Charity registration number.. 260741 A P Taylor Trust Annual Report and Financial Statements for the Year Ended 31 March 2025 MG Group Professional Services Ltd 166. College Road. Harrow, Middlesex HA1 1BH
A P Taylor Trust Contents Reference and Administrative Details Trustees. Report 2104 Independent Examiner's Report Statement of Financial Activ"e$ 6107 Balance Sheet Notes to the Financial Stslements 91015
A P Taylor Trust Reference and Administrative Details Trustees Mary Aileen O'connor Peter Chithmck M J Fitzpatn'ck Homeleigh 68, Vine Lane. Hillingdon, Middlesex U810 OBD Prlnclpal Offico Charlty Registratlon Numbor 260741 Sollcltorn Worsdell and Vintner 2, Ivy House Road, Ickenham. Uxbridge Middlesex U810 8NE 1ndfrndent Examln•r MG Group Professional Services Ltd 166, College Road. Harrow. Middlesex HA1 1BH Page 1
A P Taylor Trust Trustees. Report The trustees present the annual report together vAth the finawal statement$ of the charity for the year ended 31 March 2025. Oble¢tive$ and a¢t1vIe$ Objécts andaims The yearly income of the fund provided by the late Mr A P Taylor to be applied for use of the inhabitants of the parishes of Hayes and Hadington las they existed on 9th January 19521 without distinction of political, religious or other opinion including the use for meetings, lectures and classes and for other forms of recreation and leisure tsme occupation the object of improving the conditions of lrfe for the said inhabrtanls upon such terms and ndItionS and for the payment of such sums lif any) as the Iruslees may from tsme lo lime delemiine. The trustees rewew all grant applications made lo the trust. and, subject lo the application being made correctly, to fairly distribute grants. taking into account any special circumstances. It is the trustee5 policy lo grow the assets of the trust in line th inllation and to relain sufficient liquidity 50 that the immediate needs ol the trust can be sab"sfied. We have referred lo the guidance conlained in Ihe ¢harilies commission general guidance on public benefit when reviewn9 our aims and objectives and in planning our firture adivities. ObJe¢tlves, $trategle$ anda¢tlvfth$ During the year, the chanty chose lo offer additional support to the Hayes & Hartinglon District Scouts by awarding them a grant of £5.000. 4th Hillingdon Boys Brigade and Failte by awarding them a grant of £300 and Falile-social Club lor Irish Members (Age UK) by awardin9 them a grant of £2,000. Grant maklng policlos During the year. a total amount of £32,000 di$tribule(l in grants lo 20 local a$slationS. Flnancial revièw Poll¢y on reseNe$ It Is the Iru51ees policy to retsin sufficient liquidrty so that the overheads of the trust can be mel over a six month penod. Investment pollcy and objectfves It is the policy of the charity to in¢rease the overall value of the trust by a minimum of the rale of inflation on an average basis due to a reduction in the valuation of investments held at the end of the year. There has been a loss in this year which the truslees wll seek to recbfy next year. Total reserves carried forward have increased by £22,559. Thi$ increase is mainly due lo the increase in rental income and the other investment income. Receipts have remained consistent during the year. Page 2
