E•st Hendred Commut)Ity Cenlre FINANCIAL STATEMENTS for the ye4rended 31 DECEMBER 2024
East Hendfed Communty Centre Year Ended 31 December 2024 General Inforniation Partners Accumulated Fund Exlension Fund Address Snells Hall Church stet East Hendred Want4e Oxfordshlre OX12 8LA
T4 r¢¥enuetrth+HIwxup 19% In 1024carnwedtD20231£33.6y$E2II66i?Dls1. Thts fv+•l indth¢lnuTh Sn•M5 HOUb(4hCIthrht5cW1Id beltyw. Thtwthtf olttr•s•af•aslnioW 2024 wJ5 ¢1.11412023.. É9.327wohEI. 2024wtyw4mth4knth Boukinyln 1024to¢alW 51J¢MrthtCOL¥5volih•¥w l>)23'. 570bk•lOY6d¢¢4x4fftI(I E12,707 hi 20Z3 w£l41691n W4, Mtureolbothh¥iak• ¥• mcreth•n Ih•tLuth•h4ar& • s¢pM e¥enuw¢h is the5¥.wI andth•¢¢k1th • (w. In adthOtyi, d10•t0C1Ur thldrens. ind Int•r•5r ith•dlDth¢v•4rlnueMedtr•rn E2.75$11 102JtoUJ10kn1024. r•tsliiih•F thkn(r•asodc•5h b4ancrtl kncome hKddonkn5•fELlOJ.•wdts £9111 IpcurTed In 1Clien1 ¥4¥ ctsinc¥{l•d if2024 Ind0•drIp4NMknWwthe11t{trKII Iiornsinih• wereihi r•grsanOffl•Mthwce wl.th•w4rd•i'sf•sfty M•)WW•l•(trldty toits •rtd In5WW(•. 14Xofth• oxp•il. xro Ih•wr•ised Teps ara £3,271.(typwod to • profit c4£3.589 In 2023. Th¢ cap •¢¢WII bDwedW IIOIJ.. É9.2UI. Thlwiost £1.717 1$1(AyQF 201) wmdolÉLWOthA io mw•WtsMirqgrn bthicomwtwlcffj Sne1Hsekn 202J n 2014. Tho W)thKeO•ptthEfiS$ kn 102411023.. E5.731I. b•1 ID¢tyMfor20ZI w¥5 ÉLC612013.. U661. •JJwson•'s Chwthl. thConltyc1lheW05($17%I023..£sII1. Th Hendtt05Pre4¢hoo1laseJ5pxrlt Sne¥5 b•stOC9v•rtsfvtryknIth W*5flWI2023.. UMIO). Élst H•ndred Hetiwirust It•%tsstLYay 5pxe isa150 •twildiNto hOuseth•vWl4yfvtty¥kxlTr hllywnds ¥Ath•5ep¥axe.Tr¢ioi•l l.V.Sh¥p Q71ion015
E45¢ H•nth•d CommufdtyCrtrn Yt•r Énded 31 De(emb•r 2024 2024 2023 Irome Eter bauw. lrtom• 2,188 2.028 2.188 2,028 Ckher Inc¢)me Snells Prrt Prfvate teltptMe use O•nk Interest 7,200 5,5¥) Totsl kn¢0 7,768 9,228 Expènsei E)stw 8aza•r-C419 Deprecl•th)n Snells kn5e. Inwr•rKe Snells J$e. L•ttir4 Cost Sne115 fvkyJs•. ReCryttmefit•r Tr•ln Sne115 fvknjse. R•p•l Snelb se- Soll¢Itl Fws Sne+b PltyJs•. T•ltphu Snelb Trkwse- Vtilit$ Sne115 Expenses 1,601 919 IY6 672 265 154 247 3,313 3,49) Net Iloullprofft 4,455 5,738
E•rt H•ndMdCmnvJnltyCrtr• Yvr End•d 31 Deeemb•r 20Z4 Op•ratlniAccw)i. Profft & iossA(uMmi 2024 2023 Iorne Hireol hall & Park1ch•t5 Grants rettThd 16,169 12.707 2XS 18.669 12,957 her irome Ooniiions Interest recefv•bbe Lea5t- Hendred Herlt•y Tnot Lease. Pre Scho Rent from B•r C•nIn8 Iiicome Sundry In¢om• 1,1 3.510 317 2,755 443 105 267 97 196.17 7,169 6,081 25,838 19,038 102 36 45 3Y 3,235 97 Expenses AccountarKy30ftw•re Advertlsin& prlniirq & posi•ie C•11 (by non4wd¢ns1 ConsumitAe5 Eknrtchy- Hall Flre pleu1 & secwlty G•rdeTh rn•ifiienanc. bfjns &tr•e ww%Yv InSW•n lor h•1 Lkence. Pertorffllfie RW5 Sxty Lktnco. Vlle gf Whrt• Horse Non.CapJial Eouipment Repl$ •rnl m•lnrenorK• SubKflpikn Sundry Telek*w and f W•ies. Warden's fee Waste colknllon Witer serte5 Wrtte bxk 119 290 1.063 2,298 346 1.288 155 1.210 180 55 871 3,630 50 123 18,147 62 533 3,230 ilo. 817 360 655 104 149 29,109 15M49 Net profit 13,2711 3,589
