SIGNED COPY
THE PAfrENMAKERS COMPANY CHARITABLE FOUNDATION
{￿rity Crynmission wtstsr•d number: 286312
REPORT AND FINANaAL STATEMEprrs
YEAR ENDED IS MARCH 2025

THE pA￿ENmAKERs COMPANY CHARITABLE FOUNDATION
CHARITY INFORMATION
Administr3tor'.
Rwmurfin TDDL
Interim Clerk to the Worshipful Company of Pattenmake
A VSwainM8E
Clerk Designate
Principal office..
Sebastopol
Maidstone Road
Whetsted
Tonbridge
Kent
TN12 6SQ
Honorary Treasurer-
Kemsley
12 Heèthfield South
Twickenham
Middlesex
TW2 7SS
Independent Examiner:
R L White FCA
Riches & Companv
34 Any3rds Road
Cobharn
Surrey
KTII 2LA
8ankers'.
HSBC UK Bank pl
Investment advlsers and stockbfokets=
Killik & Co LLP
46 Grosvenor Street
London
WIK3HN
Charlty Commlssion registered nurn￿r:
286312

THE PArrENMAKERS COMPANY CFEARfTABLE FOUNDATION
Charity Commission reEistere¢J number.. 286312
REPORT OFTHE TRUSTEES
The tru5tee5 preseni iheir report and Itnancial staiements of the £harity for the year ended 15 March 2025. The trustee5
have adopted the provision5 of the Statement of Aecarnmended Practice150RPI "AcctyJfiiin8 and Reportln8 by Charlties.
(FR5 1021 in preparing rhe annual report and financial staternents of the charity.
The f1Danclal Sta￿ments have been preparéd ¢n arwrdance with the accountin8 polic￿& sei out In notes w the accounts and
compty with the charity's 8ovemin8 documeni. rhe Chariiies Act 2011 Actouotin8 and Reportln8 by Charltie5'. Stèteffjent
of Rec0Mr￿nded Practice ap￿1(able to tha￿t￿tI piepawir¥ their ￿￿oUnts in arcoroance wih the Financial Reportir
Stèndard applScèble in the UK ￿t￿lshed in October 2019.
TRUSTEES
Durin8theyear under revièw. the trustees wrre asfollows:
K O F Bottom￿Y Imasierl
D E Mlller (Upper Warden)
I Wlson IRenter Warden)
D M Watson Smith Iwarden to the Trade)
R L Page Ire518ned 31.08.24.1
C M Hayward Ire5i8ned 13.03.25.1
N C G Andrews
M Kemsley
R A Kgttl¢r
J A C C Watson.G•n
l A Bryanr.Pearson
S A Leliten
PJ Tyrrdl OBE
S A C Huxham Irtsi8ned 30.03.25.1
AS Lyons
A M Cove Iresl8Tred 17.10.24.1
R A 5carr-Hall
0 8 Emanuel
M J Heffer Iresl8ned 12.04,24.1
M R Jeffery Ifeslgned 02.04.25.1
GDPerry
I S Bakombe
C D Siears
M J Packham lappolnted 13.03.25.1
S Hod8e lappolnted 13.03.15,1
REVIEW OF THE CHARITY'S AcllviTIES. OWECTIVES AP40 POUCIES
The trustees have developed charity policie5 based on the charity's obiecis. which are regularly rewewed Iihe re5u1ts of the
last major rewew bein8 approved in March 20171. PDIicies defne rnethod5 of fundraiSin8, spe¢lfic areas of grant
aid, financial cothtrol mechanisms and othtr matters. They meet the requlremerlts of ihe Charitses Art 2011, and In parrscular
the need to er6urÈ publ1¢ benefit.
Incorne 8eneration
The charity's income 15 sourced Ihroueh thefollow￿ meat)s.'
al Irorn member5 of the Ilvery companyi who are InTrAted to make ￿Untr4￿ annual donattons. under the Glft Ahl stheme
where applicable..
bl throu8h other donatlons, sponsorships and le8acles. from boih livery¢ompanymembers a￿j others,.
¢1 by specific fundfa154n8 initk*i¥es. ontroff and reeutsr •nnual e%*nts. ￿1th in rétent yeaTh have included the London
Marathon, LNery Halls walk, Pattenmakers, Pl￿￿mS, cwe rideand K0￿erfS CraryTriathlon'.
dl intere5t3nd investment Rains.