A P Taylor Trust Trustees. Report structure. governance and management Nature of govemlng document The charity is controlled by its goveming document, a deed of trust and constrtutes an unincorporated charity. Recruitment and appointment of ISteeS New trustees are appointed by the exisb.ng trustees who follow agreed guidelines to prepare a shortlist of candidates from which the new trustee is selected by all the exisb'ng trustees. There have been no change in trustee5 during the year. Organlsation•l $tYu¢ture The Charity is administered by the Iruslees Iwth the help of professional advisors as appropriate. Page 3
A P Taylor Trust Trustees. Report Relationships with related parties The trustees constitute the onty related parties. There are no transactions of any kind with the trustees. Refer•n¢e and Admlnl$tratlvo Dotall$ Trusts8$ Mary Aileen O'connor Peter chidw.ck M J Fitspatrick Principal Offic Homeleigh 68. Vine Lane. Hillingdon. Middlesex UB10 OBO Charlty R•gl$tratlon Numb•r 260741 Sollcltors Worsdell and Vintrer 2, Ivy House Road, Ickenham. Uxbridge Middlesex U810 8NE Independent Examlnor MG Group Professional Seryices Ltd 166. College Road. Harrow. Middlesex HA1 1BH The annual report was approved by the trustees of the charity on behalf by. I*IL21242S and signed on its Peter Chidwick Trustee Page 4
A P Taylor Trust Independent Examinetrs Report to the trustees of A P Taylor Trust I report to the charity trustees on my examination of the accounts of the ¢harity for the year ended 31 March 2025 which are set out on pages 6 to 15. Respective responsibilities of trustee5 and examiner As the charity's trustees of A P Taylor Trust you a responsible for the preparation of the accounts in accordance wth the requirements of the Charities Act 2011 ltthe Act.). I report in respect of my examination of the A P Taylor Trusys accounts carried out under section 145 of the 2011 Act and In carrying out my examinats.on I have followed all the applicable Directions given by the Charity Commission undL¥ secbon 145151Ib) of the Acl. Ind•p•nd•nt •xamlnor's $tat•mont I have completed my examination. I confim that no material matters have come to my attention in nnection with the examination giwng me cause to believe that in any material respect.. 1. accounting records were not kept in respect of A P Taylor Twst as required by section 130 of the Act., or 2. the accounts do not accord wlh those records., or 3. the a¢¢ount$ do not comply wth the accounty'ng requirement$ ¢on¢eming the fomi and ¢onlent of accounts set out in the Charilies IAccounts and Reports) Regulats'ons 2008 other than any requirement that the accounts give a 'tnJe and fair view vthich is not a maiter considered as part of an independent examination. I have no concerns and have come across no other mattefs In connection vrfrth the examination to which attention should be drawn in this POrt in order lo enable a propel understsnding of tha aOunt$ lo be reached. Gavin Femandes FCA, CTA For and on behalf of MG Group Professional Services Ltd. 166. College Road, Harrow. Middlesex HA1 1BH Date.. Page 5
