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2025-06-30-accounts

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C CHARITY REGISTRATION NUMBER: 272684 THE HIGHCROFf CHARITABLE TRUST UNAUDITED FINANCIAL STATEMENTS 30 JUNE 2025 COHEN ARNOLD Chartered accountanis New Burlington House 1075 Finchley Road tA)ndon NWI I OPU

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST FINANCIAL STATEMENTS YEAR ENDED 30 JUNE 2025 PAGE TTUStee5' annual report Independent examiner's report to the trustees Statement of financial activities Statement of financial position Notes to the financial statements

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST TRUSTEES, ANNUAL REPORT YEAR ENDED 30 JUNE 2025 The trustees present their report and the unaudited financial statements of the Ch￿ilY for the year ended 30 June 2025. REFERENCE AND ADMINISTIL4TIVE DETAILS Registered charity name The Highcro)fL Chaiivdble Trust Charity registration number 272684 Principal office 13 Basing Hill London NWII 8TE THE TRUSTEES Mr R Fischer Mrs B Reicher Mr AM Eisner INDEPENDENT EXAMINER Joshua Neumann. FCA STRUCTURE, GOVERNANCE AND MANAGEMENT The day to day affairs of the charity are administered by the Trustees. It is not currently the intention of the Trustees ot the charity to appoint new Trustees. Should the situation change in the future, the Trustees will apply suitable recruitment and training procedure5. The charity was estdblished by a Deed of Trust dated 29 Deceniber 1975 which is its governing document. The Trustees give their time voluntarily and no benefits or expenses were paid to them during the year. The ¢harily'8 wholly own subsidiary undertaking, Tripomen Limited, is engaged in inveslmeni aciivily and the trusieeq conqider the laiest requliq for the year ended 30 November 2024 10 be satiqfactory. Risk Management The charity has a.%sesqed the major risks to which it iq expoqed, in particular those to the operations and finances of the Charity, and is satisfied that systems are in place to tnanage its exposure to those risks. Related Party Transactions During the year the charity received £28,￿0 (2024.. £55.0￿) from Tripomen Limited. a Company of which onc of the Trustee5 of the ch￿ltY 15 a Director and which is owned by the Charity.

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST TRUSTEES, ANNUAL REPORT (continued) YEAR ENDED 30 JUNE 2025 OBJECTIVES AND ACTIVITIES The Ch￿ltY 15 established to further those pu￿05¢5 both in the United Kingdom and abroad ieLo¥nised ag chdritdble by English Law and in furtheranLe of the afoiementioned objects, espclidlly those in ihe field of educaiion and relief of p)veriy. The charity is also supportive of organisarions which are solely commiiied lo the relief of poverry. Such organisaiions aqsist needy Jewish families through boih financial and non financial grants and distribuiions. The charity receiveq income from cash deposits, charitable receipt8 under Gift Aid and investment income which it utilises in the provision and distribution of grants and donations for charitable purposes and no change in this activity is envisaged in the immediate future. The Trustees contirn] that they have referred to the guidance contained in the Charity Commission's generdl guidance on public benefit when reviewing the Chdritdble TN5t's aims and objectives and in planning future activities and 5Ctting the grant Tnaking policy flir the year. Grant Making Policy Grants are made to charitable institutions and organisations in accordance with the objects of the Chariiy. ACHIEVEMENTS AND PERFORMANCE The chariiy continued ils philanthropic activiiies in support of Educational and other Charithble In8tiiutions and, aggregate donaiions were paid in the year to 30June 2025 of £21,851 (2024.. £51.708). The financial resulis of the charity's activiiies for the year ended 30 June 2025 are fully reflected in the attached Financial Statetnents together with the Notes thereon. FINANCIAL REVIEW Reserves Policy The Charitable Trnst has necessarily to maintain Reserves in order to ensure that it is in a position to continue its grant-mdking activities dt a Icvcl con5i5tent with those which have been mdintdined in ieLent years and to cover contiii¥en¢ies of additioinal Calls bein¥ made upon the Lharity for 5UPPOrt of organisaiions or insiilulions in limes of need. The Reserves, which are represenied by (part OD ihe liquid funds held by ihe Trust, are considered 10 be adequare and will be reviewed periodically by ihe Trustees of ihe chariiy. PLANS FOR FUTURE PERIODS The Tru8tee8 plan to continue to make distribuiions in accordance with their grant making policy and to ensure that the ability to generate sutficient income is maintained to achieve that end.

