Charity number: 256907
THE W L PRATh CHARITABLE TRUST
UNAUDITED
TRusfEES' REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 5 APRIL 2024

THEW L pRA￿CHARITABLE TRUST
CONTENTS
Pa8e
Retsence and Adrnlnl3tr4tlv• Detalls of th• Charlty. Its Trustees and Ad¥is•rs
Trustees, R•port
Independent Exarnlner's Report
ststement of Flnandal Artlvltles
Balance Sheet
Not•sio th+ Flnlnchl Ststem•nts
9-20

THE W L PRATT CHARITABLE TRUST
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY. ITS TRUSTEES AND ADVISERS
FOR THE YEAR ENDEDS APRIL 2024
Trustees
CMTetl
l D Barstow
CEWPratt
Charlty rezlster•d number 256907
Prlndpal offl
Grays Sollcltor5 LLP
Duncombe Place
York
Yol 70Y
ankerg
CAF Bank Ltd
25 Kings Hlll Avenue
West Mallln8
Kent
ME19 4JQ
Solldtors
Grays Sollcltors LLP
Ouncombe Place
York
YOI 7DY
In¥•rtm•nt Mana8•r
Qullter Chevlot Asset Management Ltd
One Kln8sway
London
WC2B 6AN
Inv•stment ManaB•r
JMFlnn
25 Copthall Avenue
London
EC2R 7AH
Ind•pefident Examlner
Rachel Heath FCCA DChA
BHP LLP. Chartered Attountsnts
Alevaulx House
1 St Mary's Court
York
Y024 IAH
Page I

THE W L PRA￿ CHARITABLE TRUST
TRUSTEES, REPORT
FOR THE YEAR ENDED 5APRIL 2024
The Trustee5 present their annual report together wlth the Ilnanclal statements of the W L Pratt Charltable TTUSt for the
vear 6 April 2023 to 5 Aprll 2024. The trustee5 have adopted the provisions of the Statement of Recommended Practice
ISORPI"Accountin& and Reporting by Charltles" in preparlng the annual report and financial statements of the charlty.
The financlal statements have been prepared In accordance with the accountlng pollcies set out In note5 to the accounts
and tomply wlth the charity's governing document. the Charlt5es Att 2011 and Accounting and Reporting by Charlties..
Statement of Recommended Practice applicable to charities preparing thÈlr accounts in accordance wlth the FlnancSal
Reportlng Standard applicable In the UK and Republic of Ireland published In October 2019.
Objertlves ond urtlvltles
. Objects
The Income ol the charity Is to be applled in the payment ol donations or subscriptions to such charltable bodles or
Snstltutlons for all or any of thelr charltable oble¢ts or purpose5 or to or for such other charitable objects or purposes a5
the Trustees thlnk lit.
b. Publ1¢ ben•fit
The chariV5 pr5mary oblectlves are to 5UPPOrt 50clal objectSves Sn York and dlstrlct, wlth more limlted 5UPPOrt for national
and international objectlves
The Trustees ￿nfIrM that they have referred to the guidance tontained in the Charlty Commlsslon'5 general 8uldan¢e on
public benefit In setting the objettlves and plannln8 the actlviues of the or8anlsation.
c, Gr•nt maklni pollcles
The frustse5 meet annually to conslder thè charitV'5 grant-maklng actlvitles. The bulk of the tharlty'5 avallable Income
fund 15 dispensed followln8 the meetlng but further 8rants can sometlmes be made at other tlmes to meet special
circumstances.
A¢hle¥ements andperformunce
•. Re¥lew gf actlvltles
The Trustees made grants totsllln8 £46,300 In the year ended 5 Aprll 202412023.. £53,050). These are Ilsted In note 15.
The total grants made to charitSes re8ularly supported by the Trustees were..
Overseas Aid CharltSe5
UK National Charitie5
York and Dlstrict Charities
£2,300
£13,100
£24,900
The Trustees applièd the balance of £6,c￿ In making one-off Brants to other charities.
b. Investment pollry
The Trustees are given power by their 8overning docurnents to invest in stocks, funds, shares, securitie5, or other
investments or property and change Investments as if they were beneficially entitled to the trust property.
Fincnclol revlew
Page 2