A P Taylor Trust Statement of Financial Activities for the Year Ended 31 March 2025 Unrestricted funds Total 202S In¢omg and EndOlnents from: Investment income Other income 127,246 33,952 127,246 33.952 Total income 161,198 161,198 Expenditure on: Raising funds Charitable activities Other expenditure 150,8291 134.7321 45,550 150,8291 134,7321 45,550 Total expenditure 131,111 131,111 Net income 30,087 30,087 Other re¢ognl$od gain$ and 10$8 Gainsnosses on Investment assets ,528 7,528 Nel movement in funds 22,559 22,559 Roconclllauon of fund8 Total funds brought forward 3.124,545 3.124,545 Total funds earyied forward 3,147,104 3,147,104 Unrestricted funds Total 2024 Nots Incom• and EndowTh•nts from: Investment income Other income 95,910 15,520 95.910 15.520 Total income 111,430 111.430 Expendlturo on: Raising funds Charitable activities Other expenditure 151,7301 139,5301 45.550 151,7301 139,5301 45.550 Total expenditure Nel expenditure Other re¢ogni$ed gains and losses GainsAosses on investment assets 136,810 136,810 125,3801 125,3801 104,655 104,655 Net movement in funds 79,275 79,275 Roconciliation of funds Total funds brought forward 3.045,270 3,045,270 Page 6
A P Taylor Trust Statement of Financial Activities for the Year Ended 31 March 2025 Unrestricted funds Total 2024 Total funds carried forwar¢J 3,124,545 3,124,545 All of the charity's activities derive from continuing operations during the above periods. The funds bakdOwn for 2024 is shown in note 11. Page 7
A P Taylor Trust (Registration number: 260741) Balance Sheet as at 31 March 2025 2025 2024 Flx•d a$$ots Tangible assets Investments 1,845,302 1,066,976 1.890,852 1,082,412 2.912,278 2.973,264 Current assots Debtors Cash al bank and in hand 15,923 226,365 5.911 159,100 242,288 165,011 Cr8ditor5.' Amounts falling due V•ithin on• year Net Currgnt assgts 10 7,462 13,730 234,826 151,281 Net assots 3.147,104 3.124.545 Fund$ of th• charlty: Unr•strf¢tsd In¢om• funds Unrestricted funds 3.147,104 3.124.545 Total funds 3,147,104 3,124,545 The financial $tatemenl$ on pages 6 to 15 were approved by the tru$lee$, and authorised for issue on and signed on their behalf ty.. Peter chidw.ck Trustee M J Fitzpatrick Trustee Page 8
A P Taylor Trust Notes to the Financial Statements for the Year Ended 31 March 2025 1 Accounting policies Ststsmont of ¢omplian¢o The financial statements have beeft pPared in accordance wth Accounting and Reporting by Charities." Statement of Recommended Practice applicable to charities pparIng their accounts in accordance with the Financial Repoth'ng Standard applicable in the UK and Republic of Ireland IFRS 1021 leffective 1 January 20191- (Charities SORP IFRS 10211, the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 and the Charitses Act 2011. Basis of wèparatSon A P Taylor Tnjst meets the definition of a publi¢ benefft entty under FRS 102. Assets and liabilities are initially recognised al hi$tori¢al cosl or transacti¢)n value unless olherwse stsled in the relevant accounii'ng policy notes. Income and endovmients All income is recognised in the Slalemenl of Financial Activities once the charity has enlillemenl lo the funds. it is probable that the income wll be received and the amount can be measured reliably. Expondltur8 All expenditu is recognise<l once there is a legal or constructive obligation to that expenditure, il 18 probable settlement is required and the amount can be measured reliably. All costs are allocated to the applicable expenditure heading that aggregate similar costs to that cate90ry. Where costs cannot be directly attnbuled lo particular headings they have been allocated on a basis consislenl wlh