G. ROBINSON (Accountants) Limited
Chartered Certified Accountants
VAT Reg No. 884 7038 87
14 Broad Street
Ludlow
Shropshire SY8 ING
Tel: 01584 872215
Fax: 01584 872215
e%Thall: 8rdocroblnsonalaol.com
08 July 2026
Mr C E Wllliams
2 Jockeyfield
Ludlow
Shropshire SY8 ILP
Dear Mr Williams
Hoyser.Foxe Charlty
Charl
Further to the completlon of the 2025 Accounts for the two above charltles for the year ended,
31 December 2025.13m able to [￿tIfy you that there were no significant matters arislng from the
Independend examinadon.
Yours ￿ncerelY
Graham Roblnson, FCCA

SIR JOB CHARLTON HOSPITAL CHARITY
FINANCIAL STATEMENTS
FOR THE YEAII Et4DED 31 DECEMBÉR 2025

SIR JOB CHARLTON HOSPITAL CHARITY
FINANaAL STATEMENTS
For the Year Ended 31 DECEM8ER 2025
Ststement of Trustee Responsibilities
P•8e I
Report of the Audltors
Page 2
Income and Expenditure Accounl
Pa8e 3
Balance Sheet
Page 4
Notes to the FinancSal Statements
Pages 5 to 8
G. Roblnson (Ac¢outitants) Umited
Chartered CertSlled ACCI￿￿tants
etistered Audltors
14 Broad Street
Ludlow. ￿ropshir¢ SY8 ING

SIR JOB CHARLTON HOSPITAL CHARITY
Statement of Trustees. Respofislbllltle5
Housin8 Association and Charity legislation require Trustee5 to prepare Finandal
Ststements for each financial year whith give a true and fairview of the state of
affairs of the Charity as at the end of the financTral year and of the surplus or deficit
for that period.
In preparln8 the Financial Statements. suitable accountin8 policie5 have been adopted
and con5iStently applied, to the best of the Trustee'5 knowledge and bellef, by
reference to reasonable and prudent jisd8err..ents and estimates. Applicable
accounting standard have been followed.
The Trustees are responsSble for maintainln8 adequate accountln8 records, for
5afe8uardin8 the assèts of the Charity and fDr preventln8 and detectin8 fraud and
other Ir￿8UIarItIe5.
The Trustees are also requlred to indlcatè where the Flnancial Statements are
prepared other than on the basis that the Charity is a golng concern.

REPORT OF THE ACCOL114TANTS
TO THE TRusfEES OF
SIR JOB CHARLTON HOSPITAL CHARfrY
We have examlned the financlal statements on pages 3 to 8 which have been prepared under
the accountin8 policies set Dut on ￿se 5. and correctty established that an Accountant'5 Report
Is permltted.
Res
rtlve R
s of Trustees
A5 descrlbed on paEe l. the Charity's Trustees are responsible for the preparation of the
Financlal 5talements. It is our responsibility to fomi an independent opinion. based on our
examination of these Statements and to report our opinion to you. It is also our responslblllty to
state the fact in our report, if we are of the opinion that the Charlty has not maintained
satisfactory systÈm of control over It's transartions.
We conducted our examlnatlon in accordance with Auditing St)ndards Issued by the Audltln8
Practice5 Board. It includes examlnatlon, on a test basis, of vrfidence relevant to the
amounts and dlsclosures In the Financial Statements. It a150 Indudes an assessment of the
$18nlflcant estimates and Judgements made by Trustees In the preparatlon of the Flnanclal
Statements. and of whether the accounting policies are appropriate to the Charlty's
¢lrcumstances, consistently applied and adequitely d15closed.
Inl
On the ba515 of the attountin8 records. the accounts compty with the requirements of the
Charities Act 1993. In our oplnion, the Financial Statements 8lve a true and fair view ol the
state of the Charity'5 affalrs at 31 December 2025 and of it's surplus for the year then ended and
have been properly prepared In accordance with the Trust Deed, the Housin8 and Re8eneration
Act 2(K)8 and the Accountin8 Requlrement5 for Re8lStered Social Landlords General
Determinatlon 2006.
G. Robinson IAccountant51 Llmlted
Charrered Certifled Accountants
14 Broad street
Ludlow
Shrop5hlre SY8 ING
09 July 2026

SIR JOB CHARLTON HosprrAL CHARITY
Income and Empendlture Account
Year Ended 31st December 2025
Notes
2025
2024
TURNOVER
Income
28,611
22.919
Less: OPERATING COSTS
22.855
36,698
5,756
113,7791
Interest Receivable and Other Income
1.870
2,248
Surplus/lDeficltl bèfore Taxation
7.626
111.5311
Taxatlon
5URPLUSIIDEFICIT) FOR THE YEAR
12
7,626
111,531
Slr Job Charlton Charlty has not acqulred or dlscontlnued any fvnd actNitles during the
above two flnanclal years.
The Charlty has no reco8nised 8ains and105ses other than those Included In the above
Income and E¥pendlture Account. Therefore no separate statement of total recognised
ains and losses is included.
/.. Trustee
Trn5tee

SIR JOB CHARLTON HOSPITAL CHARITY
Balanto Sheet
As at 31 December 2025
Notes
2025
2024
FIXED ASSETS
Housing Properties..
Co>(
Investments
26.843
25.743
CURRENT AS55ETS
Debtors
Cash at Bank and in Hand
794
9,124
771
2,515
36,761
29,029
CREDITOR5
Amounts falllng duÈ within one year
io
1,754
34,901
27,275
CAPITAL AND RESERVES
Reser¥•5
Balance brought forward
Surplus/lDeficltl for the Year
27.275
7.626
38.806
111,5311
Totsl Capltsl, Reserves and Credltors
34.901
27,275
These Financial Statements were approved by the Committee Management on
and signed on its behalf by the Trustees.
./. Trustee
Twstee