Eart H•n¢tred COrnmlty¢•nI yrE¥1•d JI Dectrnbw 2024 31.12.2024 31.12.2023 FtXEDASSETS Freehold proFertv Equlpmert 230.467 3.21X) 230A67 233,667 230.467 CURRENT ASSEYS Stk Tr•de Debtors Other Deor$ 8ank 2377 300 72,111 73,640 74.988 77,023 CURAEpif LIAblUMS Tride Cred01$ Other Credltors 14421 14621 14421 14621 NetAM•ts 3CK8.212 307.028 RESERVÉS 8•r b/1 i Profft 6,463 6A63 6,463 Operntlfil bll Operntln8 Profft 17,580 3,271 13.991 14.> 17,S80 Captt•l blf Totsl profft I Iloul 282.985 4.455 277,247 5,738 287.440 282,985 Tot•1 blf Totsl profftllbssl 307.028 1,184 297,701 9.327 308.212 307,028
E•si Hendred COnnIty C•rtre Year Ended 31 Deumkr 2014 operitlniA¢wl- Pmfft th 1055AttthM 2024 2023 ItKo Hlrt of hall & patWn8¢tror8e5 Grbnts 16.169 12.707 250 18,669 12,9S7 Other Inc<¥nt i.ify) 3,510 317 Intefe5t receiv•ble Lease. Htnored MerM•8eT$t Lease. Pre Rent Irom B•1 Cle•nirt8 Income SurKlry Income 2.755 443 105 267 97 196.17 7.169 6,081 25A38 19038 Exwnses 119 102 36 45 334 3.235 97 Ad¥ertlsln& prlThtlw & FKut••• (an8 (by non-w•rdens1 Cc¥wm•tses Eknrlclty. Hal Flre precaullon & lIty G•rden rnalnteMnc•, ts1 &trn• 51WV InsuiarKe for hall LicerKe. Perfomilni Rhts Sx*ty Li¢erKe- Vale of Whlie Horye Nonlipit•l Equipmert Repairf•ndrnalnten•nce SubscriptwJro Sundry Telephone •nd lax W•K¢s- Warden'slee Wasie collectioTh Water servl¢es Wrlte back 2x1 1,063 2,298 346 3S4 1,288 IS5 440 123 18.147 1.2JO 55 871 3,630 50 533 3.230 iio. 817 360 6$5 4.6 104 149 29,109 15M9 Net profit 13.2711 3.589
East Hendred Commwlty Centre Year Ended 31 December 2024 C•pitsl Attount. T•nilble Flxed Asset 5d*dule Freehold property Equipment Total COST A5 at l Jan 2024 Addltions As at 31 Oec 2024 230.467 19.454 3,2(Ki 22,653 249,921 3,200 253,120 230,467 DEPRECIATION As at I lan 2024 Charge for the year As al 31 Dec 2024 19.454 19,454 19,454 19,454 NBV As at 31 Dec 2024 230,467 3.199 233,666 As at 310ec 2023 230.467 230,467
Cusrcfflet(Trnde DeuiwJI JLI2.4 E¥si Hthidrtd Pidsh¢oun Ébt Htndred iiiie Tw 423 312 150 5S2 317 R•eth• 17th Fob IOIS J Fob 25 S02 3rd Jw 2025 UK TthIIOA¢mVLt Cmftyd SPAthJtth Weddlni bb)nI(l I ISW InCuth•ff&ey5rtyJts 4th Wlntywd8rd¥l ICMI 210 le(¥Ydfjthiin 202$ tnthed Ch451 240 73 Pwtyboeklw4(Zn Iwi•rd 7&50
East Hendred Communlty Centre Debtors Ye*r Ended 31 December 2024 2024 2023 Other debtors Security deposit 300 3LKI Total debtor5 3CLI 3CiI
4SX
47 WA JJ WA 4LJi
East Hendr8d comm Centre Y•ar Ended 31 December 2024 Capltal Account- Reser¥es Re¢ondli•ti¢xi Accumulated Fund Extenslon Fund Total A5 at I lan 2024 Share of profit As at 31 Dec 2024 97,710 4,455 102,165 185,275 282,985 4.455 287.440 185,275
CHARITY COMMISSION FOR ENGLhJ4D AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to tho trustee8 Easl M•ndr•d Communlty ¢•ntr• On accounts for the year Onded 31 D•c•mb•r 2024 Charity no Ilf any 285696 Set out on pages I report to the trustees on my èxaminalion of the accounts of the above chwty {Ihe Trusn for the year ended Respon8lbllltle• and ba•1• of roport As the charity's trte8$, you ar8 responsible for the preparation of the accounts in accordance with