THE PArrENMAKERS COMPANY CHARrrABLE FOUNOATION
Charity Comrnission registered number.. 286312
REPORT OF THE TRU5TEE5 Iconvdl
REVIEW OF THE CHARITY'S ACnVtfiES, OBJECtIVES AND POLIOESl£ontldl
Charitable donatlons
The trustees approve at) annual budget for its commitrrent to Maknr*th3ritsb￿ donatsons.
The primary focus of the charity's support has been and remains rdated to the livery cornpanV5 hi5torK I￿ndarIonS of
footwear. Wlth the fall into ¢Jisuse ol pattens, the charity has for many Years chosen to make the plow￿0Th of orthopaedSt
faotwear Its core a¥ea of charitable donatlDns. It funds FA)th the pro¥ision of orthopaEdic footwear to needy indNidual5.
particularly those in the Uf$ armed forces who have been injured In tonflict, and also the tralnin8 ol students In ihls
discipline. In relation to the armèd for￿5. the charity ha5 developed a srrong wothn8 relatlothshlp wth thÈ DelÈnc¢ and
Notion41 Rehobilitation Centre
Durln4 tht ￿ar under ￿tW The John Foxon Pattenma&ÈF5 Apwèntice Stherne continued to asslsi the tralnln8 of
apprentlce5 In the manulatture of Ort￿>P4ed1C fooNear.
In Its SUPPOrt of education, further bursaries are awarded to st￿￿entS at the Crty of london 8oy5' and Girt5' khod5 and
flnancial a5515tance ha5 abo been prO￿ded to varKJu5 Stare sthoo15. There are several other regular donations. both
educational and otbemse 8iven wthin the Qty of Lontk)n, ihe laryest of which funds a chorister at St Paul'5 Cathedral
hool. Amongst the oiher City of tonthjn donatlons ale support fw the Lor￿ Mayor'5 Chari￿e5. the Gvlldhall Library and the
Sherlffs, and Recorder's Fufjd.
In fuifilment of the ch•rity'S purpo% to adv•rKe rell8k*n, donaUMs are re8ulady 8fven to support the ￿n￿try, fabrft ond
funetiDnin8 of St Mar8aret Pattens, Church, the s￿ritUal home ol tht livery company for several centurles, ènd the only
church in the ciiy of London wth a specific lfverydedication in rts name.
The Latin motio of rhe Pattenmakers iianslates as Women Rèceiwe Support from Us" Ind Inspired us TO SUPPOrt ihe charlty.
I Choose Freedom. a rpluge provhler. supportir￿ women and chiklren ftttlwdomestic abuse aeross the ttsuntry.
Flnally. a small number of other ￿￿O[lon￿ are given From time to time, wth inthwdu•l h•rdshir* bein8 a key consldtratlon.
Examples are the YourtR Homeless Charity ofst Mary-l&8ow in the Cttyof London and the Royal Brth5h Lè810n.
SuNJort for thos• In hardshlp and for w)uni people are threads through all citegofies of the chority's Support. The
harlfy makos a ntsmbeT of indlvidual awards to youw people, includln8 an annual Future Leaders Award whkh has hltherto
been focused upon encourè8inq deWopm¢nr in the foot*tar trade and the faclllves mana8ement proletslon.
In all tèses of 8iwn& ¢he Charity seeks opwrtuniiies whereby the livery cornpany can build i relationship the
benefKiary. se that the support is not woly fir•ncial. The trustees aim io continue i￿reasIn6 the donatie# bud8¢t year o
vear, far 50 long as fund growth continues to kvowde theopportunity to do 50.
A Ilst of the specffic donations awarded to IrbSiltlllloThal beneficlarfes Is ￿%￿n In rK)te 3 to the actourts.
PUBLIC BENEFIT STATEMENT
The trustees confirm that they ha￿ referyed totheCharftyCommtsslon%get)oral 8uid4nte ￿ pvblK benefit when revIe￿n8
the charlty's aSms and objerti¥es, and in the Planni￿ of future aciiWties, and are S*fjsfled that the requirements are fvifilled.
ACHIEVEMENTS AND PERFORMANCE
Durini the year under review, the income from Effts and investments was at a reduced level cornpared to the rrnious year.
Income 8ellefated from chantable attiwt*5, net of fundraisiry costs. irKreased by £2A47 to É26,357. There was an increase
of 16% in grants and other tharitableeyndSlure.