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST TRUSTEES, ANNUAL REPORT (continued) YEAR ENDED 30 JUNE 2025 291112026 The tru5tCC5' annual report was approved on trUS￿e5 by.. and signed on behdlf of the iN)￿d of 212915fDCT1545F. Mr AM Eisner Trustee

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE HIGHCROFT CHARITABLE TRUST YEAR ENDED 30 JUNE 2025 I report to the trustees on my cA￿lnatIon of the financial stdtemcnts of The HighLroft Chdritablc Trust ('the charity,) foi the year ended 30 June 2025. RESPONSIBILITIES AND BASIS OF REPORT The ¢hariiy's rrustees are responsible for ihe preparaiion of ihe a¢Lounrs. The chariiy's irusiees consider thai an audit 19 noi required for ihis year under section 144 of ihe Charities Act 2011 ("Ihe Charities Act") and that an independent examinaiion 18 needed. It 18 my responsibility to.. examine the accounts under section 145 of the Charities Act, io follow ihe proLedures laid down in rhe general Direciions given by the Chariiy Commission (under section 145(fjl(b) of the Chariries Acl,and to state whether particular matters have come to my attention. BASIS OF INDEPENDENT EXAMINER'S STATEMENT My examinaiion was carried out in accordance with ihe general Directions given by ihe Charity Commisqion. An examination include8 a review of the accounting recordq kept by the charity and a comparison of Ihe n the exumin￿1On io %'luch auentson be drawry in th15 ill ts) enxble a proFr uJMkr5tthndin¥ of io be Teacb FCA In(WMleot Examiner COHE.N ARNOLD em. BurlÈnwi)n H[￿1¢ 1075 Pjncw ROMI L()NIXIN 91212026

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST STATEMENT OF FINANCIAL ACTIVITIES YEAR ENDED 30 JUNE 2025 2025 Unrestricted funds Total funds Total funds 2024 Note Income and endowments Donations and legacies Investtnent income 28.OtM) 28,0(M) 57.OtMJ 30 Tfjtal income 28.OtM) 28,0(Ml 57.030 Expenditllre Expendituie on Lharitdble dctivitie5 Total expenditure (23,651) (23,6.51) (23,651) (23,651) (53,628) (53,628) Net gainl(lossl on investments io 60,577 6￿￿77 (20,434) Net incomel(expenditure) and net movement in funds 64,926 64,926 (17,032) Reconciliation of fund5 Total funds brought fonvard Total funds carried forward 890,173 890,173 955,099 907,205 955,099 890,173 The statemeni of financial activiiie.q include.q all gains and1o8ses recognised in Ihe year. All income and expenditure derive from continuing activities. The thtstes p￿t$ 7 to 14 ftsrm part tsf thtst firtthtiAI ststennt

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST STATEMENT OF FINANCIAL POSITION 30 JUNE 2025 2025 2024 Note FIXED ASSETS Invesimenis 14 773,191 712,614 CURRENT ASSETS Debior. ca.sh at bank and in hand 16 175,0(A) 10,508 185,508 175,0(X) 4,359 179.359 CRF.DITORS: amounts falling due within one year NET CURRENT ASSETS 17 (3,6(M)) (1.8(M)) 181,908 177.559 TOTAL A.SSETS LESS CURRENT LIABILITIES 955,099 955,099 890,173 NET ASSETS 890,173 FUNDS OF THE CHAIUTY Unregiricted funds 955,099 955,099 890,173 Total Charity funds 18 890,173 These financial Statements were approved by the board of trustees and authorised for issue on 29/112026 and are signed on behalf of the board by.. 212919]DCTr515F Mr AM Eisner Trustee The ththtes p￿t$ 7 tts 14 ftsrm part tsf thtst firt&thti&l statement