the requirements of the Charit¥ Ad 2011 (Ihe Acn. I report in respect of my examlnalon of Ihe Trust's accounts cartred out under section 145 of the 2011 Act and in carrying out my examination, I have folowed all thé awlublo Direction8 given by the Charity Commlsslc under 8ection 145(5)(b) of the Act. Indopondent trhe chanty's gr0&8 income exceeded £250.000 and l am quaIrfd lo •xamlnorf8 8tatement undertake the examination by being a qualrfied member of (Insert name of applicable listed bodyll. Delete I l if not applK8ble. I have completed my examination. I confimi that no material matters have come lo my attentlon in connectlon the èxamination (oiher than Ih8t dlsclosed bgk>w') which gives me use to belleve that in. any material respect.. Ihe accountyy records re not kept in accordance with section 130 of the Charities Acl.. or the accounls dKI not a¢¢ord with the accounting records,. or Ihe accounts did not compty with the applicable requirem8nt8 conceming the fofrn and content of accounts set out in Ihe Charit188 (Accounts and Reports) Regulations 2008 other than any requirement that the accounts gr¥e a 'true and fairf view vthich is not a matter onsidered as part of an independent examination. I have no ccernS and have come across no other matters in ¢onnection wilh the examination to which attention should te drawn in this report In order lo enab a proper understanding of the accounts to be reached. ' Please te th8 wonls in the brackels rfthey do nol appty. Slgn•d: Date: Name: Relevant profe8slonal quallfl¢atlon(g1 or body fcmh IER Oct 2018
Ilf anyl: Address: Sectioii B Disclosure Only complete if the examiner needs to highlight material matters of concern Isee CC32. Independent examination of charty accounts.. directions and guidance for exarniner51. Glvè here brfj dotall8 of any Iterns that the examlner wlshes to dl8close. IER Oct 2018
E•st Hendred Commut)Ity Cenlre FINANCIAL STATEMENTS for the ye4rended 31 DECEMBER 2024
East Hendfed Communty Centre Year Ended 31 December 2024 General Inforniation Partners Accumulated Fund Exlension Fund Address Snells Hall Church stet East Hendred Want4e Oxfordshlre OX12 8LA
T4 r¢¥enuetrth+HIwxup 19% In 1024carnwedtD20231£33.6y$E2II66i?Dls1. Thts fv+•l indth¢lnuTh Sn•M5 HOUb(4hCIthrht5cW1Id beltyw. Thtwthtf olttr•s•af•aslnioW 2024 wJ5 ¢1.11412023.. É9.327wohEI. 2024wtyw4mth4knth Boukinyln 1024to¢alW 51J¢MrthtCOL¥5volih•¥w l>)23'. 570bk•lOY6d¢¢4x4fftI(I E12,707 hi 20Z3 w£l41691n W4, Mtureolbothh¥iak• ¥• mcreth•n Ih•tLuth•h4ar& • s¢pM e¥enuw¢h is the5¥.wI andth•¢¢k1th • (w. In adthOtyi, d10•t0C1Ur thldrens. ind Int•r•5r ith•dlDth¢v•4rlnueMedtr•rn E2.75$11 102JtoUJ10kn1024. r•tsliiih•F thkn(r•asodc•5h b4ancrtl kncome hKddonkn5•fELlOJ.•wdts £9111 IpcurTed In 1Clien1 ¥4¥ ctsinc¥{l•d if2024 Ind0•drIp4NMknWwthe11t{trKII Iiornsinih• wereihi r•grsanOffl•Mthwce wl.th•w4rd•i'sf•sfty M•)WW•l•(trldty toits •rtd In5WW(•. 14Xofth• oxp•il. xro Ih•wr•ised Teps ara £3,271.(typwod to • profit c4£3.589 In 2023. Th¢ cap •¢¢WII bDwedW IIOIJ.. É9.2UI. Thlwiost £1.717 1$1(AyQF 201) wmdolÉLWOthA io mw•WtsMirqgrn bthicomwtwlcffj Sne1Hsekn 202J n 2014. Tho W)thKeO•ptthEfiS$ kn 102411023.. E5.731I. b•1 ID¢tyMfor20ZI w¥5 ÉLC612013.. U661. •JJwson•'s Chwthl. thConltyc1lheW05($17%I023..£sII1. Th Hendtt05Pre4¢hoo1laseJ5pxrlt Sne¥5 b•stOC9v•rtsfvtryknIth W*5flWI2023.. UMIO). Élst H•ndred Hetiwirust It•%tsstLYay 5pxe isa150 •twildiNto hOuseth•vWl4yfvtty¥kxlTr hllywnds ¥Ath•5ep¥axe.Tr¢ioi•l l.V.Sh¥p Q71ion015
