REGISTERED CHARITY NUMBER: 265686
Re
ol the
ements
esan
anc
31
air
enT

ve
Gar
Conle
s ol Ihe Financial Slate
ded 31 March
Rèport ol tha Truste&s
Indep8ndenl Examln&r's Rèport
Statement ol Flnanclal Activities
Balance Sheet
Notes to the Financial Statements
08lailed Slalement ol Flnancial Aelivilies
Page 1

Re
ort ol
he Trustees
The trustees present their report with the lInar￿1&1 statements ol the char(ty lor the year ended 31 March 2024.
The Iruslees have adopted the provisions ol Accounting and Reporting by Charities.. Statement ol Recommended
Pra¢tlce appli¢&ble lo charltlè8 preparlng their accounts in accordance wilh the Finar*cial Reporting Standard
applicabl8 in the UK and Republic ol Ireland (FRS 1021 lelledlve 1 January 20151.
OBJECTIVES AND ACTIVITIES
OblBrtivos and alms
The prlncipal charilakle objective ol the Trust is lo allow the PLJbllc to enjoy and learn fiom the natural selllng ol a
wooded gardgn near South Walsham, Norfolk on the Norfolk Broads. The trust Is maSnly fundèd by visllor
charges admission and income Irorll its glll shcip and tea rwm.
FINANCIAL REVIEW AND F￿uRE PLANS
The trustees have conllnued lo plan lor the long leim development of the garden. However, Ihe8e are presenlly
on hold.
Reserves pollcy
Events 012020, specifically the Covld-19 pandemic, have illustrated tho importanG& ol the Iruslees prudent
reserves pollGy.
The trust has fixed assets which are necessary for Its operatlon of £489,612 which are funded by ￿selVeS of
capital.
The trustees have placed £171,671 of its reserves a Ilquld Investment whlch Is readlly avallable as a
conttngency. Thls Is broadly based on three months of running expenditure with no income arising
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing do¢umÈnt
The charity is conlrollgd by ils governlng (kn¢umenl, a deed ol Irusl, and ¢onslllules an unln¢orporaled charlty.
Recruitment 8nd appolntment of new trustees
No addlllonal trusl8as ara Ilkely lo be appointecl in Ihe foreseeable future.
Organlsatlonal structure
The trust is headed by 8 Board ol Trustees, chaired by Th8 Hon Melanie Broughlon, who meet quarterly. Day
lo day management ol the Trust Is delegaled lo thè monager who reports direclly10 the Truslees.
Inductlon and tralnlng of new trustees
Any new Iruslees wottld be provided with copies Dl'.-
- The Deed ol Trust
Th8 latest financial slalernenls
Charity Commission guydance notes, The Essenllal Tiusle8'Whal you need to kno
In adrtitlon, thè truslees are encouraged to read Charity Commlsslon and other newsletters and lo attend courses
designed lo ko@p them abreast ol Ihelr dulles and responsibililies.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Charlty number
265686
Page 2

enG
e Trust
End d 31 Marc
lor the
02
REFERENCE AND ADMINISTRATIVE DETAILS
Prlnclpal addre55
School Road
South WaSsham
Norwich
NR13 6DZ
Trustees
Th8 Hon Melanie Broughlon
S W Maclarlana
The Hon J Broughlon
Mrs A Hampshire-Broughton
Independent Examlner
Adrfan Mole FCA ATII BFP
Quove Accounting Ltd
3 Bricklields Business Patk
Old Stowmarkel Road
WooSpll
Bury St Edmunds
IP30 9QS
Approved by ordgr ol the bc*ard ol trustees on S December 2024 and signed on Ils behalf by..
The Hon Melanie Broughlon- Trustee
Page 3

de
Ex
ees ol
'sRe
e Fairhaven Gard
Independent examlner's report to the trustegs of The Falrhaven Garden Trust
I report lo the charity trustees on my examinallon ol tha a¢counls ol the Th& Fairhaven Garden Trust (the Trust)
lor the year ended 31 March 2024.
Responsibililies and bas1$ of Yeport
As the charity Iiustees ol the Trusl you are respons1bla lor the preparallon ol the accounts in accordance with the
r6qulremenls ol the Charities Act 2011 I'the Acl'l.
I report in respect ol my exomlnalltsn ol the Trusl's accounts carried out under section 145 01 the Act and irb
oarrying out my examination I have followed all appll¢able Dlre¢llons glvèn by thè Charity Commlssion undèr
8eclion 14515llbl ol thè Act,
Independent examlner's statement
Since your charity's gross income exc8eded £250.000 your oxaminer musl be a member ol a1Ssled body. I can
conllrm that l am qualllled lo undertake the examination because l am a reglsleied member ol The Institute ol
Chartered Accountants In England and Wales which is on& ol the Ilsled bodies.
I have completed myexamination. I confirm that no m&lwlal mall&rs have come lo my attenllon In connecllon with
the examlnalbn givlng me cause lo believe that In any material respect:
accounting record8 were not kept In respe¢l of the Twsl as required by section 130 01 the Act., or
the accounts do nol accord with those records,. or
the accounts do not complywilh the appllcable requlrements COn￿rning the form and conlenl ol accounts
set out in the Charities (Accounts and Fleportsl Regulallons 2008 othèr than any requirement that the
accounts give 8 true and lairvlew whlch is riot a matter cons￿@r8d as part of an Independenl examlnallon,.
or
the xcenunts have not been prepared In accordance wlth the methods and principlos of the Statement of
Recommended Practice for account1r￿ aod ieporting by ¢h<irllies tapplicable to charities prepariro their
gccounls In accordance ￿th the Financial Reporting Standard appliGgble in the UK and Republic of
Ireland IFRS 1021
I confirm that there are no other mallers lo whlch your atlenllon SI￿￿1￿ be drawn lo enable a proper
derslar)ding ol the accounts lo be reached,
Adrian Mole FCA ATII BFP
Quove Ac¢ounfjng Ltd
3 8rlckfleld8 Business Part<
Woolpit
Bury St Edmunds
IP30 9QS
5 December 2024
Page 4