THE PArrENMAKERS COMPANY CHARtrABLE FQUNDAnoN
Charity Commission registered num￿[". 286312
REPORT OF THE TRUSTEES Icontldl
REVIEW OF THE CHARIM FINANCWL RESULTS FOR THE YEAR
Totol decreased by 16% to E87,26712024- £104,445). the toul of grants awarded increased by 16% to E79.516
12024- E68.6301. The totsl expenditure increased by 12% to f.111.60112024- £99,693). As a result of these variènces. and
before Investment adjustments. there was a net defKrt for the year of E24.33412024 surplus £4,752). After realised gain5
on Investments, IhE net income fo¥theyear was£95,69712024- É124.5731.
RESERVES ANO RESEAVES POUCY
The tNstees have reviewed the resèr¥es of the charlty a8ain51 the back8round of continuin8 support for beneficlaries In
difflculr circumstances, maximisln8 charitable impaci and SVlkln8 a bala￿e between buildins a long-term investment fund
and rneeting short.terni chadrabk e¥p￿digUre.
Th¢ re5eNe5 policy is to h￿d an Unrest￿tted 8er*rèl ￿Thd of not le55 rhan £I￿).f￿ IZ024- £ZW,CO)I to meet short-term
expenditure and an investment fund ol £1.250,IKX) 12024 - f l.1S0.C#)Jl te 8eneraiE intome and provide stability to the
chariws luture pro8ramme of8rants and donations. The dosing un¥e5tricted reseryes of £1,980,7481?OZ4- f 2.W9.3431 and
re5trlrted reseryes of£2.97212024- EI8.5791 are In linevMth the obRth"ve.
GOING CONCER14
The trustees have considered ¥thether it is apwtyrLit¢ to prep•re the chèriV5 I￿ounts on a 80in8 concern basis. In doln8
so they have eonsidered..
I the assets of thÈtharity',
bl the di5cretlonary nature of the yarts award￿, and pnOont nature of the commltments ilven by the charlty to the
beneh'£iartes it 5UPPOrts.
The rrustees of ihe charlty, have • rea$afiab￿ expettation rh3t rhe tharlty wlll be a￿e to £orstJnue In operation and meet Its
I￿￿lItIeS as they fall due. In ¢h¢ O￿nI￿n of the InJsiee$11 is appropriate to wepare the tharlty5 accounts for the year ended
15 March 2025 on a 8oln8 cor*cern basis. They have identified TrD material uncertaintie5 to Ihe chariiV5 ab5111¥10 Con￿nUe to
do 50 over a period ofat least twelve mohths from the daieofapproval ol the fina￿￿¢ sutemehts.
RISK MANAGEMENT
The trustees actlvely revlew the strategtc buslness and operational risks to which the charfty Is exposed and reEulaT
reportlns procedures enable them to rake all necessary 51eps to lessen any rfsk to the £harity. The trustees have appointed
Investment mana¥èr5, Ind tnvestrnenis are reviewed at re8ular meetiny of an in¥e5tment committee cornprising a number
of experienced twstQè5 and members of the livery company's F5ornrary CourL whlch revSews their recommendarions and
oversees rhelr perfomiance.
PLAN5 FOR FUTURE PERIODS
The trustees will seek to maintbin a simitsr le¥d of support its re8ular beneficiaries, whilst stÉppiry-up 5UPPQrt In
relation to orthopaodic footwear, miliiary affiliations and wornen and children fle￿ngdomes￿¢ abuse.