E45¢ H•nth•d CommufdtyCrtrn Yt•r Énded 31 De(emb•r 2024 2024 2023 Irome Eter bauw. lrtom• 2,188 2.028 2.188 2,028 Ckher Inc¢)me Snells Prrt Prfvate teltptMe use O•nk Interest 7,200 5,5¥) Totsl kn¢0 7,768 9,228 Expènsei E)stw 8aza•r-C419 Deprecl•th)n Snells kn5e. Inwr•rKe Snells J$e. L•ttir4 Cost Sne115 fvkyJs•. ReCryttmefit•r Tr•ln Sne115 fvknjse. R•p•l Snelb se- Soll¢Itl Fws Sne+b PltyJs•. T•ltphu Snelb Trkwse- Vtilit$ Sne115 Expenses 1,601 919 IY6 672 265 154 247 3,313 3,49) Net Iloullprofft 4,455 5,738
E•rt H•ndMdCmnvJnltyCrtr• Yvr End•d 31 Deeemb•r 20Z4 Op•ratlniAccw)i. Profft & iossA(uMmi 2024 2023 Iorne Hireol hall & Park1ch•t5 Grants rettThd 16,169 12.707 2XS 18.669 12,957 her irome Ooniiions Interest recefv•bbe Lea5t- Hendred Herlt•y Tnot Lease. Pre Scho Rent from B•r C•nIn8 Iiicome Sundry In¢om• 1,1 3.510 317 2,755 443 105 267 97 196.17 7,169 6,081 25,838 19,038 102 36 45 3Y 3,235 97 Expenses AccountarKy30ftw•re Advertlsin& prlniirq & posi•ie C•11 (by non4wd¢ns1 ConsumitAe5 Eknrtchy- Hall Flre pleu1 & secwlty G•rdeTh rn•ifiienanc. bfjns &tr•e ww%Yv InSW•n lor h•1 Lkence. Pertorffllfie RW5 Sxty Lktnco. Vlle gf Whrt• Horse Non.CapJial Eouipment Repl$ •rnl m•lnrenorK• SubKflpikn Sundry Telek*w and f W•ies. Warden's fee Waste colknllon Witer serte5 Wrtte bxk 119 290 1.063 2,298 346 1.288 155 1.210 180 55 871 3,630 50 123 18,147 62 533 3,230 ilo. 817 360 655 104 149 29,109 15M49 Net profit 13,2711 3,589
Eart H•n¢tred COrnmlty¢•nI yrE¥1•d JI Dectrnbw 2024 31.12.2024 31.12.2023 FtXEDASSETS Freehold proFertv Equlpmert 230.467 3.21X) 230A67 233,667 230.467 CURRENT ASSEYS Stk Tr•de Debtors Other Deor$ 8ank 2377 300 72,111 73,640 74.988 77,023 CURAEpif LIAblUMS Tride Cred01$ Other Credltors 14421 14621 14421 14621 NetAM•ts 3CK8.212 307.028 RESERVÉS 8•r b/1 i Profft 6,463 6A63 6,463 Operntlfil bll Operntln8 Profft 17,580 3,271 13.991 14.> 17,S80 Captt•l blf Totsl profft I Iloul 282.985 4.455 277,247 5,738 287.440 282,985 Tot•1 blf Totsl profftllbssl 307.028 1,184 297,701 9.327 308.212 307,028
E•si Hendred COnnIty C•rtre Year Ended 31 Deumkr 2014 operitlniA¢wl- Pmfft th 1055AttthM 2024 2023 ItKo Hlrt of hall & patWn8¢tror8e5 Grbnts 16.169 12.707 250 18,669 12,9S7 Other Inc<¥nt i.ify) 3,510 317 Intefe5t receiv•ble Lease. Htnored MerM•8eT$t Lease. Pre Rent Irom B•1 Cle•nirt8 Income SurKlry Income 2.755 443 105 267 97 196.17 7.169 6,081 25A38 19038 Exwnses 119 102 36 45 334 3.235 97 Ad¥ertlsln& prlThtlw & FKut••• (an8 (by non-w•rdens1 Cc¥wm•tses Eknrlclty. Hal Flre precaullon & lIty G•rden rnalnteMnc•, ts1 &trn• 51WV InsuiarKe for hall LicerKe. Perfomilni Rhts Sx*ty Li¢erKe- Vale of Whlie Horye Nonlipit•l Equipmert Repairf•ndrnalnten•nce SubscriptwJro Sundry Telephone •nd lax W•K¢s- Warden'slee Wasie collectioTh Water servl¢es Wrlte back 2x1 1,063 2,298 346 3S4 1,288 IS5 440 123 18.147 1.2JO 55 871 3,630 50 533 3.230 iio. 817 360 6$5 4.6 104 149 29,109 15M9 Net profit 13.2711 3.589