the use of resources, wth central staff costs allocated on the basis ol b'me spent, and dePClab.0n charge$ allo¢ated on the ports'on of the as$el's use. Other support $t$ are allo¢ated based on the spread of staff costs. Grants offered subject to eondilion5 Ythich have not been met al the year ènd dale are noted as commitment but not accwed as expenrtY. Taxatlon The charity is ¢on$idered lo pass the le$l$ sel out in Paragraph 1 Sthedule 6 of the Finance A¢t 2010 and therefore it meets the definitson of a charitable company for UK corporation tsx purposes. Accordingly, the charity is potents'ally exempt from taxation in respect of income or capital gains received wrthin ¢alegones Vered by Chapter 3 Part 11 of the CoOration Tax Act 2010 or Section 256 of the Taxation of Chargeable Gains Act 1992. lo the extent that such income or gains are applied ex¢lusively to ¢haritable purpose$. Tangible fixed assets Individual fixed assets are initialty recorded at cost, less any subsequent accumulated deprecAation and subsequent accumulated impairment105ses. Depreciation is provided at 2% per annum in order to vKite off each asset over its estimated useful Page 9
A P Taylor Trust Notes to the Financial Statements for the Year Ended 31 March 2025 2 Invostmant incomg Unre$trl¢t•d fund$ Total 2025 Total 2024 General Interest receivable and similar income". Interest receivable on bank deposits Income from rents 839 126.407 839 126,407 672 95,238 127,246 127,246 95,910 During the year, the chanty received a lease premium of £18,000 for an extension of the lease. This arnounl has been recognised as rentsl income. 3 Expondlture on charltable actlvltles Unr•strl¢tsd funds Total 2025 Totsl 2024 Gonornl Note Grant funding of activi(ies Allocated support costs 32.000 2.732 32,000 2,732 36.450 3.080 34.732 34,732 39,530 Page 10
A P Taylor Trust Notes to the Financial Statements for the Year Ended 31 March 2025 4 Grant4naking 202S 2024 Name of institution Ad-Finern B0Ing Association Friend5 of Lake Farm Hadington Bowling Club Hayes End Garden and Ajlotment Soaety Hillingdon People First Hayes Horticultural Society Hillingdon Play Assoc Rosedale Park BovAing Club Sandgale Youth Football Club (combined S sections) Sl Clarets GFC Harlington Hospice Association Hillingdon Autisti'c Care and Support for Haye5 & Harfington Hillingdon Mind Hillingdon South Society for Menlalty Handicapped Children Barnhill Community Centre Faille - Social Club for Irish Members (Age UK) Westcome Lodge Social Fund 1 $1 Harlinglon Girfs 8rigade 151 Harlinglon Rainbows 151 Harlinglon Brownies 191 Harlinglon Guides 2nd Hayes Guides 3rd Hayes Brownies 3rd Hayes Guides 3rd Hayes RangeTS 4th Harlington Brownies 8th Hayes Guides 9th Hayes Guides Centenary Trefoil Guild Heathrow Trefoil Guild 4th Hillingdon Boy5 Brigade (Junior Boys age 8-11 years) 4th Hillingdon Boys Brigade (Anchor Boys Aged 4.5 - 7 years) Hayes & Harlington District Scouts A¢tlvlty 500 500 300 500 500 500 400 250 500 500 400 250 600 500 900 1.000 5.000 800 1,000 10,000 1,500 3.500 1,500 s,000 1,000 750 500 750 2.000 500 300 500 300 300 300 300 300 300 4,000 300 300 300 300 300 300 5,000 Page 11