THE W L P114TW CHARITABLE TRUST
TRUSTEES, REPORT ICONTINUEDI
FOR THE YEAR ENDED 5 APRIL 2024
a. Golng concern
After making approprlate enqulrle5. the Trustee5 have a reasonable expectation that the charfty has adequate resources
to contlnue in operational existence for the foreseeable future. For this rea50n, they contlnue to adopt the 80in8 concern
basi5 in preparing the flnanclal statements. Further details regarding the adoption ol the 8oln8 concèrn basls can be found
In the accountSn8 policies.
b. Prlnclpal rlsk5 and uncertalntl•s
The princlpal rfsks to whlch the charity Is exposed, are the securlty and the performan¢e of the investments and cash and
the Trustees are satlsfled they have arran8ements in place to mits8ate those rlsks.
c. Reserves pollcv
At 5 Aprfl 2024 the charlty had unrèstrlcted funds of £50,78012023'. £43,325). The Trustee5 conslder It to be prudent to
hold Income reserve5 of thls order partly so that the level of grants In the Immediate future can be sustaSned In the event
ol any unforeseen fall In Income arnd pèrtly to enable the Trustèes to make one or more partlcularly substsntlal 8rants
without prejudlclng the norrnal pattern of grant making.
d. Ertdowment fund
The chorltys non-permanent endowment fund malnly ¢omprSses quoted stock exchange Investments ènd cash held by thè
investment mart88ers. The total net 8alns for the year were £76,293 12023.. net losses £197.3791 and after deducting
empendlture on mana8ement and administratlon of £21,190 12023.. £20,074) and deductin8 £80 12023.. adding £2761
arislng from exchange dSfferences, the overall increase of £55,10312023'. decrèase of £217,177) wos added to the Capital
Fund.
è. Incorne fund
The gross Incorne of thÈ tharlty lor the year ènded 5 April 2024 was £59,61712023.' £63,808). A total of £46,3c*J12023.'
£53,050) was applled as direct charitable expenditure in the form of grants. Other expendlture on mana8ement and
admlnistr*lon wos £5,86212023'. £7,450) and the net galn of £7,45512023.' nei gain ot £3,032) was added to the income
fund.
Pa8e 3

THE W L PIL1￿ CHARITA8LE TRUST
TRUSTEES, REPORT (CONTINUED
FOR TrIE YEAR ENDED 5 APRIL 2024
Strurture4 aovernonce •ndmanaqemtnt
. Constltutlon
The W L Pratt Charitable Trust is constStuted by a settlement by William Leslie Pratt dated 6 Au8U5t 1968 and an order
under the Charitles Act 1960 sectSon 23 sealed by the Charity Comrnlssioners on 13 July 1993. The tharity is re8lStered
wlth the Charlty Commlsslon- number 256907.
b. Methods of appolntment or •lertlon of Trustee5
The Trustees for the year ended 5 AprS12024 art named on page l. The mana8ement of the charity Is the responslbllity of
the tfUStees who have the Statutory powerto appolnt new Trustees.
¢. Organlsatlonal strurturt and de¢151on fflaklnK
The day to day admlnlstfation of the charity Is carrled out by Grays Sollcltor5 LLP but dec151on maklng Is not delegated and
remaln5 In the hands ol the Trustees.
Plans for future perlods
Thè Trustee5 hope to malntaln thelr current level of grant rnakSng but recognlse that thls wlll b• dependent on the
performance of their Investments.
siatement of Tru5tees' r•spon51bllltle5
The Trustees are fespon51ble for preparln8 the Tru5tees' Report and the financSal statements In actordance wlth
appllcable law and Unlted Kln8dom Accountin8 Standards Iunittd Kln8dom Generally Accepted Accountin8 Practlcel.
The law appllcable to charltles Sn England & Wales requires the Trustees to prepare flnartclal statèments for each flnanclal
whlch 8ive a true and falr vlew of the state of affairs ol the charlty and of Sts incomSn8 resources and applicatlon of
resources, intludlng Sts Income and expenditure, for that period. In preparlng these financial Statements, the Trustees are
requlred to..
select sultable accounting polScies and then opply them con51stently,'
observe the methods and princlples of the Charitle5 SORP 2019 IFRS 1021.,
rnake judgments and accounting estlmates that are reasonable and prudent,.
state whether applicable UK Accguntlng Standards IFRS 1021 have been followed,.
prepare the flnancial statements on the goln6 concern basis unless It is inappropriate to presume that the charity
will tontlnue In businèss.
The Trustees are responsible for keepln8 adequate accounting records that disclose with reasonable accuracy at any time
the financial position of the charity and enable them to ensure that the financial statements comply with the Charlties Art
2011, the Charity (Accounts and Reports) Regulations 2008 and the provi51ons of the Trust deed. They are also responsible
for safeguarding the assets of the thartty and hence for taklng reasonable steps for the prevention and detertion of fraud
and other irre8ularitie5.
P38e 4