East Hendred Commwlty Centre Year Ended 31 December 2024 C•pitsl Attount. T•nilble Flxed Asset 5d*dule Freehold property Equipment Total COST A5 at l Jan 2024 Addltions As at 31 Oec 2024 230.467 19.454 3,2(Ki 22,653 249,921 3,200 253,120 230,467 DEPRECIATION As at I lan 2024 Charge for the year As al 31 Dec 2024 19.454 19,454 19,454 19,454 NBV As at 31 Dec 2024 230,467 3.199 233,666 As at 310ec 2023 230.467 230,467
Cusrcfflet(Trnde DeuiwJI JLI2.4 E¥si Hthidrtd Pidsh¢oun Ébt Htndred iiiie Tw 423 312 150 5S2 317 R•eth• 17th Fob IOIS J Fob 25 S02 3rd Jw 2025 UK TthIIOA¢mVLt Cmftyd SPAthJtth Weddlni bb)nI(l I ISW InCuth•ff&ey5rtyJts 4th Wlntywd8rd¥l ICMI 210 le(¥Ydfjthiin 202$ tnthed Ch451 240 73 Pwtyboeklw4(Zn Iwi•rd 7&50
East Hendred Communlty Centre Debtors Ye*r Ended 31 December 2024 2024 2023 Other debtors Security deposit 300 3LKI Total debtor5 3CLI 3CiI
4SX
47 WA JJ WA 4LJi
East Hendr8d comm Centre Y•ar Ended 31 December 2024 Capltal Account- Reser¥es Re¢ondli•ti¢xi Accumulated Fund Extenslon Fund Total A5 at I lan 2024 Share of profit As at 31 Dec 2024 97,710 4,455 102,165 185,275 282,985 4.455 287.440 185,275
CHARITY COMMISSION FOR ENGLhJ4D AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to tho trustee8 Easl M•ndr•d Communlty ¢•ntr• On accounts for the year Onded 31 D•c•mb•r 2024 Charity no Ilf any 285696 Set out on pages I report to the trustees on my èxaminalion of the accounts of the above chwty {Ihe Trusn for the year ended Respon8lbllltle• and ba•1• of roport As the charity's trte8$, you ar8 responsible for the preparation of the accounts in accordance with the requirements of the Charit¥ Ad 2011 (Ihe Acn. I report in respect of my examlnalon of Ihe Trust's accounts cartred out under section 145 of the 2011 Act and in carrying out my examination, I have folowed all thé awlublo Direction8 given by the Charity Commlsslc under 8ection 145(5)(b) of the Act. Indopondent trhe chanty's gr0&8 income exceeded £250.000 and l am quaIrfd lo •xamlnorf8 8tatement undertake the examination by being a qualrfied member of (Insert name of applicable listed bodyll. Delete I l if not applK8ble. I have completed my examination. I confimi that no material matters have come lo my attentlon in connectlon the èxamination (oiher than Ih8t dlsclosed bgk>w') which gives me use to belleve that in. any material respect.. Ihe accountyy records re not kept in accordance with section 130 of the Charities Acl.. or the accounls dKI not a¢¢ord with the accounting records,. or Ihe accounts did not compty with the applicable requirem8nt8 conceming the fofrn and content of accounts set out in Ihe Charit188 (Accounts and Reports) Regulations 2008 other than any requirement that the accounts gr¥e a 'true and fairf view vthich is not a matter onsidered as part of an independent examination. I have no ccernS and have come across no other matters in ¢onnection wilh the examination to which attention should te drawn in this report In order lo enab a proper understanding of the accounts to be reached. ' Please te th8 wonls in the brackels rfthey do nol appty. Slgn•d: Date: Name: Relevant profe8slonal quallfl¢atlon(g1 or body fcmh IER Oct 2018