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST NOTES TO THE FINANCIAL STATEMENTS YEAR ENDED 30 JUNE 2025 GENERAL INFORMATION The Ch￿IlY is a publiL benefit entity and d rcgistered ch￿IlY in England and Wales and is unincorporated. The address of the principal offiLe is 15 Highcroft Gardens, London, NWI I OLY. STATEMENT OF COMPLIANCE These financial qtatemenis have been prepared in compliance with FRS 102, 'The Financial Reporiing Standard applicable in the UK and the Republic of treland., the Statement of Recommended Practice applicable to charities preparing their accounts in accordance with Ihe Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (Charities SORP (FRS 102}) and the Charities Act 2011. ACCOUNTING POLICIES Basis of preparation The financial stateinents have been prepared on the historical cost basis. as modified by the ievdluation of Cert￿ll finanLial assets and lidbilitic5 mca5ured at fair value through income or expenditure. The financial siaiemenis are prepared in sierling, which is rhe funciional currency of Ihe eniily. The charity meeis ihe definiiion of a public benefii eniify under FRS 102. Going eoneern The financial qtatements have been prepared in accordance with the accouniing principles appropriate to a going concern, as the trustees have a reasonable expectaiion thai the chariiy has adequate resources to continue in operational existence for the foreseeable future by meeting its liabilities as they fall due. based on the net current asset position of the charity and available sources of finance. The charity's main activity is grant making. The charity has modest overheads and the trustees hdve the dbility to exercise cuntrol over the chdrity's grdnt indking charitable activitie5 and to Lall on support from benefaLtors, such that the trustees believe the Lharity will continue as a going concern. Con501idation The charity is not required lo prepare consolidated accounts in accordance with ihe Charities Aci 2011. Judgements and key sources of estimation uncertainty There are no judgement8 made by the trusteeq in the <ipplication of these accouniing policies that have signiticant ettect on the financial statements nor any estimates with a signiticant risk of material ddjustment in the next ye￿.

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST NOTES TO THE FINANCIAL STATEMENTS {coRti d} YEAR ENDED 30 JUNE 2025 ACCOUNTING POLICIES (tortttnued) Fund accounting UnregtriLted funds are available for use at the discretion of the trustees to further any of the chariiy's purposes. Designated funds are unresrricled funds earmarked by the irusiees for particular future projeci or commilmeni. Re.8tricted fund.8 are qubjected io restrictions on their expenditure declared by the donor or through Ihe ternis of an appeal. and fall into one of two sub-clas8e8'. restricted income funds or endowment funds. Incoming resources Incoming Resources represent income from listed investments and deposited funds. receipts under Gitt Aid and other grants and donations received by the Trnst. Income is recognised when there is sufficient certainty of receipt and the amounts can bc measured reliably. Resource5 expended Charitable donations are recognised in the accounts when paid. Investments Unlisied equiiy invesimenis are inifially recorded ai cost, and subsequenily measured ai fair value. If fair value cannoi be reliably meaqured, asseis are meaqured at cost leqs impaiment. Listed invesiments are measured ai fair value wilh changes in fair value being recognised in income or expenditure. Financial instruments A financial asset or a financial liability i.q recognised only when the entity becomes a party to the contractual provisions of the instrument. Basic financial instruments are initially recognised at the amount receivable or payable including any related transaction costs. unless the atTangement constitutes a financing transaction, where it 15 recogni5cd at the present Value of the future Payments discounted at a market rate uf intcre5t foi a similar debt instrument. Current assets and curreni liabilities are subsequently measured at the cash or other consideraiion expected 10 be paid or received and not discounted. Debi inslrumenis are subsequently measured at amorlised cost. Where investments An shares or preference shares are publicly traded or their fair value can otherwise be measured reliably. the investment is subsequently measured at fair value with changes in tair value recognised in income and expenditure. All other such investments are subsequently measured at cost less impairment.