THE PArtENMAKERS COMPANY CHARITABLE FOUNDATION
Charity Commission rwstered number.. 286312
REPORT OF THE TRUSTEES IcoThtldl
STAucfuRE, GOVERNANCE AND MANAGEMENT
The Pattenmakers Company Charitable Faundation was Set up on 12 January 1983 under a Deed of Trust. its oblecis afe the
advancement of edvcatlon, the fellel ol poverty. the athan£ement af relI￿n afid anytsther Charitab￿ purp05e5 beneficial to
the community.
The trustee ef the th•rity Is The worslwplul Campany of PattenmakeTS. alihou8h by ￿rtue af $177 Charitles Act 2011 the
trustees are regJrded 35 the ind1wd￿al members of the Court ol that Company as they are the per50n5 havinu the 8erneral
control and manaEetnent of the adm5nistratK)n of the Charity. The Worshipful Company Qf P3ttenmakers is a fity Df London
Llvery Company, which was incorporated ty Roy31 Charter ifi 1670. In exercisinE Iheir responslbllities, Ihe trustees are
a551Sted by a charftycommittee tem￿$1￿4 sometrustetsand sofft additior￿1 membersof the livery company.
The members of the Court ol th¢ Wor5hiplyl Compony olPai*nmèkers are 5elecied for lheirs￿lI and experlence.
STATEMENT OF TRUSTEES, RESPONSIBILITIES
The trustee5 are r¢spDTr￿b￿ Igr preparfn8 the tVU5tees' annual report and the Ilrtanclal 5ta*ments In accordance with
applicaNe lawand Unlte¢J KiD8dom Aetountin8 stsndar¢ts IUThitéd Kin8dtym Generalty Accepted Accountin8 Pradlcel.
The law 4P￿1¢0b1e io Cha￿lIeS Sn E￿land & Waks requlres the tiustees to wepait nnand•l st4tÈmÈnts for taeh fln•ntlal
year which 8we a true and lair vièw ol the state gf affairs of the charity and of the incom{￿ resources and appllcatlon ol
r¢50ur£es of the chariry for that period. In preparln8 these finarKial statements, the t(ustees ale requlred to..
selert $U11able accountin8 pollcles and appty ihem con*ste•ity',
observe the meihods and printiples in the tharities SORP 2019 IFAS1021..
make jud8ement5 and estirnate5 that are reasonable and prudent.,
State whether applIca￿e accounting stsndards have been tollowed, sublect to any materfal departures dlselosed and
èxplalned In thefinanclal siatements.- and
prepare the fina￿la1 statements on ihe cortern basbs unless It Is Inappro￿ate to presume that the charity wlll
contlnue In opÈration,'
The Iruslpes are responsible lor keepin8 proper ¥couThtin8 records Ihal disclose wilh reasonable accuracy at any tlme the
flnonclal wsition of the charity and enable them io ensure thai the linancial statements comply wilh the Charities A(t 2011,
the Charity (Actounts and Aep¢xtsl re8ulation5 2(1￿ and the pr￿S￿n> of the tivst deed. They are a150 re5pon51Ne for
safeguarding the assets of the charity and hence for takin8 reasonable step5 tor prevÈntion and detection of fraud and
other irreKularities.
PRINCIPAL OFFICE
The address of thè prlnclpal officft ol rhecharity 15 d15¢105ed on paee l.
Thls rÈporf¥¥as approv￿ bythetrustees on2*NoYember 2025 on thdr ￿half.
J Wi150n
Rentsr Wartlen 2024-25