THE W L PRATh CHARITABLE TRUST
TRUSTEES, REPORT ICONTINUEDI
FOR THE YEAR ENDED 5APRIL 2024
Approved by order of the members of the board of Trustees and 518ned on thelr behalf bv:
C M Tetley
ITrusteel
Date..
Page 5

THE W L PRA￿ CHARITABLE TRUST
INDEPENOENT EXAMINER'S REPORT
FOR THE YEAR ENDED 5 APRII 2024
Indepgndent Examlner's Report to the Trustees of The W L Pratt Charltable Trust I'the charlty'l
I report to the charit¥Trustees on my examinatlon of the accounts of the charity for the year ended 5 Aprfl 2024.
Respon51bllitles and Basls of Report
As the Trustees of the charity you are responslble for the preparation of the accounts In accordance wlth the
requirernent5 of the Charltles Art 20111'the 2011 Act'l.
I report respect of my examlnatlon of the charlty's accounts Carded out under 5ectlon 145 of the 2011 Act and in
carrying out my examlnatlon I have followed the appllcable Dirèctlon5 given by the Charlty CommSsslon under secti?n
14515llbl of the 2011 Act.
Independent Examlner'$ StOt¢m•nt
I have completed my examinatlon. I conllrm that no matters have corne to my attentlon In connectlon wlth the
examlnatlon 8lvlng me Cause to belleve that in any materSal respect..
accountln8 re¢ords were not kept In respect of the charSty as required by sertSon 130 01 the 2011 Act,. or
the acctsunts do not accord wlth those records; or
the account5 do not comply wlth the appllcable requlrement5 ￿nCernIng the fomi and content of atcounts set
out in the Charities IAccounts and Reports) Re8ulatlons 2008 other than any requlrement that the accounts give
'true and falr, vlew which Is not a matter consldered as part ol an Independent examlnatlon.
I have no concern5 and have come acr055 no other matters In connectlon wlth ihE examinatSon to whlch attentlon should
be drawn In thls report In order to enable a proper understandlng of the accounts to be reached.
Slgned..
Dated..
6 December 2024
Signor ID." WKOLTHN
Rachel Heath FCCA DChA
BHP LLP
Riveaulx House
I St Mary's Court
York
Y024 IAN
Page 6

ThE W L CHARITABLE TRUST
STATÉMENT OF FINANCIAL AcfiviTIES
FOR THE YEAR ENDED 5APRIL 2024
Unrestrlrted
lunds
2024
Endowment
lunds
2024
Total
fund5
2024
Total
fund5
2023
Note
lfficomo and endt)wmenls Irom:
Investments
59.617
59.617
63,532
276
Other income
Total Incorne and endowments
59.617
59.617
63,808
E¥pendlture on..
Ra55in8 funds
Charltable art5vltles
15.339
5W51
15,339
58013
12,728
67,846
52.162
Totsl eXp•b￿ltUre
52,161
21.190
73,352
80,574
Net In¢omelleMpendlturel befor• net
Kalnslllosgesl on In¥e5tments
Net Baln5/llossesl on Investmènts
7.455
121,1901
76,293
{13,735}
76.293
116,7661
1197,3791
Net movement In lunds
7A55
55.103
62,558
1214,1451
Reconclllatlon ot funds:
Total funds brought forward
Net movement In funds
43,325
2￿46,631
55.103
2.091,957
62,558
2,306,102
1214.1451
Total funds carrfed lorw•rd
12
50.780
2,103.735
Z.154.515
2,091,957
The Statement of Finantlal A¢tivltle5 Includes all galns and losses recogni5ed In the year and relate to contlnulng
Pa8e 7

