REGisfERF.D CHARITY NUMBER: 235891
30
rim (YBrien CA
The Green
Datchct
Be￿h1
SL3 9AS

Chari
for the Year End
ber2
Report of the Tntste¢5
Independeni Examinerfs Rwn
StAtement of Financiai A¢iiviti¢s
Balancc Sheei
Notes to the Financi81 Ststements
5 b 9
Detailed Statement of Financiai Adiviii¢5

het United
the Tru
ed30S
rthey
bcr 2024
The uustees pres¢nt their rew)rt with the financial ststements of th¢ tharity for th¢ year ended 30 September 2024. The
INsttts have &lopted ihe provisions of Accounting and Ry)rtin8 by Charities.. Ststement of Reeommended Practice
applicable ro charilies preparing thcir accounts in accordan¢e with the finoncial ReFK)rtin8 Standard opplicttble in the
UK and Republi¢ of Ireland (FRS 102) {effeaive l January 2019).
STRUC]"URE. GOVEIiNANCE AND MANAGEMEwr
Governing document
The charity 15 controlled by its governing di*umenL a deed of In￿ and Con￿lluteS ￿ unincorpornted charity.
REFF,RF.NCE AND ADMINi%fRATIVE DrrAILS
Registered Charity number
235891
Prineipg14ddres9
24 Holm1¢4 Walk
Daichet
Berkshire
SL3 9HZ
Trusiees
Mrs I l Dalion
T O'Flynn
Ms M Winter
D Sirnpson
Indtpend¢nt Examiner
Tim O'Brien CA
The Green
Daich
Berkshire
SL3 9AS
Appmved by order of ihe tthrd of tn￿ceS on .......................
. and signed on its behalf by..
T O'Flynn - TnLStee

Ind
ndcnt Examinevs Re
Datchet United Charities
Independent examiner'¥ report to the ¢rysttts of Dltthet United Charities
I report to the ¢harity trwitts on rny examination of the xcovnts of Datchet Unitcd Charities (the Trust) for the y¢ar
ended 30 September 2024.
Re8ponsibilitle5 b8sis of report
As the Charity trustees of the Trust you are ￿spot)sIble for the prwation of th¢ acwunts in a¢wrdance with the
requirements of the Charilies Aci 2011 Cthe Ace).
I report in re5PC¢t of my examin￿lon of the Trust's xcounts wied under Sedion 145 of the Att and in carrying oul
my exarnination I have follow¢d all applicable Dirtaions given by the Charity Commission uThdeT Seciion 14515llbl of
the Aci.
Independtnt examiner's statement
I have completed rny examination. l ¢xJnfim) that no mawial matten have eome to my attention in eonnection with the
examination givin8 m¢ Caus¢ to believe th* in any m*eria] Tesped..
de￿￿￿17￿8 reeords were not kepi in respect of the Tru￿ as rtquired by St￿lon 130 of the Aet: or
the accounts do not occord with thos¢ reoyds: or
the accounts do not comply with the applicable requirements c4Jncerning the fomi and conieni ofaeeounts sei oui
in the Charicies (Accounts and R¢w)ns) Re8￿[￿tiOnS 2¢M>8 other than any wuircmeni th&1 the accounts give a
true and fwr view which is noi & matter Co￿51d¢r￿j as part of an independent examination.
I have no concern$ and have come acr055 ￿ other matteT5 in connettion with the examination ￿ which aiiention $hould
be drnwn in this rewrt in order to enable a proper understanding of th¢ aKoynts to b¢ 1¢ach￿.
Tim ¢YBrien CA
Tim (YBrien CA
The Green
Datchet
Berk$hiT¢
SL3 9AS
Lokc .
Pa8e 2

tc
tt
ert
ofFi
Ended
vi
2024
30.9.24
Unr¢stricted
fund
30.9.23
Total
funds
Notes
INCOME AND ENDOWMEKfs FROM
Inv¢s(ment income
29,820
28.364
EXPF.NDITURE ON
Raising funds
Cbaritabk aetivltles
Day Centre
Monetary Assistanee to families
her monetary &Esistance
Transp)rt
Xmas Vouche
33,898
3,573
1.643
3.678
1,932
4,750
2.439
6.500
3262
5,01
Totsl
197,8531
53,197
Nrf INCOMEI(EXPENDITURE)
127.673
124,8331
RECONCILIATIOY OF FUNDS
Tot41 fitnds brought fon¥ard
791,445
816.278
TOTAI. FUNDS CARRIKD FORWARD
919,118
791.445
The notes fom] part of these financiat statements
Page 3

