REGISTERED c￿lARrry NUMBER: 283280
ril
9 Sl Ann'6 Path Road
Londr
SW18 2RW

The
ed Char
Sett
for the Year Ended S
R•pNt oflhe Tnrnt
Independert R
Statement of Fknandal Acthlles
Balanc• Sh••t
Not•$ lo the FmanC1￿ ststVT￿ts
5 to 10
Delailed Statement of Fln•rthl
11

The Irusteei prnsenl thetr rnpNI hilh Ihe IM￿cIal ￿leMonI5 of th# olartty fLY #)• yoor •ndod
5 2025. The trusl•ea hatrtj •d￿led th¢ sYo¥wn• ol R¢wUnq ty ch&*J￿.
stsiemenl cl Roo)mffl8nd80 Prxtsc• lo tharibes ￿p￿Ting the¥ kn
(FRS 1021 {ella¢aJv4 l 20191
STRVCTURi GOVER14ANCE AND MANAGEIJIEPIT
Gov•rnlng docum•nt
The li r*Mtroll•d 9￿￿*￿9 thx>Jffrt * d••d ol tru￿ and
REFERENCE ANO ADMINISTRATWE DETAU
R•gknl•r•d Chartty numlxf
Prlnclpal •ddr•
39 Rmnstw Road
SW18 4SA
Trn8t•
Mrs A c￿1￿￿￿1•d
E Bail
Int1•pend•nt Eximln•r
Ros•¥a￿ H¥t Ac<z*untanry Lk
9 Sl P•* R¢•d
SW18 2AW
Awft>%ed by ordw ol tho Ix>Jryl On ...
b•haN ty..
P•9• 1

xamin
to
ril8bl• Settle
klsch
Ind•p•nd•nt •xamln•rf• r•port to th• trusi••s of Th• Gold*chml•d Charltabl• S•llhm•nl
I rep(K¢ lo the charity Iwslees on my examinatK>n ol the accounts of The G¢ldschmiod ChArAable
S•tUemenl Ith• Tru811 for the year ended 5 April 2025.
R••pon•lblUtl•• •nd ba•ls ol rnport
As Ihe charity trnslees of Ihe Trust you are respo￿th lor the Prep¥ati￿1 of the accounts In
accordance with Ihe iequifemenls ol the Ch*thes Act 2011 P*n.
I r¢wl in ruped of rry ¢x•minalw of the Twsfs ￿count$ carriod under Sedion 145 of the
Act and in ¢arrying out examinalion I hawè folkxtd all appI￿a￿e DlrectiM$ given by Ihe
Ind•p•nd•nt •nmln•f• •lthm
I have corn*led my examination. I confTh) Ihal no material matters ha￿ cm lo ry attentM￿ in
connectK¥n w¢th the examinat￿)n givpig me cause to belieN* that in any malerial resFt¢l'.
accountUW TKords T￿￿? nol kepi In rtspO￿ rf lh8 Trust •$ r•qukod ty S•clkn 130 of the
Act., or
accounts do not accord Mlh those fecords., or
the accounts do not compty with the applicable req￿￿￿1$ concemlrg the tomi
content of 8ccount$ set ¢Art in the Charities l*£counts arKI Reports) Regulations 2008 other
than any requirerrnrrt that the accounts gi%t a true law ¥ith¥ ￿thIGh is not a ffotter
¢onsldered as of an kndeper￿nt eX*ThnaI￿n.
I hav• no conc•m• h8¥* corr• •cro•• no ott￿ m￿1*￿ In c¢nnxkn th• •¥•mln•tlon to
¥•thith attention should b• drawn In report In onlar to on8bl• 8 woper underst8ndlThJ of the
axounts to be r•ath&d.
Joanna H•1
The AssocFalion of Ch￿ared C•rhf￿d *£coffjl•rt•
Rosevale Hwt AccounlarKy Lvril•S
9 St Ann's Park Road
London
SW18 2RW
Date..
P4•2

Id$c
Sta
n8nchql Ac
b￿110
heyear Ended 5
ri120
5.4.25
unrestr￿led
fund
5.4.24
Ti)tsl
fund6
Notes
INCOMF AND ENDOWMENTS FROM
Donat￿nI and *g&¢e8
50,795
In¥estnx>nt income
78,693
82.424
Total
129,488
82,424
EXPENDfTURE ON
fvnds
16.124
23,873
Charltsbl• *cthltl
The mar￿ Goldschmied FtyJndatKJn
The Revelation Foundation
117.164 203.000
11,618
Tot*1
138288
241.489
NEf INCOMEI{EXPENDITURE)
(8.800) (159.065)
RECONCIUATION OF FUNDS
Total fund8 broughl lorwwd
1.382.741
1.541.808
TOTAL FUND8 CARRIED FORWARD
1.373.941 1.382.741