A P Taylor Trust Notes to the Financial Statements for the Year Ended 31 March 2025 North Hayes Explorer Scounl Uniy IPYROI 1 st Hayes Beaver Scouls 1 st Hayes Cub Scouts 1 st Hayes Scouts Group 3rd Hayes Scout Group 6th Hayes Scout Troop ISI Raphaelsl 6th Hayes Beavers ISI Raphaels} 6th Hayes Cub Hawks 8th Hayes Scout Group 10th Hayes S¢out Group / Committee 2nd Harfington Scout Group 2nd Harfinglon Scouts (Beaver Seclionl 2nd Hadinglon Cub Suts Hadington Womens Institute Hayes Town Women$ Inslilule Hillingdon Asian Women$ Club 2nd Harfington Scout Group 3rd Hayes Cub Scout Group 2nd Harfinglon Scouls18eaver Seclionl 3rd Hayes Beaver ScoLrts 2nd Harfinglon Cub Scouts Botwell Craft Group Charville Community Associations U3A South Hillingdon Branch Hayes & Harlington District Scouts 8th Hayes Scout Troop Sl Raphaels Scout Group Hayes & Harlinglon Scout Active Support Unil Cancelled from prior year Barra Hall Friday Club Hayes & Harlinglon Local Histtxy Soaety West London Somaliland Community 3rd Hayes Rainbow3 10th Hayes Scout Troop 4th Hillingdon Boys Brigade14-7 & 12-18 yrsl 10th Hayes Scouts 300 300 300 300 300 300 300 300 300 450 450 450 450 450 450 300 300 300 300 300 1,000 500 500 300 300 300 750 500 600 300 300 300 300 Page 12
A P Taylor Trust Notes to the Financial Statements for the Year Ended 31 March 2025 10th Hayes Cub Scouts Hayes End Aftemoon Townswomens Guild 300 32,000 36,450 Above are details of material grants made lo inslrtutions. S Trustees remuneration and expenses No trustees. nor any persons connected them. have received any remuneration from the charity during the year. 6 Taxatlon The charity is a registered charty and is therefore exempl from taxab'on. 7 Tanglble fixod assots Land and bulldlngs Total Co•t Al 1 April 2024 2,277.500 2.277,500 Al 31 March 2025 2,277.500 2,277,soo Deproclatlon Al 1 April 2024 Charge for the year Al 31 March 2025 386.648 45.550 386,648 45,550 432,198 432,198 Not book valu• Al 31 March 2025 1,845.302 1.845.302 Al 31 March 2024 1,890,852 1,890,852 8 Fixed isset invèstmènts 2025 2024 Other investments 1.066,976 1.082,412 Page 13
A P Taylor Trust Notes to the Financial Statements for the Year Ended 31 March 2025 Other invostrnants 2025 Market value at 1 April 2024 Acquisits'ons at cost Disposal proceeds Realised and unrealised gains in the year 1,042,102 267,168 1268,8151 17,5281 Cash held Total fair value al 31 March 2025 34.051 1.066,978 Realised gain Unrealised gain 9.507 117,0351 Historical cost al 31 March 2025 1,031,173 g D•btorn 2025 2024 Prepayments Other debtors 5,872 10,051 5,911 15,923 5,911 10 Cr•dltors'. amounts falllng du• wlthln one year 2025 2024 VAT grant repayable Aru01$ Deferred InMe 819 3,924 2,719 820 2,652 10.258 7,462 13,730 Page 14
A P Taylor Trust Notes to the Financial Statements for the Year Ended 31 March 2025 11 Fund$ Balanc• at 1 April 2024 othor Balanca at Incoming Resources recognised 31 March resources expended gainslllossesl 2025 Unrestricted funds General 3,124,545 131.111 3,147,104 Balance at 1 April 2024 Other Balance at Incoming Resources recognised 31 March r•$our¢•s txpondèd gaInlI¢s$*$) 2025 Unr•8td¢tsd funds General General Fund Revaluaty'on of Propety Capital of Tru$t 988,578 2,065,269 70.698 161.198 1131.1111 17.5281 1,011,137 2,065,269 70,698 3,124.545 161.198 3,147,104 131,111 7,528 Balanc• •t 1 April 2023 Oih•r 8alanc• at Incomlng Resources re¢ognl$•d 31 March re$our¢ exndId galnslllo¥¥e$l 2024 Unrostrfctsd funds General 3.045,270 111.430 104.655 3,124,545 Balance at 1 April 2023 Other Balance at Incomlng Resourcas rncognlsod 31 March re8ourc•s expended gainslllossesl 2024 Unr8Strlctsd funds General General Fund Revaluation of Property Capital of Trust 909,303 2.065.269 70.698 111.430 1136,8101 104,655 988,578 2.065.269 70,698 3.045.270 111.430 136.810 104.655 3.124,545 Page 15
