating funds
Investment managem8nl cosls
Diract ¢haritsble 0x￿￿11Ur￿
Grants
6.100
8.795
¢3ob•rnanc• c￿ts
Administrator
Meetings expenses
Accountancy and audit fe88
Olhér éxpenses
7.552
160
6,478
210
600
2.274
9.562
1.233
9,545
Tot•1 R•sourcv Exp•nd•d
15.fA5
18,357
N•t l•xp•nd•dl rn8oure•s lor th• y••r
12,125
8,265
Other r•cognls•d galns •nd1008•s
Not realised and unraali￿1 (los￿) I galns on a$8et8
Nat movem8nl In funds
Total fund at 1 Avrll 2024
Total fund at 31 March 2025
9.780
21,9)5
1.040.045
1.061.950
68.367
76.632
963,413

GPM Charitable Trust
Balance Shoet
as al 31 March 2025
31.032025
31.032024
Current a$s•ts
Investments
Cash al bank
939.674
122,876
1.062.550
929,894
110.751
1.040,645
Curr•nt liabllltl•8
Creditors
6L
Net current assets
t.061.950
1.(140.045
1,040,045
Representsd by..
Fund- unrestricte
1.061,950
Slgn8d by:
Chair..
Trnslee.........
Dale..

GPM Charitablg Trusl
Notes to the Financial Statements
For the year ended 31 March 2025
1. Aceountlng pollcles
Ba818 of pr•paratlon
The financial statemènts h#ve been prepared uThYer the historie31 cost convenlion apart from
the V￿￿all0￿ of inVestM￿t$ and in accordance with applicable accounling stsndards. ar
in accordanco with SORP'A¢oyJnting and RgFortmg by Chaiitses..
31.03.2025
31.032024
2. In￿*1M•nts
Invèstments al market value 31 March 2025
939.674
929.894
Inveslmgnts al cost 31 March 2025
724,552
724.552

Independent Examinetts Report to the Twstees of the
GPM Charitable Trust
I rep)rt on the accounts of the T￿￿t for ts year end&J 31 Marth 2025, $et pages
1105.
R•sp•ctive r9•pon¥￿Ill•S of tru*t8w and •xamln
The charivs trustees are resFon%ble for Ihe preparation of Ihe acoxnts. Thè charitys trust888
consider thal an audit ￿ not Fequired for this ye8r under section 144 01 the charib.es Acl 2011
(the 2011 Actl and that an infvrKlent examinab.on is needed.
11 IS my respor￿1b1Itty to..
examine acc¢yJnts under Section 145 of Ihe 2011 Ac¢
to follow th8 wocedures laKI d(yo￿ in the genaral Dwects'o￿ gNen by the Chanty ComMi&8￿n
urKler section 14515llbl ol Ihe 2011 AGt' and
to slate vh)ether parb'cular matters hav& c(¥Y* lo my attenticffi.
8a•l• of 5nd•p•nd•nt exam5n•es Tgwt
My examination w8$ Carr￿ ￿Jt in a¢￿￿ce *ith th& general DI￿￿On8 grven by th6 Charity Commi$$ion.
An 8xaminats.on includ&s a rovivw of the accountiTrJ reo)rds k8pt ty the chanty 8rKI a cunwson of the
arxounts pros6ntgd %silh t￿)sO foccyds. It also indud95 cortsid•ratw)n ol any unusuot Items or disclosures in
tho accounts, and seèking explanabons Irom y¢Ju as trust￿ ¢0￿MIng any such matters. The procedur8$
undertaken do not provide all Ihè 8videnc* ihat M¥)uld b8 requi￿ in 8n audit an¢J consequently no opinion is
givon a3 to *thether tho preg8nt a Iwe and f8lr and tho 1or(Nl 18 Ilmlt•J to those matter8 $81
oul in thg 8tslement below.
Indwndèn¢ ox•mln•rf8 •tat•M•nt
In connacb'on ￿th my examlngtkjn. no matter has ￿m0 to my attents￿l..
111 which giv•8 me reasonab￿ ¢ause to befigvo that in any mater181 r8SPeCt th• wulrements..
to kgep 8¢counllThJ recoros In acrLrfdanc8 ￿th Sect￿ 130 of Ihe Chanll88 Acl.. arKS
to prepare 8ccotJnls Ithich 8ccord wilh the accounting records and CoM￿Y vAlh the ar£oundNJ
roqulromonts of the Charttles A
hove not been mrt or
121 to %thich, in my op1ft1￿, attenkn St￿ld be In order to ￿atrIe a undwstanding of
thè ac¢ounts to b8 r•ack￿￿.
eFlnane• Chartered Ac¢ounlants & BUsIn￿￿ Advlsorn
60 Hlnckley Road
Lelcester
LE3 ORB
31st Juty 2025