Irhav
ol Fina
és
arch
otas
Unrestricted
fund
Unreslricled
fund
INCOME AND ENDOWMENTS FROM
Donallons and legacies
Charltable aclivitles
Operation ol Garden
12,735
1.686
207,246
221,922
Other activities
Investment
340,183
8,877
279,187
5.810
Total
569,041
508.605
EXPENDITURE ON
Raisi￿ funds
charltable actlvltles
Operation ol Garden
349,517
235,266
282,558
259,346
Total
582,075
594.612
NET LOSS
113,034}
186,0071
RECONCIUATION OF FUNDS
Total lunds brought lorwayd
687,400
723,407
TOTAL FUNDS CARRIED FORWARD
624,886
637,400
CONTINUINQ OPERATIONS
AIL IllCDme and expénditure has ar158n frotn conllnulng acllvilies.
Page 5

enT
lance S
èè
024
1.03.2
Unreslrieled
fund
.03.23
Unreslrlcléd
fund
FIXED ASS￿$
Invèslmenls- Cash De￿SIts
Tangible assels
171,671
489,612
661,283
246,802
423,426
670,228
CURRENT ASSETS
Stocks
Debtors
Cash at bank
13,897
19,283
5,364
38,644
19,947
9,711
34,525
64,183
CREDITOFIS
Amounls falling due wllhln one year
(54,2231
163,5831
NET CURRENT {LIABILITIEsIIASS￿s
115,5791
600
TOTAL ASSETS LESS CURRENT
LIABILITIES
Creditors- Amounts falling dug in more
than one year
645,704
670,828
10
121,3381
138,4281
NET ASSETS
624,366
637,400
FUNDS
unreslric18d funds
624,366
637,400
TOTAL FUNDS
624,366
637,400
Th6 linanclal slalemenls were approved by the Board ol Truslees on 5 December 2024 and were S￿nEd on Ils
behalt by..
The Hon Melanlé Broughlon -Trusl
Page 6

he
ve
Notes
he
ncial
em
202
1. AGoounting Pollcles
Basis of preparlng tho flnanclal statements
Tho finar￿[al slatemenls ol the chaiily, whlch is a publlc benalll enlily under FRS 102. have been prepared
accordancè with the Charilies SOFIP IFRS 1021 'Accounling and Fleporling by Charitl8s'. Statement ol
Reci>mmended Pra¢li¢8 appI￿able lo charilles preparing their accounls in accordance with the Flnanclal
Reporting Standard applicable the UK and Republic ol Ireland IFRS 1021 leftectlve 1 January 20151,, Finanolat
Roportlng Standard 102 The Flnancial Reportiiig Standard appllcable in Ihe UK and Republlc ol Ireland, and the
Charities Act 2011. The Ilnancial State￿entS have been prepared under the hlslorical cost convonllon.
Income
All income Is recognised in the Slatsment ol Financial Activities once the charity has entillemenl to the funds, il Is
probable that th6 income will be received and the amount can kia measured rellably.
Expendllure
Uabililies are recognised as exptrndllure as soon as there Is a legal or cc*nslrucllv8 obligation commllling the
Charfty lo that expendllure, It is probablg that a Iransler ol economlc b&nélSls will be required in solllemenl and the
amount ol the obligallon can be measured rellably. Expenditure is accounted lor on an accruals basls and has
boen classllled under headlngs that aggregat8 all cost related lo Ihe category. Whère costs cannol ba directly
attrlbuted lo particular headings they have been allocated to activlties on a basis conslslenl wllh Ihe use ol
rèsources.
TangiblÈ flxèd assets
All lixed assols are Inlllally recorded al cost
Dopreclallon is calculated so as lo write off the cost ol an asset, less ils eslimaled rasldual value. over th8 us8lul
economlc1Sle ol that asset as follows'.-
Freehold land - nll
Plant and machinery- 5 y&ars
Ollice equipment- between 5 and 10 years
Motor vehicle- 5 years
Bulldlngs- belween 10 and 20 years
Stocks
Stocks ar8 valued at Ihe lower ol cost and ng1 realisable value, all&r maklng dije allowance lor obsolale and slow
moving items.
Taxatlon
The charity Is ox6mpl from tax on ils charllable activities.
Fund accountlng
Unreslrlcted funds can be us8d In accordance wllh the charitable oblectives al the dl8cr6lion of the trustees.
Hestricted funds can only be used lor partlcular reslrieted purposes wtthin the o¥ects ol the charity. Reslrlcllons
anse when specified by thè donor or when funds are ralsed lor particular restricted purposes.
The cha￿tY ha8 no restricted funds.
Hlre Purchase
Assets acquired sublect to hlre purchase contracts are capitallsed al their lalr value al the date ol acquislllon.
The linanee èlement ol the payments Is charged to the Incom& aNI Expenditure Account $0 as to represent a
constant proportk)n ol the arnounl oulslanding.
Pagé 7