Ilf anyl: Address: Sectioii B Disclosure Only complete if the examiner needs to highlight material matters of concern Isee CC32. Independent examination of charty accounts.. directions and guidance for exarniner51. Glvè here brfj dotall8 of any Iterns that the examlner wlshes to dl8close. IER Oct 2018
CHARITY COMMISSION FOR ENGLAND AM) WALES Independent examiner's report on the accounts Section A Indopendent Examiner's Report Roport to the trust••• E••t Hthdr•d Communty C•ntre On •¢¢ounts for the year ended 31 D•c•mbw 2024 Charfty no (If any) 265698 Sat oul on pages I rerKJrt to the trustees on my examination of the accounts of the above Charty (Ihe Trusf) for Il year ended Ro•pon¥lbllltlo8 and bas18 ol r•port A8 the charitys trustees, you are responsibb for the preparatTron of the accounts in accordance the requirements of th8 Char.eS Act 2011 (Ihe Acr). I report in respect of my examination of the Trust's accounts carried out urKler section 145 of the 2011 Act and In carrying OLrt my èxaminatlon. I havg fo#owed all trbe applicabkn Directions grrfen by the Charity Commission Kler se¢lion 145(5)(b) of tho Ac. Ind•p•nd•nt tThe charitls gross income exceeded £250,OCrf) and l am qualMl8d to examln•rf8 stat•mont undertake the examination by being a qualrfied member of linsert name of applicatrAe listed bodylj. Delete I l il not applKabl8. I have completed my examination. I confinn that no material matters h8ve come to my attention in connection with the examination (other than that dtsck)¥ed below ') which gr4es me cause to believe Ihat in, any materlal the account records Te not kept In accordance with Sectlon 130 ol the Charities Act; or the accounts not a¢¢ord with the accounting records.. or the accounts did not compty Mth the applicable requirements irKJ the fomi and conlent of accounts set out in the Charities (A¢Unts and Reports) Re9uLgts'ons 2008 other than any requirement Ihat the accounts give a 'true and fairf view which is not a matter consrdered as part of an irKlepeTrJent examinallon. I have no ¢on¢ems and have come auoss no other matters In connectlon wtth Ihe examination lo which attention should be drawn in Ihis report in order to enaNe a proper underStandid of the accounls to be Teached. ' Pleas8 et• the wonls in the brnckets rfthey do not apply. Slgned: Date: Name: Relevant professlonal qualbficatlon(s} or body fcmh IER Oct 2018
(If any): Addro8S: Section B DisclosLire Only complete If the examiner needs to high1h1 material matters ol concern (see CC32. Independent examination of charty accounts: directions and guidance for examinern>. Glve here brlef detaili ol any Items that the examlner wl•hM to dl8¢lo3e. IER Oct 2018