THE W L PRATh CHARITABLE TRUST
BALANCE SHEET
ASAT5 APRIL 2024
2024
2023
Flxed a$5ets
Investments
2.133,254
2,071,096
13J,2S4
2,071,096
CuN¢nt as*t5
Debtors
Cash at bank and in hand
io
1,242
28.384
7,513
27,029
29,626
34,542
redltors.. amounts fallln8 due withln one yèar
li
18.3651
113,6811
Net curr•nt assets
21.261
20,861
Total net assets
2,IS4.515
2,091,957
Charltyfunds
Endowment funds
Unrestrl¢ted funds
12
2.103.735
50,780
2,048,632
43,325
12
Total fyndi
2,154.515
2,091,957
The flnanclal statements were approved and avthor15ed for 5ssue by the Trustees and sl8ned on theSr behaK bv..
C M Tetlev
(Trustee
Date..
Ll-tsut
The notes on pa8e$ 9 to 20 forni part of these financlal ststements.
Page 8

THE W L PRArr c￿lARITABLE TRU
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 5 APRIL 2024
A¢countin8 policles
1.1 Bosls olpreparntlon oAfinonclulstotements
The flnanclal Statements have been prepared to 8lve a 'true and fair, vlew and have departed from the
Charltles (Account5 and Reports) Re8ulations 2008 only to the extent requlred to provide a 'true and falr.
view. Th15 departure has involved followin8 the Charltles SORP IFRS 1021 published In October 2019 rather
than the Accountln8 and Reportin8 by Charit5es.' Statement of Recommended PractSce effective from l April
2006 whlch has slnce been withdrawn.
The flnanclal Statements are prepared on a going concern basis under the historical cost conventlon, modlfled
to Intlude certaln Items at fair value. The fSnancial statements have been prepared in accordance wSth the
ststement of Recommended PraclSce.' Accountln8 and Reporting by Charitles preparlng their accounts In
accordance wlth the FSnanclal Reportln8 Standard applicable in the UK and Republlc of Ireland IFRS 1021
Sssued Sn October 2019 and FSnanclal Reportln8 Standard app15cable In the United Kln8dom and Republlc of
Ireland IFRS 1021 and Charltles Act 2011.
The W L Pratt Charltable Trust meets the deflnltlon of a publlc beneflt ent4ty under FR5 102.
The fSnanclal statements are presented In stertln£ whlch is the functlonal currerncy of the charity and rounded
to the nearest E.
1.2 6olno concern
The flnanclal Statements have been prepared on a 8oln8 concern basls as the trustees belleve that no
matedal uncertalntle5 exlst. The trustees have considered the level of funds held and the expected level of
Income and expendlture for 12 month5 from authorlslng these flnancial statements. The budgeted Income
and expendlture Is sufflclent wlth the level of reseNes lor the ¢harity to be oble to contlnue as a 80Sng
concern.
1.3 lftcome
All Income 15 recgBnlsed once the charlty has Èrttitlement to the intome, it Is probable that the Ineome wlll be
received and the arnount ot Income recelvable can be measured rellably.
Incorne tsx recoverable In relatlon to Investment income Is reco8nlsed at the time the Investment Income 5s
receivable.
1.4 Expendlture
Expenditure Is reco8nised once there is a legal or constructive obligation to make payment to a third party, it
is probable that Settlement will be requSred ond the arnount of the obli8ation can be measured rellablv.
l expenditurE is accounted for on an accruals basis. All expenses includlng support costs and governan¢t
COSt5 are allocated to the applicable expenditure headings.
Expenditure on cha￿tsbIe actlvities Is incurred on direttly undertaking the artivitles which further the
tharSty's objectives, as well as any assotiated support Costs.
Page 9