INDEPENDENT EXAMINER'S REPORTTO THE fRUSfEES OF
THE PA￿ENMAKERs COMPANY CHARITA8LE FOUNDATION
I report to the charity trustee5 on my examination of the accounts of £hafityfoT thè year etKled IS March 2025. which
are set out on pa8es 7 to 15.
RE5pon5ibilitie5 and ba515 of rewrt
As the charity's trustees you are responsitAe for the preparation ol the accounts in a(cordan£e with thÈ requirements of
the Charities Act 2011 Ilhe Act'l.
I report In respect of my examlnatlon of the £hariVs account5 carried out vnder settion 145 of tho Att and In carrySnB out
rny ex3rnination I have followed all the applicable dlro£tiOll5 given try the Chariry Commisslon under section 14515llbl of
the A¢1.
Independent exèrninerf5 Statement
I ha￿ ctrnFAeted rny exarninatH)n I conf5rrn that no materlal mailers have tome to my attention In Con￿rtIOn ¥￿th the
examinèti¢n 8IMn8 me rause lo belleve that ID any rnaieri31 respett..
ccountin8 recocdswere not kept lfi respert of the charlty as required bysectin 130 of ihe 2011 Act., or
the ¥¢¢ounts do not attord with those records.. or
the accounts do not ccthply ￿th the applicab￿ requirementscorKwnin8 the form and contet)t ol accounts set
out in the Chaiities (Accounts and Reports) Re8ulations 2c￿8 other than any requSremtnt that the accounts
Ive a'true and falr whith is rwt • matterMns*lered as part of an independent examination.
I have no concerns ènd have com¢ ¥ross fio other rnart*rs In connection with the examirsation to whlch attentlon should
be dra
this report in order ioenablea proper undtrstandini of ¢he •ttovnts to be reached.
R L White FCA
Rlthes & Compinv
Chartered Accountants
34 Anyards Road
Cobhèm
Surrev
Kfii ZLA
ZrNovernber 2025

Tkf PATTEN￿￿ERS¢0MIthrCMIhlIStE FOWIOAIKir*
srATENfMtOFHNANc￿l*Thm￿ES
Ye•r•ided15 kknrth2025
T(rta PÈy[i￿t
fvnd5
Tot
2024
INCOME FROM
19314
P>.3?4
3&960
JÈ.J
a8.)Y
TOTALIMCOUE
98445
L04.44S
EXPENtffVAE C*1
1*7
JJJI
51.094
ÉhaAtalÈartl%*t*
c￿r￿S￿
15M7
79.516
1&536
roTAI EXPENmHt
ISA77
13157
16.S36
NETINt0M￿EXPtNty1vNElIÉ1lrte
M.72
I15￿71
124.3341
2M
110.5361
218.19D
NETMtr4EiIENTOF FUNC6
IW595
{ty￿?1
233.578
123MII
lutallund5br¢Jwhiftyw
IAM343
iU79
1017.921
LY75,765
19.AlS
TOTAL FUN05CIPA*DFOWIMO
£2
J43 £13 STr U 017 922

THE PAThENMAKERS COMPANY CHARtfABLE FOUNDATION
BALANCE SHEET
15 March 2025
Notes
2025
2024
FIXED ASSEtS
Investrnents
1.851.616
1,868,537
CURRENT ASSETS
Debtors
Cash at bank
19.101
120.373
21.202
149,308
I70,510
139.474
CREDITOR5- amounts falling due
wlthln one year
io
7.370
NET CURRENT ASSETS
132,104
159,385
NET ASSETS
£1.983,720
£2.027,922
FUNDS
Unrestricted funds
Revalvation reserve luniestricted
funds)
TOTAL UNRESTRICTED FUNDS
1.574.4C*J
1,463,141
406.348
1,980,748
546,202
2.C¥)9,343
12
Restrictefl funds
12
2,972
18,579
TOTAL CHARITY FUNOS
12
£1.983,720
£2,027,922
Approved by the trustees on Wovember 2025
J,6J
J Wilson
Renter Warden 2024-25