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST NOTES TO THE FINANCIAL STATEMENTS {coRti d} YEAR ENDED 30 JUNE 2025 ACCOUNTING POLICIES (tortttnued) Financi81 instruments (torttrtsued) Financial assets that are measured at cost or amortised cost are reviewed for objective evidence of impairmeni ai the end of each reporiing dale. If Ihere is objecrive evidence of impairnienr, an impairnieni lo.ss is recogni.sed under the appropriate heading in (he siaiement of financial activities in which the initial gain was recognised. For all equity instruments regardless of qignificance, and other financial a8set8 that are individually significant, these are assessed individually for impairment. Oiher financial assets are either assessed individually or grouped on the basis of similar credit risk characteristics. Any reversals ot impairment are recognised immediately. to the extent that the reversal does not result in a carrying amount of the financial asset that exceeds what the carrying amount would hdve been hdd the inipairment not prcviou51y been reLognised. DONATIONS AND LEGACIES Unrestricted Total Funds unrestrlc￿d Total Funds Funds 2025 Funds 2024 DONATIONS Tripomen Limited Other donations 28,0 28,0( 55.Otx) 2.Otx) 55.Otx) 2.otxj 28.OtK) 28,0(Ml 57.Otx) 57.0 INVESTMENT INCOME Unre5trictcd Total Funds Unrestricted Total Funds Funds 2025 Funds 2024 Bank inierest receivable Other intere81 receivable 29 29 30 30 EXPENDITURE ON CHARITABLE ACTIVITIES B Y FUND TYPE Unresiricted Total Funds Unrestricted Total Funds Funds 2025 Funds 2024 Donation5 paid Support Costs 21.851 1,800 21,851 1,8 23,651 51,708 1,920 51.708 1,920 23.651 53,628 53,628 EXPENDITURE ON CHAIUTABLE ACTIVITIES B Y ACTIVITY TYPE Grant funding of activities Support costs Total funds 2025 Total fund 2024 Donations paid 21,851 1.8tM) 23,651 53.628

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST NOTES TO THE FINANCIAL STATEMENTS {coRti d} YEAR ENDED 30 JUNE 2025 ANALYSIS OF SUPPORT COSTS Governance costs Total 2025 Tovdl 2024 Governance cosis 1,8tK) 1,8(10 1,920 ANALYSIS OF GTL4NTS Ponevez Institutionq Bnei-Braq Israel The I Kaufman Charitable Trust Hachzokas Torah Vechesed Charity Brongate Ltd Yeshiva L'zcirim The Friends Of Yeshivas Biisk British Friends Of Kupal Ha'ir VHLT Limited Amud Hatzdokoh Trust 4,tx)o 3,900 2,650 2.200 2,050 1,600 1,555 1,522 I,(x)o Donation8 below £l,OtK) 1,374 Total 21,851 All grants are for charitable purposes relating to the relief of poverty or the advancement of Jewish education. 10. NET GAINIILOSS) ON INVESTMENTS Unrestricted Total Funds Unrestricted Total Funds Funds 2025 Funds 2024 Revaluation gains on lisied investments Revaluation gainqlldeficit) on qhares in group undertakings 5,577 5,577 1,566 1,566 55,0 55,OiN) 60,577 (22.OtMJ) (22.OtK)) 60.577 (20.434) (20.434) 11. INDEPENDENf EXAMINATION FEES 2025 2024 Fees payable to the independent examiner for.. Independent exdInindtion of the fIn￿lIa1 51dtcments 1,800 1,920 12. STAFF COSTS The average head count of employees, including Iru.sleeg, during the year was 312024.. 3). No salaries or wageq have been paid 10 employees during Ihe year. io-

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST NOTES TO THE FINANCIAL STATEMENTS {coRti d} YEAR ENDED 30 JUNE 2025 13. TRUSTEE REMUNERATION AND EXPENSES No rcmunerdtion or other benefits from cmploymcnt with the Ch￿IlY or a related entity wcrc received by the trustees. 14. INVESTMENTS Shares in group investments undenakings Total Cost or valuation At l July 2024 Additions F￿r value movemen15 8,614 704,0(K) 712,614 5,577 55,000 60,577 773,191 At 30 June 2025 14,191 759,000 Impairment At l July 2024 and 30 June 2025 Carrying amount At 30 June 2025 14,191 759,000 773,191 712,614 At 30 June 2024 8,614 704,000 All investments shown above are held at valu&tion. Financial assets held at fair value The fair value at 30 June 2025 of investment in the subsidiary undertaking is based on the underlying value of assets less liabilities ot the subsidiary undertaking. The valuation ot the subsidiary has been made based upon the latest Financidl Statcincnt5 of Tripomen Ltd for the year ended 30 November 2024. li