5.4.25
5.4.24
FIXED ASSETS
Tangth asseis
1.351&N 1.&52.
CURRENT ASSErs
Debtor5
Cath at
102.rn
>).163
98.853
98.es3
132,959
CREIMTORS
(X1270) (XI.9351
NET CURRENT ASSEf5
102,024
TOTAL ASSETS LESS CUIIAENT
U*3IUTIES
1.421.491 1.454.932
CREDITORS
Amounls falkng th• aft•f mor• OM
q47ASO)
(72.191)
NET ASSETS
1.3n.941 1.382.741
FUNDS
UnrestrfL*•d lund•
11
1,373.941 1,382,741
TOTAL FUNDS
iJn,941 1.382,741
P•J• 4

AccoupillNG POUCIES
ol prnp•rlng th• Iln*ndal •l•l•m•nts
Tho fina￿la1 slalemenls of Ihe d￿rity. is a pubk'c benefrt entty under FRS 102, ha¥8
been prepared In aC￿rdance V•ith the Charities SORP {FRS 102) 'Accounling and Reporting
by Charitses.. Slatement of Recommonded Practice applicable lo chaiities pr¢parlng their
counts in ac¢ordanc¢ with Ihè Fwwnoal Reporting Stsndwd applicabte in the UK and
Republic of Ireland IFRS 1021 leffe¢tive 1 January 2019>.. Finanu81 Reporfing Starthrd 102
he FlnwKlal Stsndard •pplk•blo kn tho UK Rewblk rf IrdwKf •r￿ th•
Charit*s kt 2011. Th¢ f￿ancIal slatèments have been prtyared under histOrK￿ Mst
cx)n¥enlty)n.
Inc
All income 18 weGO9rii*l in Ihe Sliilfj￿￿￿l ol FinanG¥l AGkn"vlt￿S or)Ge Ihe charity ha¥
entitkTrnt to the funds. il is probable trbat tho kncomg wil b• tecei¥¢d the wr￿Unt can
be measured rnuabty.
Ewndltur•
Liab11rt￿ are reccgnlsed 8s expendllufe as s￿n as there15 8 leg￿ or consiructTrrn obtsgatlon
committing the charity lo that èxpw￿rtUre. il is WObab￿ Ihat 8 transfer ol economic bengfrts
11 h rlyquired In 8ettlerMnl the aff￿Urrt ol th& obligotiw can b• mèasured r•ligbty.
expendilure 18 xcounied for ￿ an accruols basls ho$ 1)9on classif￿d under heading3
thèl aggregatg 811 cost r•lol•d to the category. l•VMre costs cannot be directy attributed to
Part￿￿laT headlryl have been ak¢al•d lo txt1￿$ on a ba818 Con￿Stent *ith ube
ol resources.
Gr8nts offered sutyect to ccI￿￿On8 have nol b••n mel at Ihe year end dale are noted
as a Commitment but not accru•d 08 expenditure.
T•nglbl• flx•d ••••t•
DepTecialKryn 5$ pthded at ts lo&7wing onnu•l r•lw In othr lo *Yllo off ¥s¥ot over tts
est1n￿ed U￿fvI lrfe.
Taxitlon
The charrty is exempl from tax on tts charitable
Fund ac¢ounllng
Unreslrtted fvnd$ ¢an b• u8•d In accordance with the charlt•blo oty•clfv•s at the d15crelSon
of the trustees.
Restricted fvnds can onty b• us•d for pJrlKul•T rests￿ed purp08e8 ￿thIN the obS•cts Of tha
charty. Restfkth)n$ arise when SFocified by the donor or when fuThds are faised lof
portlculw restr￿ puryjoses.
flnanclal statements.
P4¥3• 5
C4ntlnu￿...

Not
Ih
lor the Year Ended S
atè
ri12025
Imuod
INVESThEKf INCOME
5.4.25
5.4.24
Rents received
Insurance recharg•
Deposit ac¢ounl interest
72,0￿)
6,693
72.000
6.285
4,139
78,093
82,424
RAISING FUNDS
Ral•lng dtxwtlon• •nd l•g•¢l••
5.4.25
5.4.24
Supyt
5.4.26
5.4.24
Propoty rwilr8
15,748
Aggregat• Amunts
18,124
23.873
TRUSTEES. REMUNERATION AND BENEFITS
Thwe were no 1ruste￿ remunorntkA) or other b•nefft• fty Ihe year 5 Aprfl 2025 nor
for the year WKled 5 2024.
Tru•t•M' •xp•M••
There were no trustees, expensM payl for the yw •nded 5 h4ri12025 nor for th• year
ended 5 Apiil 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTMTIE8
UTrre8trkte
fvnd
IN¢¢>Me AND ENDob*NeNTJ FROM
In¥estrnert Income
82.424
EXPENDMJRE ON
Raisww fvnds
23,873
Ch•rltabl• •thltl
203,000
The Revelats"on Foundati
continued...