THE W L PRA￿ CHARITABLE TRUST
NOTES TO THE FINANCIALSTATEMENTS
FOR THE YEAR ENDED 5 APRIL 2024
Accountln8 pol•cies lcontinuedl
1.4 Expendltiire (contlnuedj
Grants payable are tharged the yeaT when the offer Is made except Sn those cases where the oller Is
¢ondltlonal, such grants belng recognised as expenditure when the condltSons attachln8 are fulfilled. Grants
offered sublect to condltions whlch have not been met at the year Énd are noted as a commltment. but not
accrued a5 expenditure.
All e¥pendltuTe Is Incluslve of Irrecovèrable VAT.
1.5 Interest recelvaljle
Interest on fvnds held on deposlt 15 Included when recelvable and the amount can be measured rellably by
the charlty,. thls Is normally upon notlflcatlon of the Interest pald or payable by the Instltution wlth whom the
funils are dèposlted.
1.6 Toxotlon
The charlty Is considered to pass the tests set out In Sch. 6, para. l of the Flnance Act 2010 and therefore it
meets the deflnltlon of a charity for UK Income tax purposes. Accordlngly. the charltyls Potentlally exempt
from taxatlon In rÈspe¢t of Income or cap5tal 8alns recelved wlth tategorles covered by Income Tax 2007, Part
10 5521- s537 or s.256 of the Taxatlon of Char8eable Galns Art 1992, 10 the extent that such Income Dr 8alns
are applled extluslvely to charitable purposes.
1.7 Ihvestmtnts
Investments are a form of ba55c fSnanclal instrument and are inltlally recognlsed at thelr transactlon value and
subsequently measured at thelr faSr value as at the balance Sheet date usln8 the closln8 quoted market prlce.
The Statement of Flnanclal Attlvltles Includes the net 8alns and 105ses arfsln8 on revaluation and dlsposa15
throughout the year.
Cash held by the Investment managers as part of the Investment portfollo Is Included In the balance sheet
withln Investments.
1,8 Debtgrs
Trade and other debtors are reco8nlsed at the settlement amount after any trade discount offered.
Prepayments are valued at the amount prepald net of any trade dlscounts due.
1.9 Cush otbonkand In I￿nd
Cash at bank and In hand indudes cash and short-term hi8hly liquid investments wlth a short maturlty Of
three months or less from the date of acqulsltion or openlng of the depDSIt or similar account.
Page 10

THE W L PRA￿ CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED5 APRIL 2024
A¢countin8 pol•¢ies Icontlnuedl
1.10 Uabllltles andprowsions
Llabilities are reco8nlsed when there Is an obll8atlon at the Balance Sheet date as a result of a past event, It is
probable that a transfer of economlc beneflt will be requlred Sn settlement. and the amount of the settlement
can be estlmated reliably.
UabSlltles are reCo￿lsed at the amount that the charlty an￿rIpate$ it wlll pay to settle the debt or the
amount It has recelved a5 advanced payments for the Boods or servlces It must provSde.
1.11 Flnonclollnstruments
The charlty only has flnanclal assets and financlal 1Sabilitles ol a klnd that qualify as baslc flnanclal
Instruments. Basic linanclal Instrurnents are Initlally reco8n15ed at transaction value and subsequently
measured at thelr settlement value with the exception of bank loans which are subsequently measured at
amortlsed cost uslrtg the eflectSve Interest method.
1.12 Fund otcounrlftq
General fund5 are unrestricted funds whlch are avallable for use at the dlscretlon of the TNStees In
furtherance of the Beneral obleetlves ol the charity and which have not been desl8natÈd lor other purposes.
Endowment funds cornprlse an expendable endowment where the Trustee5 have the power to spend the
capitèl. Income arlslng from the fund is unrestricted.
Investment Income
Unrestrlcted
funds
2024
Tot•1
funds
2024
Total
funds
2023
Income from local listed Snvestmènts
Investment Income- forelgn listed Investments
Investment Income- bank Interest
40,343
17,367
1.907
40,343
17,367
1,9Q7
46,413
16,726
393
59,617
59,617
63,532
Total 2023
63,532
63,532
Page 11

THE W L PRATT CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 5APRIL 2024
Ra151n8 funds
End4)wment
funds
2024
Totsl
funds
2024
Total
funds
2023
Investment management fees
15,339
15,339
12,728
Total 2023
12,728
12,728
Charltable •ctlvlt1•5v Kr4nt fvndlng of acilvltlei
Grants to
In5tltutlons
1024
Total
fvnds
2024
Total
funds
2023
Grants and donatlonslsee nots 151
46,3(Kl
46.300
53.050
Total 2023
53,OSO
53,050
Anatysls of expendlture by artl¥ltles
Giant fundln8
Ofac￿VItIeS Support costs
2024
2024
Totjl
funds
2024
Total
funds
2023
Grantmaklng
46,3th)
11.713
58.013
67,846
Total 2023
53,050
14.796
67.846
Page 12