A P Taylor Trust Statement of Financial Activities by fund for the Year Ended 31 March 2025 Total Unr•strl¢t•d Unr¥$trl¢t¥d fund$ funds 2025 2024 Income and EndoNnents from: Investment income Other income 127,246 33,952 95,910 15,520 Total income 161,198 111,430 Exponditurg on: Costs of trading activities Investment management costs Realised gainsllosses on investment assets Charitable activities Other expenditure 144,9801 {5,8491 {7,5281 134,7321 45.550 151,7301 104,655 139,5301 45.550 Total expenditure 138.639 32.155 Nel income 22,559 79,275 Nel movement in funds 22,559 79,275 Roconclllation of fund8 Total funds brought loard Total funds carried forward 3.124,545 3.045,270 3,147,104 3,124,545 Page 16
A P Taylor Trust Detailed Statement of Financial Activities for the Year Ended 31 March 2025 Total 2025 Total 2024 In¢omg and Endo1n•nts from: Investment income lanalysed below) Other income lanalysed below) 127,246 33,952 95,910 15.520 Total income 161,198 111,430 Expenditure on: Costs of trading activities Investment management costs Realised gains1105ses on investrnenl a55ets Charitable a¢livilies lanalysed below) Other expenditure lanatysed below) Total expendrture 144,9801 15,8491 17,5281 134.7321 45.550 151,7301 104.655 139.5301 45.550 138,639 32,155 Nel income 22,559 79,275 Nel movement in funds 22,559 79,275 Roconclllatlon of funds Total lunds brought forward Total funds carried forward 3,124,545 3,045,270 3.147.104 3.124.545 Page 17
A P Taylor Trust Detailed Statement of Financial Activities for the Year Ended 31 March 2025 Total 2025 Total 2024 Investment In¢ome Income from investment properties Income from investment properties Interest on cash deposf(s 655 125,752 839 95,238 672 127,246 95,910 Ralslng lunds Administration of investments Bank charges Commissions payable Insurance Repairs and maintenance Repairs and maintenance Gainllloyyl on programme related investments (7,9081 16,8541 1251 110,3831 16,5971 111,0381 (6,7111 {5,8491 119.3231 7,528 127.8711 104,855 5B,357 52.925 Charltable o¢tlvltles Grants payable - institutions Sundry expenses Accountancy fees 132,0001 180 2,652 136.4501 15001 2,580 34,732 39,530 Other expenditure Depreciation of freehold propety 45.550 45.550 45,550 45,550 Page 18
.) Progress. Rightsignature REFERENCE NUMBER 087FE670-1242-44FF-8FCO-93265A2CC877 SIGNATURE CERTIFICATE TRANSACTION DETAILS Reference Number 087FE670.1242.44FF.8FCO.9326SA2CCB77 Transactlon Type Signature R£quesl Sant At 1211612025 11'11.'14 AM EST Executed At 12122i2025 11.'53."01 AM EST Identlty Melhod ern1 Dlstrlbutlon Melhod email Slothad ChsuM d9767W147o95r?S?b7(4th•llwtN%lnIAo1 Documenl Narne Final Acwunls- 31$1 Marth 251h Nov 2025 VS lenome Fin ArLourrts - 31st Klarch 2025 25th NDV 2025 V5.1[ 20 pages Contenl Type a1¢81jnIpJ[ File Si 130K8 gln81 CW8um Slgner Sequ•nclng Enablad Document P•••c¢>de Dlsabl SIGNERS SIGNER P4Bmo Paitr chIl¢k Emall pgler.cttidwick@gmoll.co Slpnor S•qu•ne• E41GNATLVIE EVENTS St•ly• Vbgwed Al sign6d 121lP02025 02.15.09 PM EST MuM•l•ctor DIgW•l Ch•c#8Wn 