Charit). Rc8iMration No. 295212
SHEEN MOUNT PRIMAR Y SCHOOL PARENT STAFFASS(KIATION
Annual rcport a[￿ unaudited financial stsi¢m¢nis
For the year ersded 31 August 2024

SHEEN MOUNT PRIMARY SCHOOL PARENT ST AFF ASSOCIATION
LEGAL AND ADMINISTRATIVE INfoRMATION
Committee Mernbers
Sophie Cr¢am¢r
Amanda Raven
Ratiie De Villiers
iAura Fleming
Kati¢ Simm
Nord Nelson
Amelia Fuggle
Emma Robinson
Charlene While
Sarah Mountford
Penny Robinson
Tom Holmes
Maria O Bri¢n
ChArity numb¢r
295212
Prin¢ipg1 addnss
Sheen Mount Primary SchrM)I
We51 Temple Shee
EASI Sheen London SW147RT
Ind¢pendenl txAmlntr
ail Lxdger

SHEEN MOUNT PRIMAR Y SCH(K)L PARENT STAFF AS5(￿lA TION
CONTENTS
Page
I to2
Committ¢¢ ￿ poff
Swement of Committee resw)n5ibilitie5
Independeni examiner5 reN)n
Statcmcnt of financial acti%'ilics
Siatement of finoncial ￿sitIOn
71012
Notes to the financial sthiements

SHEEN MOUNT PIUMARY ScH(￿)L PARENT STAFF ASSOCIATIO]Y
TRUSTEES, ANNUAL REPORT
l. Sheen Mount Primgry Sehool Pareni StAff Asweiation (PSA)
The PSA is a charity. run by a committee elected each year at the Annual General Meetinb (AGM).
The PTlOrities of the PSA exh year #re driven by the objeciives and needs of th¢ sch(KJl. Fundrnising
i$ IM￿)rtant. bLrt eqw411y importanl is the PSA-S role in bringing togeiher t￿ wider ￿h(X)I
communiiy.Tr key obje¢liv¢s be sumfflarised as:
To advance the educaTion and development of the pupils at Sheen Mount Primary
School byproviding and assisiing in provision of faciliiie5 for cducalion and
development noi required to ￿ provided (￿r furKled) b>. l(Ka] education authority
To foster, assi￿ and develop the community in and arourKI the school, enhancing
communicaikons within and between St￿l¢￿s. iwentsl&uardian& school stsff. the
Board of GovenN)rs 4txl exiernal organisaii(ms who work wilh the sch(x)l and ils
students.
2. Looking back
Following a bumper fundraisin¥ >ear for the PSA in ?0?2-23. and compleiion of the cenirnl
fundraising project called"For¢si. Field, Fun" the committee WaM￿j io fi*us ?013.?4 fundraising
on events designed to ¢nhoncc the community ￿peCt. -Ihc School olso cclcbrai¢d its Platinum 70th
Anniverwy in 2024 aThl ihe PSA wanted io rtto8ni7¢ and celebraie ik imw)nance of this.
Wilh this irt mind theT¢ was w swnsored Cycle Ride or Aulumn Ball bul we ineluded an ¢xira
pawnts. Quii F.vcning which along with Parcnis Summer Party. Kids Disco and Summcr Fair
were Plaiinum ihemed and showcased the klKxTrl. Also irKlwl¢d in ihe usual calendar of ¢ventS, W85
the Reception Parents part>.. Chrisimas Fair. chriStrn￿ Trtts and Cards aThJ I￿]Z ev¢ning. These
ev¢nts rnised a total of £49.533 nrf of expense&
We are fortunate lo have a wealth of willinki volunteer5 aFKI are able io run I1￿$t events thr()u¥h the
parent and carer nelwork who voluntttr their time io supp)rt Committee running events and
initiatives ihrw8lx)￿ ihe ￿h￿l edendar.
3. What we've funded
At ihe beginnin8 of the Y￿ school presents a wish li5110 Ihe PSA for items or auiviiie5 it would
like the PSA to sup1￿. Further requests ore sutffn1tt￿ throughoui the year Js the S¢h(x)I
Management Team idenlify particular needs or iniliaiives. During ?0?3-24 the PSA PTovided over
£157.000 of funding to the schwl. The bulk of this was in relation to th¢ Asiroturf(£l ?1.30614nd
Ihe Forest Walk1£4,7811 thai made up the -ForesL Field. Fun proieth for ?022.23. Th¢ PSA a150
furnlcd Smartboar(b {19.15•1. ClaSSr(K￿ Kit (£4 7(K)). Fo¢￿5 Weeks 1£? O(Xl}. R¢¢¢ption Rcsources
(£3.458). Math5 Resources (£8*gh Rcsideniial Trips1£7201. Plalinum Mugs1£69)) and Oiher small
spend items1£467}.
4. Fin8n¢i*l Review
The PSA ends the year in a very strong reserves position. with curreni assets and reserves of
£78,328 even after having provided significant fuThling for c(Knpletion of th¢ -ForesL Field, Fun"
Project.
PSA Reserves Policy
The PSA has a reserve policy. which rcquircs ihat a minimum of L?O.O(M) be held in an instantly
acC￿51b1¢ bank account at all limes. Thi5 is ¢onfinned during the financial seciion of every PSA
meeting, as well a5 ￿Ing verified by ihe itttkpendent accounthnt at time of account PTep8rn1ion.