THE W L PRAThCHARtrABLE TRUST
NOTESTO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 5APRIL2024
Analysbs of expendbture by acuvltles Iconllnuedl
Analy5b5 01 sUPPOrt ¢oMs
Total
fuftd5
2024
Total
funds
2023
Governance costs
11,713
14,796
Support Costs- #¢)vèrnan￿ costs
Unrejirlcted Endowrneht
fundi
lunds
2024
2024
Total
fund$
2024
Total
funds
2023
Independent examlner's fees
Trust adminlstratorfs fees
Trustees, expenses
Bank charges
Losses on fortlgn exchan8e
L338
4.317
117
1.338
4,317
116
1.676
8,634
133
2,620
11,929
144
103
5.862
5.851
11,713
14,796
Total 2023
7,450
7,346
14,796
The above costs represent the followlns percentages of the value of the respertive fund..
Endt)wment fvnd
0.21%12023.' 0.29%)
0.06%12023'. 0.06%)
Unre5trlcted Income Fund
8.50%12023.. 13.77%>
2.63%12023: 3.02%)
Trust administrator's fees
Independent examiner5 fees
Page 13

THE W L PRArr CHAR￿ABLE TRUST
NOTES TO THE FINANCIAL STATEMENT5
FOR THE YEAR ENDED5APRIL 2024
FO￿1￿n ex¢hani• movement5
Endowment
fund5
2024
Total
funds
2024
Totsl
funds
2023
ILosses118alns on Èxthange rates
276
Any 8alns on exchange rates are shown within the Statement of Flnandal Attivlties under other Sncome, and anv
losse5 Qn exchanges rates are shown Under other expenditure wlthln the appropriate fund.
Trugtee5' remuneratlon and •xp•n5es
Durln8 the year, no Trustees re￿1Ve￿ any remuneratlon or other beneflts12023- £NILI.
Durlng the year ended 5 Aprll 2024, £233 was relmbursed oi pald dlre¢tly to 3 Trustse512023: £144 pald to 3
Tru5tèÈsl. Thls related to the Trustees, meetin8 costs.
Nx•d ass•t In¥￿trn¢nts
L15teil
Investments
Tot81
2024
Tot•1
2023
Cost or bvluatlon
At 6 April 2023
Addltlons
1,999,542
929,518
1975,2701
1,999,542
929,518
1975,2701
2,091,215
604.592
Dlsposals
Revaluations
1498,8861
76,293
76.293
1197.3791
At 5 Aprll 2024
2,030,083
2,030.083
1,999.S42
Investment Cash
103.171
103,171
71,554
2,133.254
2.133,254
2,071,096
At 5 April 2024
Hlstorlcal c05t
1.794,683
1,794.683
1.745.652
Page 14

THE W L PRA￿ CHARITA8LE TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 5APRIL 2024
ID.
Debtors
2024
2023
Due wlthln oneyeur
Accrued Incomè
1,142
7,513
1.242
7.513
ii.
Credltors: Arnounts talllni due wlthln one year
2024
2023
Trade credltor5
4,293
9,388
Accrua15
S￿65
8,36S
13,681
Page 15

THE W L PIIATh CHARITABLE TRUST
NOTES TO THE FINANCIALSTATEMENTS
FOR THE YEAR ENDED 5APRIL 2024
St•t•ment of funds
Staterneht of funds- turrènt year
Ba￿Tr¢• * 6
Aprll 2023
Galnsl
Incun•
Experbdlture
Aprll 2024
Unrestrlrtedfvnd5
Intome fund
43.325
59,617
1511621
50.780
Endowmentfvnds
Capltal fund
2,048,632
121,1901
76293
2,103,735
T?tolvJJyndJ
2,091.957
59,617
173.3521
76.293
2.154.515
5￿ten￿nI ol funds. prlor y••r
8alance at
6 Apr412021
Galn51
Balance at
ILossesl 5 AprS12022
Income
Expendlture
Unrestrktedfvnds
Income fund
40,293
63,532
160,5001
43,325
Endowmtntlvnds
Capltsl fund
2.265,809
276
120,0741
1197,3791
2,048,632
Totaloffvnds
2,306.102
63,808
180,5741
1197,3791
2,091,957
Pa8e 16