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST NOTES TO THE FINANCIAL STATEMENTS {coRti d} YEAR ENDED 30 JUNE 2025 15. INVESTMENT ENTITIES Country of Percentagc of Company No. incory)ordtion Class of share shdlcs held Sub5idi#ry undertaking Tripomen Limited 01155022 England Ordinary The registered addre.ss of the subsidiary undertaking is New Burlingron House, 1075 Finchley Road, London, NWI I OPU. The aggregaie aqsei.q, liabilities, capital and reserveq for the qubsidiary as at 30 November 2024 were as follows= Fixed Assets 911,41K) Current Assets Current Liabilities 57,382 (4.496) Net Current Assets Provisions 52.886 {205.0(KJ) Net Assets 759,286 Capital and reserve5 759,286 A summary of turnover. cxpcnditure and profitJ(10ss) for the year ended 30 November 2024 is as follows.. Turnover Cosi of Sales (24,392) Gross Profit Adminisirative expenses Net valuaiion gains on investment property Protit on disposal of investment property Intcrcst receivable and other similar income Tax on profit 29,385 (1,152) 43,41K) 22.844 263 (11,000) Profit for the financial year 83,740 12-

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST NOTES TO THE FINANCIAL STATEMENTS {coRti d} YEAR ENDED 30 JUNE 2025 16. DEBTORS 2025 2024 Charitable Loan 175,000 175,0(K) 17. CREDITORS: amounts falling due within one year 2025 2024 Accruals and deferred income 3,600 1,8tK) 18. ANALYSIS OF CHARITABLE FUNDS Unrestricted funds At l July 2024 Gain8 and At losses 30 June 2025 Income Expenditure General funds Trust Capital 890.123 50 28.0(K) (23.651) 60.577 955,049 50 890,173 28,000 (23,651) 60,577 955,U99 At l July 2023 Gains and At lo.sses 30 June 2024 Income Expenditure General funds Trust Capital 907,155 50 57,030 (53,628) (20,434) 890,123 50 907,205 57,030 (53.628) (20.434) 890,173 19. ANALYSIS OF NET ASSETS BET￿￿EN FUNDS Unrestricted Total Funds Funds 2025 Inve5tment5 Current assets Creditors less than l year Net assets 773.191 185,508 773,191 185,508 (3,6￿) 955,099 955,099 Unregiricled Total Funds 2024 Investments Current assets Creditors le5S than l year Net assets 712,614 179.359 {1,800) 890,173 712,614 179,359 (1.800) 890,173 13-

DoGusign Envelope ID". C9058591.282F4ACD.95C5-029CDC5B877C THE HIGHCRowf CHARITABLE TRUST NOTES TO THE FINANCIAL STATEMENTS {coRti d} YEAR ENDED 30 JUNE 2025 20. FINANCIAL INSTRUMENTS The La￿YIng amount for eaLh Ldtegory of findnLidl instrument is a5 follows- 2025 2024 Financial assets measured at fair value through intome and expenditure Financial assets measured ai fair value Ihrough income and expenditure 773,191 712,614 Financial assets that are debt instruments measured at amortised cost Financial assets that are debt instruments measured at amortised cost 185,508 179.359 Financial liabilitie.s measured at amortised cost FindllLldl lidbilities inedsuied dL amortised Lost 3,600 1,8(K) 21. RELATED PARTIES During the yedr the Trust received £28,(K)0 (2024.. £55,0001 from Tripoinen Liinited, a company of which one of the trustees of the Lharity is a director and which is owned by the Ch￿ilY. 14-

Enveluw ID. CWS9S91QS2F4ACfy9SC5Q29CDCSBS77C Charity Commission Annual Return 2025 HIGHCROFTCHARITABLE TRUST Charity registration numiEr'. 272684 Most of th• Inlormatlon you ylv• In thls lorm wlll bo¢om• publlcly •vallabl• on tho R•gOst•r ot Charities. Any field that the Charity Comrnission will not display will be clearly marked. Thls document Is a record of the Informatlon provlded In the Annual Return 202& PART A- Charity infomiation Financial period Flnanclal perknd siartdAte 0110712024 Finèn¢ial 3010612025 rbd end date In¢omo and $ponding £ 28,000 Spendln NuTnber of contract5 from government Mow rnany cantracts 117thor than grant agroqmqntzl did yaur charity roc•lv• frum contr government or a loc•1 auihorlty durlng the flnancl•l perlod for thls Ye￿r￿? Number of grants from government How M•ny dhd yo¥r ¢harlty r•c•lv• fr4)m c•ntral gwernment or a loul autlwlty durlno th• financi￿ pwriod lor this retlwn? Incomtr breakdown •xcludl End¢)VdTh•nts Rer•frrffjd t 28.000 ¢harftsb￿ actlvlUe5 Cthertyadln A¢ts¥ttles Invg¥tr9nts Other Grantmaking Is Yés rant makl the maln ur char carrfes out Its $es7 Recipients of grants