THE PAThENMAKERS COMPANY CHAR￿ABLE FOUNDATION
NOTES TO THE ACCOUNTS
ACCOUNTING POUCIES
General information and bags of preparation..
The Pattenmakers Company (harltable Foundation 15 a charity registered with the Charity Commlssion In
England and Wale5. The correspondence address Is given on page l ol these financial statements. The
nature of the chariW5 operations and principal artivities are the advancement ol education, the relief ol
poverty, the advancement ol religion and any other charitable purposes beneficial to the t0mrnun￿ty.
The flnancial statements have been prepared in atcordance with Attounting and Reporting by Charities..
Statemènt ol Recommended Practice applicable to d)arities preparing their accounts in accordance with
the Flnancièl Reporting Standard applicable in the UK and Republit of Irèland issued in Ortober 2019. the
Financial Reporting Standard applicable in the United Klngdom and Republlc of Ireland IFRS 1021, the
Charilies Act 2011, and UK Generally Accepted Prartice.
The Pattenmakers Company Charitable Foundation meets the definltion of a publsc benefit entity under
SORP 2019. Assets and liabilities are inttially recognised at historical tost or transacbon value unle5$
otherwise srèted in thè r￿￿ant accountin8 policy note.
The flnantial statement5 art prepared on a goin8 concern basls under the historical Cost convention,
modified to include certain Stems at fair value. The finanoal ststernents are presented in sterlin8, whlch Is
the functional currency of the charity and rounded to the nearest £.
The si8nlflcant accounting pollde5 applied in the preparation ol these linancial statements are set out
below. The pollcles have been ¢onsiStentty applied to all years presented unless otheNise stated.
Funds..
Unrestritted funds are available for use at the discrerion of the trustees In furtherance of the 8eneral
objectives of the charlty and which have not been desi8naied for other purposes.
Restricted funds are funds whSch ère to be used in atcordance with sprfifi¢ restrlctions Imposed by donors
or which have been raised by the charity for particular purp05e3. The cost of raiyng and administerin8
suth fund5 are char8ed against the specific fund. The aim and use of each restricted fund is set out Sn the
notes tts the Ilnancial statements.
Income recognition=
General income
Income Is credited in the 5taternent of finanoal artiwties on the basis of actual reteipts. èxtept as stated
below.
Investment income
ThSs is accounted for ¢n an Kcruals basis but Income tax recoverable thereon is accrued for the year
endeé 5 April 2025.

THE PATfENWKEtiS COMPANY CHARITABLE FOUNDAnON
NOTES TO THE ACCOUNTS
ACCOUNTING POLICIES Icontldl
Income recognitlon Itont/dl=
Donations under Gift Aid
During the year gift aid was recoveretl on donations. A debtor has been included in these accounts in
respect ol arnounts due at the end of the year and rec5aimed subsequently.
Expenditure reco8nition'.
All expenditure is accountèd tor on an accruals basis and has been dassified under headings that
aggregate all costs related io the category. It is categorised under the following headings..
Costs of raislng funds
Expenditure on charitable activlties
Other expenditure
Irrecoverable VAT Is char8ed as an expense a8ain5t the artivity lor which expendlture arose.
Gran¢ expendl¢ure is reco8nlsed when awarded to the ieclpient. The expense 15 included on an accrua15
basls in the year In which a legal or constructive obligatlon to pay the 8rant arises.
Support costs allocatity)..
Support Costs are those that assist the work of the tharity but do not directly represent chaTltable
activities and Include offfi￿ costs. 8overnance costs and administrative costs. They are incurred directly in
SUPPOrt ol expenditure on the objerts ol the charity. Where support £osts cannot be directly attributèd to
particular headin8S they have been allocated to cosi ol raisin8 lunds and expenditure On tharitable
activities on a basls consistent with use ol the resources.
Exchan8e ésffwences:
Foreign turrency transactions are initially reco8nised by applyin8 to the forei8n currenty amount the spot
exch8n8* rate between the lunrtional currency and the foreign currenLry at the date of the transaction.
Investments..
Investments are recorded initially at fair value. which is norrnally the transactlon pr5ce Includln8
transaction costs. Subsequently they are measured at fair value, with chan8es reco8nised as unrealised
gains and losses arisin8 on investments in the statement ol financial activities. and credited or charged to
general fund5. Reali5ed gains and losses on Investments are shown in the statement of financial activities.
Fair value lor the purposes of the accounts is based on a portfolio valuation dated 31 Marth 2024,
prepared by the stockbrokers Killik & Co LLP.
io