THE W L PILA￿ CHARtrABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENQED 5APRIL 2024
13.
Summary of fund$
Summary of fvnds- Currènt ￿ar
Balanc•at 6
Aprfl 2023
Galn
Balanceat 5
Apill 2024
Incom•
Expendlture
General funds
43.325
1048.632
59.617
152.162}
I21.1￿)
SO,780
2,103.735
Endowment fund5
76,293
2,091,957
59,617
173.3521
76,293
2,154.515
Summary ol fvnd$- prtor year
Balance at
6 Aprll 2022
Gainsl
IL05sesl
Balance at
5 April 2023
Income
Expendlture
General fvnd5
Endowment funds
40,293
2,265.809
63,532
276
160,5001
120,0741
43,32S
2.048,632
1197,3791
2,306.102
63,808
180,5741
1197.3791
2.091.957
Analysls ol net a55et5 between funds
Analys1$ of net assets betwe•n fvnd$- ¢urrent peN¢d
Unrestricted Endowment
fvnils
funds
2024
2024
T4)tal
funds
2024
Flxed asset Inve5tmÈnts
2,133.254
125,3371
14,1821
2.133.254
29,626
18.3651
Current assets
54.963
14.1831
Creditors due withln one year
Totsl
50.780
2.103,735
2.154.515
Page 17

THE W L PRATh CHARITABLE TRusr
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED5APRIL 2024
14.
Analysls ol net assets between fvnds Icontlnuedl
An•lysls of net assets between funds- prlor perlod
Unrestrlcted
lunds
2023
Endtswment
fund5
2023
Total
fund5
2023
Fixed a55et Investrnents
2,071,096
113,4771
18,9871
2,071,096
34,542
113,6811
Current assets
48,019
14,6941
Credltor5 due wlthln one year
Total
43,325
2,048,632
2,091,957
Page 18

THE W L PFLAThCHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 5APRIL 2024
15.
Grants and donallons
2024
2023
OVERSEAS CHARMES
Deafkldz International (formerly Sound Seekersl
Dlsa5ters Emergency Commlttee
Si8ht Savers International
I,IoD
1.1
5.000
1.200
1,200
2,3￿)
7,3(Q
YOAKAAID DISTRICT QIARlnES
A8F The Soldlers Charlty
Autlsm An8e15
Brltlsh Red Cr05s North Yorkshlre Branch
5CQ
Camphlll Wlla8e Tru5t.' Botton Vlllage
Camphlll Vllla8e Trust: Croft Q>mmunlty
Home-start York
1,0
I,o(xJ
1.5
1,000
1.500
2.000
1.000
Leeds Weekend and Central AssoclatSon
2.000
750
Myslght York
Restore (York) Umlted
Rlchard Shepard Musl¢ Foundatlon
Rldlng for the Dlsabled York Group
SASH
2,000
SW
1,000
2,1)00
1,000
3,000
1,400
I,ooJ
2.OOJ
1,51XJ
3,0
1,4C(J
3,OC¥)
SC￿)
St. Leonards HospSce
Wetherby In support of the Elderly IWISEI
W51berforce Trust
york 5amarltans
York Minster Fund
York Sea Cadets
Yorkshire AlrAmbulance
2,ODJ
24.900
27,650
Page 19

ThE W L PRA￿ CHARITABLE TRUST
NOTESTOTHE FINANCIALSTATEMENTS
FOR THE YEAR ENDED5 APRIL 2024
Grants and donatlons Icontlnuedl
UK NATIONAL CHARITIES
Afghanlstsn and Central Asla A5$0tiatlon
Age UK
Shlne IASBAHI
Barnardos
2.IXIO
I,(KJo
2,O¢XI
I,o¢xi
I,oco
1,100
1,500
1,500
1,000
1,000
1,0
I,￿0
1,100
BLESMA
Motor Neurone Disease Assoclatlon
1,500
1.000
i.￿0
Ocean Vouth Trust
Parklnsons UK
RNLI
Salvatlon Army
St. John5 Ambulance
1.0
1,000
.100
13,100
OAIE4)FF OONATIONS
Clothing Solutlons
Fuslon Scape LSmlted
Mercy Shlps
NSPCC
1,0
I,￿0
1,000
I,oDJ
Ryedale Spec5al Famllles
Solar Ald
i.o¢
The Belfry
The Resplte A550clation
Wodd Cancer Research Fund
1.000
6.OOQ
5,00)
Totol
46.3LWJ
53,050
16.
Related paitytransartlons
In the current year, £1,000 was donatèd by the trust to the NSPCC In relation to the 5pon50rshlp of a close famllv
mernber of Mr C M Te￿eV who ran a marathon to ralse money for the charity. In the prior year, the trust donated
£I,(LIO to World Cancer Research Fund in relatlon to sponsorship of close family members of C E W Pratt who rnn
the London Marathon to raise money for the charity. In both cases. the money wa5 donated dlrectly to the
respectlve tharitles.
Page 20