In
ear
nde
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTMTIES- conttnu•d
unrestnc
lund
11,616
241,489
NET INCOMEIIEXPENDITURE)
1159.065)
RECONCILIATION OF FUNDS
Totsl lunds brwght lorward
1,541.806
TOTAL FLINOS CARRIED
FORWARD
1,382,741
TANGIBLE FIXED ASSET8
Freehold
property
COST
At e ￿ 2024 and 5 2025
1.352,908
NET BOOK VALUE
At S Aprd 2025
1,352.908
At 5 April 2024
1.352.908
DEBTORS". AMOUPn FALLING DLE YIITHN ONE YEAR
6.4.26
5.4.24
Other debtorn
102,798

haritable S ttl?
Fi
nded
he
ear
CREDITORS: AMOUKT3 FAWNG DUE VVITHIN ONE YEAR
5.4.25
5.4.24
Bank loans and ovwltrafts Ime Th)te 101
Oiher crediWs
23.350
6,920
22,055
8,880
,935
CREDITORS: AMOU1￿$ FALUNG DUE AFfER MORE THAN ONE YEAR
5.4.25
5.4.24
Bank h)an8 (aee note 101
47,550
72.191
10. LOANS
An anaty818 of the maturlty of lo•n6 IB gfv•n bekny.
S.4.25
&4.24
Am¢JJnl$ 18lllng due *#hln ono year on dem•nd:
Bank h)ans
23.350 22.058
Amounts tsllty due I)•1￿￿n Y￿rn:
Bank k>ans- 2-5 years
47,550
72.191
11. MOVEMENT IN FUNDS
N•1
Al 6.4.24
In funds
5.4.25
Unr•strlct•d lund•
Generai lund
1.382.741
18,800} 1.373.941
TOTAL FUNDS
1.382.741
{8,8[￿ 1,373.941
Nel movement ffi lunds. InGkthd in the abo￿ are as fol￿>￿5..
InCO￿￿1¥a Re8OUrt8* mtsv8n￿nt
r¢Jource• expended In fund¥
Gemral lund
129.488
(138,288)
<8.81XII
TOTAL FUNDS
129A88 (138288)
(8.ewi
PJgv 8
Jntir¥Jed...

ett
s IL¥ Fmancwl Sl¥
for the Year Ended S
menls- con
11. MOVEMENT IN FUNDS- contlnu•d
Comp•r•llvu lor mov•m•nt In lund¥
Al
6.4.24
Al 6.423
In fun
G•n•ral fvnd
1.$41.8
(159.[￿5) 1.382,741
TOTAL FUNOS
1.541.0
(159.IM) 1,382.741
UnMtrlcl•d fund•
G¢n•rnl lund
a2.424 P41.489) (159.1x5)
TOTAL FUNDS
2,424 (241.489) (169.085)
A current 12 ftMlh8 •nd wky ywr 12 c4￿￿1n•d posllth li •• 10lb￿..
Net
At 8A.23
In fimd*
5.4.25
UnrMtrl¢t•d fund•
1.$41,808
(167,865) 1.373.941
TOTAL FUNDS
1.541,8(I3
(167.885) 1.m.941
expended ITr lunds
Unrn•trlct•d fim
Genefal fun
211,912
(379,Tll) 1187.865)
TOTAL FUNDS
211.912
(379.777) (167,8651

mied
otes lo
h Fmanclal Slal
for the Year Ended S A
eni$- con
025
11 RELATED PARTY DISCLOSURES
There wwe no related pwty transacllons lor the year erthd 5 Aprfl 2025.
P4e 10

Gobjsch
ett
aij
he Yea
te
nded 5
neial Aetlvili
ri12
5.4.25
5.4.24
INCOME AND ENDOWMENTS
Donatlons and l•g•GI
Excepliwal il¢m$
Inve•tm•nl Income .
71000
8.693
Insuran￿ recharge
Oeposit account inlernst
6,285
4,139
78,893
Tot•1 Incomln9 rn•OUI¢••
129.488
82.424
EXPENDITURE
Other tr•dlng •dl¥ltl•s
Bank loan interest
Mortgage
342
0,17e
493
6.518
8.127
Inv••tm•nt rn•n*g•m•nt ¢Q•l•
Prop•rty r•pdrn
15.746
Ch4rltsbh xtlvStle•
Gr•nl8 to ￿stitutIonS
120,000
206.000
Support co•ts
MAnag•m•nt
Llghl and heat
2J3
Gov•man¢• co•t•
Insuranco
Account￿ •nd kngal f•e8
6,865
4.498
11,134
11.363
Total resources expended
ia8.288
241.489
N•t •xp•ndltur•
I8.8￿} 1159.wl
Prye 11