THE pA￿ENMAKERs COMPANY CHARITA8LE FOUNDATION
NOTESTOTHE ACCOUNTS
ACCOUNTING POLlaES Icontldl
Debtors and creditors receivable/payable wthin one year..
Debtors and creditor5 Wlth no stated interest rate and receivable or payable within one year are recorded
at transaction price. Any losses arisin8 from impairment are recognised in expenditure.
Cash and cash equivalents:
Cash and cash equivalents intlude deposits held at ¢all with banks and other short-term Ilquid Investments
with ori8inal maturities of three month5 or les5.
Taxation..
The Charity is an exempt charity within the meanin8 of schedule 3 of the CharitSes Act 2011 and is
considered to Pa55 the tests Set out in Para8raph I khedule 6 Finance Act 2010.
Goirt8 ¢on¢ern'.
The flnanclal statements have been prepared on a 80in8 concern ba%s as the trustees believè that no
material uncertaintie5 exist. The trustees have considered the level of lunds hèld and the expected level of
incgme and expenditure for 12 rnonth5 Irom authorising these financial statements. The budgeted income
and expenditure is sufficient with the level of reserves for the charity to be able to continue as a 80in8
concern.
judgements and key sources of estimation untertainty..
Accounting estimates and judgements are continually evaluated and are based on historical experlence
and other fartors. including expectations ol future events that are believed to be reasonable under the
clrcumstances.
No judgements or key assumptions were made In the preparatlon of the accounts.
2 INVESTMENT INCOME
2025
2024
Income from listed investmenrs Inote 81
IDtere5t receivable
Income tax recoverable
32,440
6,520
31,920
6.344
90
£38,960
£38,354
Intome from investments is wholly attributable to unrestricted lunds.
li

THE PAThENMAKERS COMPANY CHARfTABLE FOUNDATION
NOTES TO THE ACCOUNTS
ANALYSIS OF CHARITABLE DONATIONS
2025
2024
Donations to individuals
Donations to institutions
11,812
67,704
£79,516
12,988
55,642
£68,630
£Nil12024 £7551 of donations paid to indlthduals and £15.60712024 - £15.8911 paid to Instltutlons were
attributable to restricted funds. All other amounts payable were attributable to unrestrirted funds. There
were donations to 1912024- 241 individuals durirt8 ihe year.
Recipients of donations to institution5-
St Margaret Pattens Church
City of London Sthool
Cily ol London Sthool for Girls
City of London Academy 1slin8ton
Compass Schools Trust
Duke's Aldrid8e Academy
Notre Dame RC Gir15' School
St Paul's Cathedral Chorister Trust
The Charter School Bermond5ev
I Choose Freedom
LSvery Food Initlative
Royal British Le8ion
Fooiwear hardship fund
St Mary-le-8ow Young Horneless Charity
United Guilds, Servlce Trust
Guildhall Library
Lord Mayor'5 Appeal
Sheriffs. and Recorderfs fund
Footwear Industry Trust
Bill Bird Shoes Limited
Jane Saunders & Mannin8 timited
Fiona Campbell trainer
Combat Stress
ShelterBox Trust
Housln8 rhe Homeless Central Fund
8.OLN)
6.313
8,034
6,313
7.298
1,500
1.000
7,000
3.50)
12,CO)
2,000
2.500
250
250
SC
2CQ
3C
5CK)
sc
1,5(N)
9,391
5,616
6Crf)
200
300
500
500
1,500
10.165
5,616
250
250
£67,704
£55.642
4 OTHER COSTS15UPPQAT COSTSI
Governenee Inote 51
Other
29,041
77
27,182
70
£29,118
£27,252
Other costs (support costsl are wholly attributable to unrestricted funds.
12

