Re8&ered Charity Number 24￿60
OLD WINDSOR UNrrED CHARMES
Unaudlted financLIl ststements for the
Year ended 3tst December 2024

Independent Examlnevs reP￿t to the Trustee5 of
Old Wlndsor Unlted Charities
I report on the accounts of Old WirKlsor United Charlties (the Charlty) for the
year ended 31st December 2024, vthlch are set out on pages 2 to 4.
Responslbllllles and ba51$ of report
As the charity trustees of the Charlty you are rwslble for the preP￿￿10n of the accounts In accordanee
with the reqUI￿rnents of the Charities Art 2011 (tthe ACVI.
I report in respect of my examlnknon of the ChariV5 accounts carrled out under secllon 145 of the 2011
Act and In carrying out rny examination I have followed all the appticable Dlfections given by the Charlty
Commission under section 145{5}Ib} of the ACL
ITrde￿ndent examlnerfs statem
I have tompleted my examinatlon. I Confi￿ that rK) material matters have come to my attentlon in
connecilon with the examination givin8 me cause to believe that in any material fesF*rt:
l. accounting records were not kept in respert of the charity as ￿quIred by Section of the ACL. or
2. the accounts do not accord with those recon
I have no concerns and have come across rK) Ot￿r matters in connectlon with the examination to which
attention should be drawn in thls report in order to enable a proper understsndlng of the acwunts to be
ached.
Ben Harper
Plalon
2nd Floor, Buildlng 1410
Arlington Buslness Part Theale, RG7 4S4

Old Wlndsor Unlted Charities
General
Restrirted
Retelpts
Residents, contribution5
Investment income
Investment interest
Miscellaneous Into￿ (ind refun(isl
61.692
4.997
61,692
4,997
61.228
4,510
Assets and ￿leS
Trdnsfers arKI sales
Tot￿r￿¢1pts
67.082
67,082
66,238
Payments
Management and runn1￿ costs ofthe Almsh￿.
Staff costs
offi￿ and admlnlstratlon costs
Council tsx and utilltles
General maintenance
14.598
14.518
4.015
24.174
4.281
14,598
14,518
4.015
24,174
4,281
13,453
12.333
3,906
21.980
4.618
Extraordinary maintenance
A¢countsncy and Examine￿$ fees
Investment purchases
61,614
61,614
56,453
Net Ipaymentsmrecelpts
Cash fun(ts at 31stOecember 2023
Cash lunds at 31st December 2024
5.468
9.786
56,213
61.681
6L681
56,213
. The notes on page 4 fonn part of these acfounl

Old Wlndsor Unlted Charitles
Genernl Restricted
Cash lunds
BalanTrs at bankers
Debtors and prepayments
Investnwnt assets at marknt value
Blackrock Charftles funds
M & G Charlty Mult5 Asset Fund
32.974
32,974
32.684
Almshouse property (note 3)
To¢qlassets
Uabl#des
Creditors and accwals
539.580
539,580
531.556
The notes on page 4 fom part of these ac¢ount&
Apr￿￿￿d by the trustees (
21 . ts. 2oS and si8ned on their behalfby:
TRHowe
Trustee
/(
J K Dawson
Trustee

Old Wlndsor United Charities
l. &isls of pyeparatlon
These accounts have been prepared as Receipts and Payments Accounts under S.133 of the Charitles Act 20:
2. Fund accounting
Genernl {unre5trf¢ted) lund&'
General (unrestricted) funds represent rewrce5 which are experrflable at the dlscretson of the Trustees
In the furtherance of the objects of the char5ty.
3. Almshouse property
Cost at 31st December 2019, 2020. 2021. 2022. 2023 and 2024
375,017
The Almshouse property is (y•med freehold. It Is malntsiffted to a high stsndard. The trustees believe that the
property has a ￿￿lue at least equal to the accumulated cost shown aljove and, therefore, depreclatlon
Is not provided in respect of either the land or the butldlng&

CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for the period
From:
01.01.2024 Peri￿￿ start date
To: 31.12.2024 Pwiixj end date
Charity nam•: The Old Windsor Unitsd Charitlos
Charlty reglstrallon number: 240660
Objectives and Activities
Summary of ts wrposes of
the chafity as set wt in tts
govemirKJ do(xlln8nt
1.17
Provi•ion and malrttsnan￿ of
Aknshouses for those In no•d In the
local ar•a al￿ for the gen•ral b•nofft of
rofthe
rish of Clld Windsor.
Th• managomont and malntenance of
Summary of the main
activities in relatkjn to th03&
purposos for thè pui4ic
bènefft. In particltsr. the
activities. prqerAs or sarvices
identified in the accounts.
ststemerrt confirmi
whether the Iwsiees hav8
had regard to the guldaN*
Issued by the Charlty
Pwa 1.17
throughout the y••r.
1.18
Th• Trusto•8 arn awar• al the guldance
rngarding publlc bgn•fiL Th• Tru$tO0•
•r• sallsfiod that the actlvltl•8 of tho
Addltlonal Inforn￿On lopdonal)
You ma
to Indude further statements vthere rel8vant ab(xJL'
Pm 1J8
poli￿ on grant niaking
Parn
Policy on social investmert
induding program relaled
Investrnent
Pw• 1.3VI
Other
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Achlevements and Perfomwnce
Penny Royal's Quinquennlal Inspectlon
took place in July. The rnport stated
thaL" the almshouses were in falr
conditson consistent with their ago and
type of constructlon: tho bulldlngs have
been w•U malntain•d and updated over
Summary of the main
achievements of ts Ltt*.
IdentfytrvJ the differerte the
chariVs work has made to
the cIrcumstsn￿ of its
beneficiaries and any vider
beneffts to xxiety as a
P•zi
ono property, whlch than raqulr•d mlnor
Iwthr¢)om. carn was taken to make It
moro accesslblo for the resldenL
The r•$ldents and trustees enjoyed a
Chrlstmas lunch at a local restauranL
Addltk>n•l Inlomiatlon loption•l)
You ma
Achlevements agak
objedives s8t
Pw 1.41
Perfornianlx of lurKlraising
P•• 1A1
Set
Inv8Stm8nl p8rrom￿rn￿
against obieclives
Pv• 1.41
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Financlal Review
Review of the charit￿$
financ4al pjskn at the end
of the perwjd
121
At the end of 2024 the accounts were In
go(xl onlor. We transferred £4.000 from
account in January 2024. then were in a
account In January 202& Tho doposlt
The Tnmtws regard the flnanclal
itlon as salisfacto .
The charlty recognlses tho naad to havo
sufficient funds in reserve. (readily
avallablo or easNy convertlbh Into cash)
to cov•r day to day oxp•ndltur•, and Ihe
maintenance of older pmpertie•. Cash
roswves wlll also b• neoded In thè evont
that th•rn Is a r•ductlon In monthty
malntenance contrlbutlon (IAMC) Incomo
folowing the departurn of resldents and
ndln
new r••ldènts bèln
Inted.
In ordor to miligato thi6 risk, the trustee•
have cakulated that rnserves of £40,000
would ￿ nwdad to allow thè charlty to
opornlo for at lea•t 6 monts wlthout
Statement explaining Ihe
policrf for holdtng reserves
statiThJ why they are hekj
Px• 122
Amounl of reserves hekj
122
The charws Mnsthutlon requlres th•
ovlslon of an Extraordlnary Rwlr
Fund for the •xtrnordlnary repalr,
Improv•m•nt or r•bulkllng of tho
¥ansh0￿. The trusloos con8ld•r that
a reserve of £75,000 is the current
dent level for thls fund.
Pwa122
reserves
Delails of fund materialty in
defi(ii
Explanalion of any
uncwtsinties about the
d￿rity oxitinuiT¥J as a g¢Jing
Pwd 124
iza
Ywma
charl￿$ wincipal
Sour￿ of funds (induth¥¥J
any fundraising)
Pm 1A7
P*4 1.46
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Investmerrt pcAicy and
objedives induding any
social InVeStrn￿ pdlcy
adopted
A description of the prinqMI
risks facing the thar6ty
Ptha 1A&
Oth
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Structure, Governance and Management
Description (rf charitys
trusts:
Typ8 of govemiThJ d0wrn￿t
Pwa1
How is the tharity
conslltuted7
P*a 125
Trustee selection ff*thods
including delals of any
consbtuiKThI provisK)ns e.g.
election to post or name of
any parson or enli1￿1
to apw)int one or more
trustees
P*• 125
Appolntsd by Parish Councll (PC) and
PanKhlal Church Councll {PCC>
Additlonal Infomiation (Wlonal)
You rna
adopted for tt)e inducti(
and tralnlng of trustees
Th8 charity's ¢Jryanisalwx￿I
structure and any wbjer
P•• 131
Relatlonshlp wlth
relaled parties
Pwa 151
Reference and Administrative details
name
istwed tha
number
Charitys prin¢ipal address
Okl Winds(x.
SL4 2QY
5of6

Iwn• of poTron (¢x i¥)dy)
Jane Daws(m
Ch
Trustee
Antony Wood
Trustee
Trustee
Tony How8
Adel STrKknHa
Mary Sib18y
Parish Councl
pcc
pcc
Trustee
Twstee
Declaratlons
The trustees daclar• thal thoy hav• approvod tho In￿te•S, TOPOrt abov•.
Slgned on bohalf of the charlty'8 truste
sIgna￿rn(S)
Full nwn•($)
Tony How6
P￿ltion (e.
S•cr•tary. Chalr. •tc)
Chair
Treasurer
2(.S.Zt92_3
6of6