SIR JOB CHARLTON HOSPITAL CHARrrY
Notes to Flnancial statèments
For the Year Ended 31 De¢ember 2025
I. PFIINCIPLE ACCOUNTING POLICIES
The format of the account ha5 been revised io compfy with Registered Housin8
Associatlons (Accounting Requlrementsl Order 1992 arbd the Statement of Recommende(I
Practlce Accounting by Registered Housing As50cialions. The effect of this has been to
change certain of the A55ociation's accountin8 policies. Comparative figures have been
reststed a¢cordin81y.
The Flnanclal Statements have been prepared In atcordance with applicab￿ Attountlng
Standards in the United Kln8dom. A stjmmary of the more Important accountln8 policles Is
Set Dut below.
(al Basis of Accountin8
The flnancial 5tatemen*s are prepared on the historical c05t ba51s of accountin8.
Ibl Turnover
Turnover represents maintenance contributlons receiwdble.
Icl Housin8 Propertles
The Hosyer-Foxe Charlty properties were constructed many years a80 and there is rK4
record of the original cost and no value is attributable thereto.
Depreclation
Dep￿CIatIOn has been charged on the orl8inal cost of improvements.
Id} Extraordinary Repaiis
Costs of Extraordinary Repairs, unless representing improvements to the properties, are
char8ed to the Revenue Account in thp year in whlch they are incurred.
(el Value Added Tax
The Sir Job Charlton Charfty is not registered forvalue Added Tax. In these Flnancial
Statements. where applicable, expend.;ture is shown inclusive of VAT.
If) Apportlonment of Management Expeii.ies
Finance and Administrdtion costs are apportToned between Management and Service
C05t5 on the basis thai 50% of the Finance and Administration Costs are attributable to
Service Costs and the balance lo Management.
181 Cash Flow Statement
Under Financial Reporting Standarfl Nn.l. the Tm5t is not required to prtyjuce a Cash Flow
Statement.

SIR JOB CHARLTON HOSPITAL CHARITY
Notes to Finanr4al Statements
For the Year Ended 31 December 2025
2025
2024
2 DIRECTOR'S EMOLUMENTS
The Directors are defined as the TfU5te¢5 and the aerk to the
Trustees.
Emoluments
4,500
3,300
The number of Directors, induding the hi8he5t paid Dirertor.
who received emolument5 in the followin8 ranges were .
£1,501 to £5,0
The total expenses reimbursed to the Directors not thargeable
to United Kingdom Tax
3 EMPLOYEE INFORMATION
The average weekly number of per5on5 Ilndudin8 the Clè
to the Trustees) Ernployed durln8 the year was '.
Office Staff
Staff Costs .
Salaries and National Insurance
4,5LKI
3,300
4 INTEREST RECEIVEA8LE AND OTHER INCOME
Investment Incow.e
Grazlftg Income
Wayleave
470
447
300
63
770
810
5 SURPLUS ON ORDINARY ACTivmES BEFORE TAXATION
Surplus on Ordinary Athvities before Tcxation 15 Stated after
charging
Auditors, Reimuneration IlnclLKlin8 VATI In their capacity
as Auditors
1,585
1.470
6 TAXATION
The Sirjob Charlton Charity is a regIste￿d Charity, and is.
therefore, eiempt from liability to taxation on it's Income and
Capital Gains.

SIR JOB CHARLTON HOSPITAL CHARttY
Notes to Financial Statements CA)ffttlnu•d
For the Year Ended ai December 2025
2025
2024
7 DEBTORS
Prepayments and Accrued Income
867
8 FIXED ASSETS
The Sir Job Charlton H05Pltal Charity propertles were constnjcted
manyyear5 aBO.
There 15 no record of the origlnal cost and no value is
attributable ihereto,
9 INVEsfMENTS
The Sir Job charlton Hospltal Charfty Investments were acquired
many years a80.
There is no trace so far of Ihe original cost before 01 January 1993
and no value is attributable thereto.
Cost or Base Cost .
At 01 January 2025
Additions during the Year
Wlthdrawals durfng the Year
Accumulated Income
25.743
32,305
1,100
26,843
1,438
25,743
The Investments comprise the followlng:
NA4CIF - 11,053 Income Shares
1,736 Acclimulation Shares
COIF Deposlt Account
Balance at 31 December 2025
26,843
26,843
25,743
25.743
Market Value at 310ec@mber2025
244.669
220,455
10 CREDITORS
Amount5 falling due aftp.r more than ope Year-
Creditors and Accruals
1.860
1,754

SIR JOB CHARLTON HOSPITAL CHARrrY
Notes to Flnanclal 5tstemeDts contlnued
For the Year Ended 31 December 2025
2025
2024
11 CONTINGENT LIABILITIES
At 31 December 2024 and 2023,there were no known contingent
12 PARTICUiAR5 OF TURNOVER AND OPFRATING SURPLUS
BEFORE COSTS IN RESPEcf OF HOUSING ACCOMMODATION
Income from Lettings
Operatlng Costs
28,611
23,373
5.238
22,919
36,698
113,7791
Other Income..
Interest and Similai Income
1,570
1,885
SurpluJl(D•ficltl before Taxatlon
111.8941
Investment Income
Total Surplus/lDefklt) b￿Ore Taxath>n lor the p•rl¢xl of
Account
3iXI
363
7.108
11,5311
13 OPERATING COSTS FROM LEMNGS
ouslnl Accornmodatlon (6 Unltsl
Services
Management
Maintenance
7,454
7.828
7.573
22.855
9,126
7,433
20,139
36,698