1118Trttty Authontlcatod Al TSl¢da1tr2blaI2Ilty1$lIIel143 12..'1812025 02..22..49 PPA EST IP Addretsl Sbgnad At 62.56.116.221 12..'1812025 02'.22.'49 PM EST ¢ompDn•nl• Chrorf wa WinrtB8 Typ•d Slgn•lur• grw¢urg Rel•v•nc• ID SOCF099D Typod Slgll•lUI• Rel8rnn ID 0187B044 Nam8 Mallhew John Fitzpatrick Emall seanlitzpalrick@btiniemei.com Slgner Sequenc• Vbewed At signed 12..'1912025 03'53.'52 AM EST t&tor 01ghal FlngBrwlnt Checksum Identlty Authentlcated At I2+71&71léI24s 12..19.2025 03.54.39 AM EST Sbgn8(l At IW1902$ 03S4..39 AM EST IP Addre 80.249.128Afj 08vl¢o mobi Salari via ()S Tyd Signaiult 2BF30240
SNE Name Gavin Fernandès Em811 gavin.lernan(tes@rnggroup.co.uk Slgn8r S8qu•n¢8 Stalus Si9n8d ViEwed At 12.¥d.2025 11.52".36 AM EST DIgW Hnyrwlnt Cwkswn lty Authentlcated Al 41&Wa1e&W12&ts11tAf1I6lxtsS 1212212025 11.53..0) AM EST Slgned At IWW2025 1153.'01 AM EST IP Addre88 195.224.42254 Dèvl¢e mr080ft Edgewa Wirwkns Typed Slgnalur• AUDITS TIMESTAMP 1211612025 11.11.-14 AM EST AUDir Olakan Gb8nro dal8kan. TOUP.¢o.ukl trtaied 0men1'FINal Ac¢ounis 31si March 202 25th ov 202 ' on K4iuosott E($3e via Window5 from 195.&4.42.254. Pglor 1pelg1.GhKIk@QmJ1.o7rn) was a knk lo Sign. Gawn F8inandes19awn.f8rnar¥l8s@mo91(p..Uk) was em&l80 a remln08r. Gawn Femandes loan.t8rne&MggrCYJp.¢D.kj was ern•led a remints. pther ChKhwL Ipalti.¢hKk@9m•1.cOrn> was mald a romin(kn. Gawn Femande5 I9an.1eM8s@rWgp.¢o.Uk) was emwleo a remin08r. Pelfjr Ipelg1.Gh#Kk@gmwI.oiml wa5 a rgrnirwr. G8wn F8inande819awn.fernar¥l8 M9yr(p..Uk) was em&l8d a remln08r. Peler [peI.¢h#keQrnI.cQrn1 Ihe ¢JooJmenl Chrornewa Windows from 62.56.116.221. pther Chthith Ip8iei.¢hthtk@gmal.toml aulhenttsiwj via email on Cfvromtr wa WindDWS from 62.$6.116.221. Peier Chthth (peI.¢hkQmWI.cornj s9j Ih8 document tyi Chrome kna w1W$ Irom 62.56.116.221, Mallh8wJohn FpaIr# l5eanliLzpalth@bt1n1ern8l.¢Yaffll was emald a link to svJn. Maiih8wJohn Fitzpaindt IseanliWlftk@btlniem.Cmi wth¥ed it dooJrneM on Moknla Salari vla IOS (rom 80.249.126.35. Mallh8wJoiin FWtylrK (SW@Irn0L) ¥uitsni•i•d via omail Motylg Salort vl8 IOS Irom 80.249.128.35. aiihewJohn FrtzpalrK 1seanlittp9kIAin10rneLl sloned 00ment on Mots19 Salari vla IOS Irom eo.249.128.35. Ga%ryn Femand8s 1gaMn.lem¥m0grt?Jp.u>.Uk> wats emabj a link to sign. Gawn Femandos Igawn.lernand85@mggrwp.o).ukl wa5 ernal a remin¢w. GÈ%ryn F•m8nd•$1ga¥in.I¢rnwjem9gp.C0.Uk> th¢ ¢tswmtni on Ml¢rosott Edgo vig Wndows Irom 195.224.42.254. Gawn Feinande5 l9awn.fernanderngQr0Up.Co.Uk) vwed Ihe knMent on Microsoft Edo8 via Wlndow5 Irorn 195.224.42.254. 1211612025 11.'11.-14 AM EST 1211612025 11.'55."27 AM EST 1211612025 12.'19.'39 PM EST 1211712025 06..24."25 AM EST 1211712025 07'48'.16 AM EST 1211812025 06..14.-16 AM EST 1211812025 06.'19."00 AM EST 1211812025 02..15..09 PM EST 1211812025 02.'22."49 PM EST 1211812025 02.'22.'49 PM EST 1211812026 02..22..49 PM EST 1211912025 03'.53."52 AM EST 1211912025 03..$4..39 AM EST 1211912025 03..Y.'39 AM EST 1211912025 03..54."39 AM EST 1212212025 11.'49.'11 AM EST 12212026 11..$2..36 AM EST 1212212025 11.'52..3e AM EST 1212212025 11.'53".01 AM EST Gawn Femands1gawn.temOs@My9rjp.¢O.Uk> aulheniKai•fj vo email on Mi¢Tosoft Edpe via Window6 from 195.224.42.2Y. Gawn Feinandes 11.1•@1nggrp.r1J.k> S0 th• dopJm8nl on M'ciosoft Ed98 via Windows from 195.224.42.254. 1W2212025 11..$3..01 AM EST