Enveluw ID. CWS9S91QS2F4ACfy9SC5Q29CDCSBS77C Pl•as8 round alIfiyu￿StOthB n8ar05tpound IdD notorrtBr dBcimal orcommayl. Cther ¢harits ¢)ther Oryan￿a10n$that are notcharfUe5 Grant recipients related parties Are any of th• grafft rxSpl•nts related part1•6 to the ¢harl No Trustee payrllents Excludlng K)Ut ￿ pocket expense for what were any ol the trU￿ee9 pald dwlng Ihe flnanclol eriod this Yeturm7 e. N¢nofihe iN￿ee$ have been po Dld any of tr¥8t••8 r•¥lsn Jnd t•k• yp wil¢wwt wllh ygyr rhJrlty th• fln•n¢W yrlod of this Yetsrn? Incom• from Outside the UK Old your ¢h8rlty re¢trI￿ Income from Outslde ol the Umlted Klngdom In the flMan¢lAI pevlod of Ihls r•tyrn7 N¢ Delivering activities outside the United Kingdom Dld your charlty d•llv•r ch¥rltabl• ￿￿￿￿111￿ oyt$l¥• ol th• Unlt•d Klngdom th• lknanclal p•rfod ol thls retwn7 No Spendlng outslde of the Unlted Klngdom Old No ur ¢har end funds out$lde of the Vnlted Kbn om In ihe Ilnancl lod ol tNs vetwn? Tatal Spndi outsid•of th8 Unitqd KingdDm Tradlng $ubsldlarles DO￿ th• cha Yes havo tradi ubzldlarlllg? ur cknrl g tradln gubyldtsrlos dlxsolv•d rlod of rviurnt N¢ How rnany tru•t••B of th• dwlty •r• •l¥o dlr•ctor• of th• tr¥dlng ¥yb¥ldl•ry or wb¥ldl¥l•¥ lh• dats of Ih16 r•lvrn7 Property Vleve any of your ¢harllfs proportS08 hold by holdlng Or cy6todlan tr¥$t•O8 on bohall ol yow ¢hrS tm I)ffi¢tsi eu%tOdlib durl th• tsr th1 l•turib? N¢ Employrnent contrart typÈ$ Poople w8ro pemianentl omplo our charf Peo le ￿re on fOxOd-￿M)s contracts wlth our char Self-employed people wero worklng foryour chaoty

En¥elppF ID. CWSBS91-282F4ACfy9SC5Q29CDCSBS77C Governance policies Intemalchar Yes financlal Controls And oeedures yardln nd roudure8 Yes Flnanclal reseNes pollcy and pmcedurns Ye5 C¢mplalnts ￿1¢ Y8$ and prLYdurts 8orlou5 Incldontr•portyng Wtyand proNdur95 Yes Intemal rfsk rnana Yes rnem and r￿edureS Trusts eAwnses polic and pto¢èdures Yes Twstee confilcts of IDtsr¢st PDI and proNdur95 Yes Invesln Ye8 char and rocedures Campai n5 and Not ¥plicaN& tical actiy and roc8durqs Byl nd har?¥smgnt oll Not typlic8￿e Soclal medla Not applicaNe and rocedures Enyaging oxtBrnal BpBak•rB atcharityqvonts policy and procodurq Not plicaW$ Safeguarding Mas yaur charlty proYld•d Mrvk•z to chllttran Jm&ir athltx at rlxk In th• IInanE1￿ p•rlod of th• return7 Serious Incidents Has your ¢harlty reported all SevS0¥$ Incldwts Ilnclydlng any hlstorlcal Incldontsl that th• Ghavlty bqcarne ol durin tho tsnincial pqriod ol this roturil? There 4V8re no IThLid8nt$ lo report External rlsk and Impact No Imp Other in¢om. Noim Othor Incam•- contraEtB N¢ Imparl Other In¢¢Mh•- Inv•Stm•ttt N¢im dliur• charltablo actlvltl•s No impa Expandltur• on *yMrh•ad No IMWI Numb•r of volynt••rs No impa Nymb•r of •mployws N¢ IMWI Numb•r of tryBt••