het UThi
Chariti
ce Sheet
Tnber 2024
Ose
30.9.24
lJnrestricted
fund
30.9.23
Total
funds
No*s
FIXED ASSETS
Lnvesiment5
894,688
762,224
CLIRRENT ASSETS
Cash at bank and in hand
24.430
29.221
Nrf CURRENf ASSETS
24,430
29.221
TOTAL ASSETS LE&S CURREKT
LIABILITIES
919.118
791,445
NET A&SETS
919,118
791.445
FUNDS
Unrestricl¢d thds
919.118
791,445
TO'fAL Tr UNDS
919.118
791,445
The
Inanei41 5tstements were appnved by the Bobrd of Trustee$ and auihorised for issue
l..) ..QJ.l...%* *..... and were 5ign¢d on its be￿lf by..
on
Flynn- Trultre
The noies fomi part of these financial statements
Page 4

nited
harities
N￿eS io the Financial Statements
for the Year Ended 30
r2024
ACCOUNTING POLICIES
B8sis of preparing the fi￿#￿¢1#1 st*temtt)ts
The financial sth¢ements of th¢ charity. which 1$ 8 publie benefit emiity uDd¢r FRS 102. have been pr¢pared in
ac¢ordan¢e with the Charities SORP (FRS 1021 'Accountin8 and Reporting by Charities.. Stsiem¢nl of
Recommended Prartice applicable to charities prepthng their a¢counis in accordance with ihe Financial
ReportiDg Standard applicable in the UK and Republic of IrelaThd (FRS 102} leffeciiv¢ l January 2019}'.
Financial Reporting Stsndard 102 Tr Finan¢ia] ReTX>rtin8 stand￿ applicabl¢ ID the UK and Republic of
Ireland, atld the Chariiies Act 2011. The fllwhciaj 5tatcmcnts have been pr¢par¢d under the historical ¢051
nvention, with tlle exception of investments which are includcd at market valu¢, &% modified by ihe revalustion
of certain assets.
Income
All Income is rwogDis¢d in the Statemeni of Fina￿1￿1 Activities onee the charity ¢nlLtlement io the fvnds, li
is PTobable th￿ ihe income will be rec¢ivrAI the amouni Can be me&sured reliably.
Expenditurt
Liabilities Ire rtcwised as expenditure ¥$ gx)n &% there is a legai or ￿ng￿￿¢tIve obligation commilting ihe
charity to thai expenditure, li is probable that 8 tsansfei of ttonomic benefjts will bc i¢quired in scttlemcni and
th¢ amount of the oblig81iort can be measur¢d r¢liably. Expendilurt is account¢d for on an accruals b&sis and has
been classified under h¢ading$ that %8Tegdtc ail cosi r¢lat¢d to ihe catcgory. Where ¢osts cannot bc dir¢dl>
attributed to p8rticular htadirhgs they have b¢¢n ail¢v*d to activilies on a basis consistrnt wi¢h thc use of
r¢source5.
TgXAtlon
Thc charity is exemw fmm thx C￿ its ¢lwitable activities.
Fund aCCOUD¢ing
Unrtstricted ffijnds can be used in accorda1￿ with the charitsble objedives at the discretion of the trustees.
Restricted funds c4n only be used for paniculw r¢stricted purp)ses within the objects of ihe charity, Restriciions
Arise when $pe¢ifi¢d by the donor or kn funds ort raised ftir pArticul8r re5WiCted purposes.
Further expl&nation of the nawff ond PUTFW of each fund is included in the no*$ w the fjnancial 5tateimcnts.
IIYVEsfMENT INCOME
30.9.24
Dividcnds received
De￿isit aeeount interest
29,502
318
28,098
266
29.820
28.364
continu¢d...

ts-conti
for th Year End
RAJSING FUNDS
R4l$lng donations and legAcies
30.9.24
30.9 23
Staff costs
Administrativc expenses
16.668
4.465
14,540
2.931
21.133
17,471
Investment m9￿gement costs
30.9.24
30.9.23
Supp)rt costs
1132.4641
16.427
A88r¢gate amunts
33.898
TRusfELs' REMUNLRATION AND BENLFrrs
There werc no trustees, r¢rnuneNion or other benefits for th¢ year ended 30 September 2024 nor for the year
ended 30 se￿mber 2023.
Trustees. exptnj
There were no trus*es' expens¢5 paid for the year ended 30 Septunber 2024 nor for the year ended
30 September 2023.
COMPARATIVES FOR THE STATEMENTOF FINANCIAL AcfiviTIES
Unrestricted
fund
INCOME AND ENI)OWMETrITS FROM
Investmeni income
28 J64
EXPEIYDITURE ON
Rwsing fvnds
33,898
ChirilalAe adivities
D¥y Centre
Monetary Assisthnce to families
Other rnonetary assistsnee
Transry)rt
Xmas Vouchers
3,678
1,932
4,750
2.439
6.50Q
Totxl
53,197
NET INCOMEI(EXPKNDrruRE)
124,8331
RECONCII,IATION OF FUNDS
TO￿ funds broughi fonvard
816.278
Pa8e 6
niinued...