THE pA￿ENMAKERs COMPANY CHAR ￿ABLE FOUNDATrON
NOTES TO THE ACCOUNTS
5 GOVERNANCE COSTS
202S
2024
Administrator's fee
Financial controller's fees
Independent examiner
Stockbroker
4,632
3.590
1.794
19.025
£29.041
6.869
3.342
1.794
15,177
£27,182
TRUSTEES AND KEY MANAGEMENT PERSONNEL REMUNERATION AND EXPENSES
Except as disclosed in note 14. the trustees neither received nor waived any rernuneration or expenses
durin8 the year12024- £Nill.
EMPLoYeES
There were no ernployee5 durin8 the year12024- None).
INVESTMENTS
FSxed
Interest
stocks
Equities
Total
Valuation..
At l April 2024
Additions
Disposals
Revaluation
91.958
10,783
111.8721
1447
£90.422
1,776.579
2CQ,923
176,9021
139,406
£1,761,194
1,868,537
211.706
188,7741
1139.853
£1,851,616
At 31 March 2025
Investment income therefrom
£S.601
£26.839
£32,440
All fixed asset investments a￿ listed investments and are valued by Killik & Co LLP, tbe stockbrokers at 31
March 2025. The historical cost of fixeil asset investments is £1.445.269 12024 - £1.322,3361. It is Ihe
oplnlon ol the trustee5 that the costs outwei8h the financial benefits of re-valuin8 the investment portfolio
to 15 March value5. subject to adjvstment for material valuation movements should these be advised by
the Investment Mana8er in the period between the balance sheet date and the portfolio valtsation date.
There wefe no inve5tment5 rÈpre5entin8 more than 5% ol the portfolio's value.
13

THE PAThENMAKERS COMPANY CHARITABLE FOUNDATION
NOTES TO THE Accouwrs
9 DEBTORS
2025
2024
Gift aid and income tax recoverable
The Wor5hiplul Company of Pattenmakers
Killik & Co LLP
Prepayments
Other debtors
2,759
4,320
9,089
2,616
4,632
£19,101
13,73S
3,147
£21,202
10 CREDITORS- amounts falling due wlthin one year
Accruals
Delerred income (note 111
7,370
8,759
2,366
£11,125
£7.370
11 DEFERRED INCOME
Deferred incorne relale5 to sponsorship re￿1ve￿ In advance in respect of a charitabl* artivity which took
place aftèr the year end.
12 FUND IIECONCILIATION
16.03.24.
Income
Expenditure
15.03.25.
Unrestricted funds
Restrittèd lunds
The John Foxon Pattenmakers
Apprentitt Schemé
2,rx19,343
67,399
95,994
1.980,748
18,579
£2.027,922
15,607
£111,601
2,972
£1,983,720
£67.399
16.03.23.
Income
ExpenditUTe
15.03.24.
Unrestri¢ted funds
Restrictèd funds
The John Foxon Pattenmakers
Apprentice Scheme
1,775,765
316,73S
83,157
2.￿9.343
29.115
£1.804,880
16.536
£99,693
18,579
£2,027,922
£322,735
The john Foxon Pattenmakers Apprentice Scheme was created to aS￿St with the training of apprentites in
the manufactvre of orthopaedic footwear.
14

THE PAThENMAKERS COMPANY CHARITABLE FOUNDATION
NOTES TO THE ACCOUNTS
13 ANALYSIS OF NET ASSEfs BEtWEEN FUNDS
Unrestrirted
funds
Restricted
fund5
Total
At 15 Mareh 2025
Fixeij assets
Cash
Other current assetsliabilitie5
1,851.616
117.401
11,731
£1,980,748
1,851,616
120,373
11.731
£1,983.720
2,972
£2.972
At 15 March 2024
Fixed assets
Cash
Other current a55ets/liabllities
1.868,537
130,729
10,077
£2,009,343
1,868,537
149.308
10,077
£2,027.922
18.579
£18,579
14 RELATED PARTY TRANsA￿loN5
2025
2024
Durln8 the year under review there were related party tran5artion5 a5 follows:
K D F 8ottomlev
Trustee- Friend5 Of St Mar8aret Pattens Chufch
Donaiions to St Margaret Pattens Chvrch
£8,IKQ
£8,￿0
J A Bryant-Pearson
Trustee- Friends of St Margaret Pattens Church
Donations to St Margaret Pattens Church
£8.OC¥)
£8,(￿0
Trustee- St Paul's Cathedral Chwister Trust
Grant to St Paul's Cathedral Chorlster Trust
£7,OCQ
£7,LKJO
A M Haywotsd
Reimbursement of course fees paid on behalf of
Pattenmakers, F¢Jture Leader Award Footwear winners
£593
£1,080
D M Watson Smiih
Trustee- Footwear Industry Trust
Donations ro Footwear Industry Trust
£1,5
There were no amounts outstandin8 at the year end.
15