En¥elupF ID. CWSBS91-282F4ACfy9SC5Q29CDCSBS77C Noim Fwdral61 No irnpètti Capaclty to dellver servlce6 No impa Totsi 5ervbce demand No Impa Volunteers Ex￿￿dInB tru8t•&4 provlde an ￿tIMat ol t1￿ numberof volubth•r8 who ¢arrbod out charltabl• activitlS oh bhall of )￿ur ehrlty th• Uhlt•d Kln¥dDth th• Ilnahoi Wlod ol t￿ r•turn7 Privacy 5taternent Any Inlormatlon you glv• ys wlll b• h•ld s•curely proc•ssd only In •ccordanc• with the rule on data protection. We will not disclose your personal details to anyon• unconn•cted to th• Charlty Commls5Son unl•ss: yow hav• cons•nt•d to th•lr v•l•as•' or we •re legally obllged to dlsdose themy or w¢ reg•rd dl$¢lo$ure •5 elther {•) n¢¢essary $0 th•t we ¢•n properly c•rry out our statutory fuTrctions or {bl necessary in the public iTrteresL We may share and di5c105e inforrnation aljout you with relevant public authoriti•s v•gultory bodl•s and •y•ncS•5. Olltsld• th• Chatlty CommlssSon but only 11: w• ean lawfully 80. and we declde that dls¢losyre Is necessary for natlonal $ecurltyi crlme dt•ctloni pr•v•ntion and law •nforc•m•nt. or tsth•r issu•$ in th• public int•r•st Inlormation w• ￿lI•¢t alx¥ut Wo wlll u8• th18 Informatlon: To •nabl• us to carvy out our sta￿tory lunctlon8 and dutl•8' Th18 wlll tho tsllowlng acllon8: {•) upd•t•y consolld•t•> lrnprov• th• a￿￿￿•¢y ol r•cords' {bl undert•ke crlme 41etectlon and preventlon and law enforc•ment •nd •sslst th• third Parti￿ sp•¢iffi•d abov• to inv•$ti¥at• w pr•v•nt ¢rim• and earry out law •nlor¢mnt' {cl data anatysis testinyy research 5tati5tical and suv4ey purposes Information we receive from other sources. InformatitsTr w• receive from tsth•r 50urc•5 We may cornbine this infornti•n vdith informtition you give tts us #nd inftsrrnthtion we coll•ct about you. W• may u¥• th55 Inlovmatlon th• combOn•d InformatSon tor th• purpo¥w 8•t out abov• Idtrp•ndig 011 typ•s of irtformati4)n •c•iv•l. W• vrfill trnsur• that any such di$¢lo$ur• and 1$ proporti•nat•' ¢on$id•rs your rlght to respect for your prlv•te Iltej Is done f•lrly •nd lawlylly In •ccoYd•n¢• with tho data protection principles ol th• Data Protecti4￿ Act. The Data Protection Act 1998 regulates the uso of 'porsonal data. which is essentially any inforrnation however stored about identrfiable liviny individuals. As a'dats controlleV under the Act the Charity Commission rnust c¢>mply with it. Any ¢hang•S vd• may mak• to our privacy stat•m•nt in th• lutur• will b• s•t out in the replacement version of this form. Please check back frequently to see any updates or changes to ¢>ur prlvacy pollcy De¢laratlon This annual rnturn hA5 not been subrnitted And Tro Declaration has been made

I confirm that the information I have provided in the relevant parts of the Annual Return is correct to the best part of my knowledge and has been or will be brought to the attention of the charity's trustees. I am further confirming there are no serious incidents or other matters that should have been brought to the attention of the Commission that have not already been reported.

Person making declaration:

AM Eisner Trustee Date:_____