atchet United Charities
Financial Statements- contin
Year Ended
COMPARATIVES FOR THE sTATEME￿r OF Fif4ANCIAL A￿1vITIEs- continued
Unrestricted
fund
T(yfAL FUNDS CARRIED FORWARD
791,445
FIXED ASSET INvE￿ME￿Is
Lisied
invesimenis
MARKET VALUE
At l October 2023
ReV￿u￿tionS
762,224
132.464
At 30 Septemb¢r 2024
894,688
NET BOOKVALUE
At 30 Sep*mb¢r 2024
894,688
At 30 S¢pl¢mb¢r 2023
762,224
There were no inve5tsn¢nl as5¢ts outside the UK.
The marka vdue of fixed &8sets investmertts at 30 September 2024 was £894688.
MOVEMLNT IN FUNDS
Nei
movemen(
in funds
At
.10.23
Ai
30.9.24
Unrestricted funds
G¢n¢TOi fvnd
791.445
127.673
919,118
TOTAL FUNtxs
791.445
127.673
movement in fund4 includul in th¢ 4iK&v¢ arr &$ follows:
Ino)ming
Resour
expended
Movement
in fund5
Unrestricted funds
Generni fund
29.820
97.853
127.673
TOTAL FUNDS
29.820
97.853
127,673
ontinued...

tatem
e tember 2
inued
rthey
24
MOVLMENT IN FUNDS- continued
Cornpar4tives for tnoverntht in fvnds
Net
movement
in fvnds
At
1.10.22
At
30.9.23
UnTestri¢teil funds
General fund
816278
124.8331
791,445
TOTAL FUNDS
816278
(24.8331
791,445
Comparative nei movement in fund5. included in the above are &% follows..
Ino)ming
Re￿Ure¢S
exrKnded
Mov¢m¢nl
in fund5
Unrestricted funds
General fund
28J64
153.1971
124.8331
TOTAL FUNlkS
28J64
153,1971
124,8331
A ¢urr¢nl year 12 mcthths 8nd PTiorye4r 12 months C4)Mbit￿ position is as follows:
Net
movement
in fijnds
At
.10.22
At
30.9.24
Unrestrleted funds
Gencral fund
816278
102.840
TOTAL FUNDS
816278
102.840
919,118
A curre￿ year 12 and prior year 12 rnonths COm￿'na net movement in funds in¢lud¢d in the above are
45 follows..
In¢omin8
Resour
expended
Mov¢menl
in fund5
Unrtstricted funds
GeTKf81 fund
58.184
44.656
102.840
TOTAL FUNDS
58.184
44.656
102.840
CA)ntinued...

Dat
United Char
Notes t
inancial Statements- contin
for the Year Ended
ber 2024
RELATED PARTY DISCLOSURES
Thue wtye no relatrd party tr4nsadions forthe yearended 30 September 2024.
Page 9

cial A
for the Year Ended 30 S lember2
30.9.24
30.9.23
JNCOME AND ENDOWMENrs
Investment income
Dividends T￿e1ved
DeTK)Sit account interest
29.502
318
28,098
266
29.820
28,3(?4
Totsl IDcomRng rejoyrces
29.820
28.364
EXPENDITURF.
Riising don*tbons #nd le¥icies
Wages
Adniinistrative expenses
16.668
4,465
14.540
2.931
21,133
17,471
Chirlt#ble xrtiviti
Day Cenire
MonetRry Assisi8nee familtes
OthL'r monciary ￿sis￿nCe
TransrA)rt
Xrna5 Vouthers
3.573
1.643
3,678
4,750
2,439
6,500
3262
5,000
13,478
19,299
Support costs
Governance tosts
Fallllgrothl in value of investments
{132.464)
16,427
Tothl resources expended
197,853)
53,197
Net Incomel(¢xpendlture)
127,673
124,8331
Thi$ ￿ge d(Ks not forni part of the financial sthtcmcnts
Page 10

REGisfERED CHARITY NUMBER: 235891
f.the T
rim 0￿￿en CA
The Green
D￿h
Berkshire
SL3 9AS