rlhe
rEn
ed3
are
202
2. Other Tradlng Actlvltles
31.03.Y3
Tea room sal85
Boat trip sal&s
Gill sales
Plant salès
Special evenls
Gardeneis contracting
205.575
36,590
22,716
15,048
57.838
2,416
340,183
178,737
13,471
21.146
18,455
36,809
10,569
279,187
3. Investment Income
31.03.24
31.03.23
Rents recelved
D￿oSIt account interest
4,200
4,677
8,877
4,200
1,610
5,810
4. Tru8te98' Rgmungration And Benefits
There were no truslees, remuneration or other benefils for the year ended $1 March 2024 nor IDr the yea¥ ended
31 Ma¥ch 2023.
Trustees, expenses
There were no Injstees, expenses paid lor the year ended 31 March 2024 nor lor th8 year 8nd8d 31 Mar¢h 2023.
5. Staff Costs
No employee r8C81ved remun8rallon of more than £60,(KJO duilllg the year12023'. Nil)
Pag8 8

venG
esto
he Fin
rEn
enis -
March.2Q24
6. Flxed Assèts- Tangible Assets
Freehold
property
Improvam8nts
to property
Plant and
machin8ry
Tolds
COST
At 31 ￿[ch 2023
299,361
283.277
191,585
774,223
Addillons
84,802
86,202
Al 31 March 2024
299,361
368.079
192,985
860,425
DEPRECIATION
Al 31 March 20Y3
Charg6 lor year
215,184
14,550
135,613
350,797
20,016
Al 31 March 2024
229,734
141,079
370.813
NET BOOK VALUE
At 31 March 2024
299,361
138,345
51,906
489,612
Al 31 March 2023
299,861
68,093
55,972
423,426
The nel book value ol assets held under hire purchase contracts was £15,28512023'. £20.380}
The trust owns property whi¢h was recelv8d as a gifi and whlch has historically not been shown on th8 balanc8
sheet. Therè is no market valuation avallable lor ihis propèrty Bs the Trustees conslder that Ihe cost ol valuallon
would c)utweigh any bonelil to be galned Irom il. Thls proporty Is mainlalned by the Tru81ge8 to presetve ils value.
7. Stocks
31.
.03.23
Stocks
18,897
19,947
Page 9

ai
G rden Trus
eFin
cial Sla
@me
he Year Ended 31 March
or
8. Debtors: Amounts Falllng Duè Wlthln Ona Yaar
31.03.2
Trad8 débtors
Olher debtors
10,590
8,793
19,383
3,530
6,181
9,711
9. Credltors: Amount6 Falllng Dug Within One Year
31.03.
31.03.23
Bank loan and ov8rdraft
ounts due under hlre purchas8 contracts
Trade creditors
Taxation and soclal securlly
Other credllors
15,233
6,174
24,140
3,705
4,971
54,223
9,167
6,174
42,664
2,786
2,792
10. Credltors: Amounts Falling Due In More Than On¢ Yeay
31.03.
.03.
Bank loans and ovwdrafts
Amounts due under hire puithase contracts
12,500
8,838
21,338
22,500
10,928
33,428
11. Movement In Fundg
Al 31.3.23
Nel movement
Sn funds
Al 31.8.24
Unrestrlcted funds
General fund
637.400
113.0341
624,366
TOTAL FUNDS
637.400
113.0341
624,366
Nel movement in funds, Included In the above are as follows..
Incoming
rèsources
Resc>urces
expended
Movement in
funds
UnrestYittÈd fundÈ
GÉnaral fund
569,041
582,075
113.0341
TOTAL FUNDS
569,041
582.075
113.0341
Page 10

othe
cial S
Encled 31
en
20
or
12. Rèlated Party Dlsc106urgs
There were no ielaled party transactions lor the year encled 31 March 2024 or 31 March 2023.
Page 11