SHEEry MOUNT PRIMARY SCH(K)L PARENT STAFF ASSOCIATION
Strueture• governance and mAttagement
The Associaiilm was established by a charitable trust deed on ?4 April 1986 and amended on 30
Octok*r 1996. The Associ*ion'5 CO￿li1￿10n was revised in January. ?01 S.
All of the trustees are m￿n￿rS of the Committtt. No ￿nefiCial inier¢sT w&$ received b) any ofthe
trus¢tts during ihe year. All Tr￿1(%$ are upjaid on public ben¢fii guidance issued by the Charily
Commission.
The Cornmittee memttT5 who served during the year were:
Sophie Creamer
Amelia Fuggle
Nord Nelson
Emma Robinson
Penny Robingon
Rania De Villers
Tom Holme5
Maria O'Brien
Sarnh Moufflford
Amanda Raven
Laura Flemin&
K￿1¢ Simm
Charlene White
(ApTN)inicd s¢Nem￿r ?022)
{Apwinied Seyember 20*21
IApw>inted se￿¢m￿r ?0??)
(Apwinied St￿¢M1*r 20221
(Appointed Seprern￿r ?0*21
IApwinied Sey¢mber ?022)
IApFointed January ?0?3)
(Appoinied Janwy 2023)
(Appointed Septemter ?0*31
(Appointed Semember 20?31
IApwTrinted Sepiemb¢r ?073)
(Aproinied sc￿em1*r ?0?31
IAppoini¢d Sepiemtrer 20231
Retrultment sp￿1￿¢me￿I of iruiiees
Commillec members are elected on an annual b9sis fT(Kn members of ihe P8r¢th Staff Ass(Kiaiion (the
parent5 and guardians of Children attending Sheen Mouni Primary Schwl and the teachers. staff and
Governors W(*kin8 at the %hool>.
Committee m¢mbers are elethed for a two y¢gr ierm.
Where de¢u8iorts need io be made at PSA m￿IngS. s￿h decisions are agreed by a show of haThJs.Each
PSA memttr in attendance has onc vole each.
Th¢ Commine¢ rewt approved by the Board of Committee Memi*TS.
Sigrted.
Tom Holm¢s
Tn￿1¢¢
Dated: .
Maria O'Brien
Trusttt
Dated: ..1 8. g .25

STATEMENT OF COMMIThEE RESPOIYSIBILITIES
The Committee memlw5 are resw>nsible for prepring the commit￿ ReFX)rt and ihe financial
statements in accordanee with applicable law atNI United Kingdcrfn Accounting S￿￿18rd$ (United
Kingdom Genera]ly Accewcd Accouniing Prnthicel.
The law applicable to chariiie5 in England aryj Wale5 requirES ihe Committtt mem￿rS to prewe
financial 5tatemenis for cach financial year which give a tn￿ and f4ir view of the State of affairs of the
Asso¢i81ion and of th¢ incoming resources a￿1 applicationof r¢sourcesof the AsK￿l&ll0n forthat year.
In pr¢paring these flnancial s￿mentS the C(Nnmilltt members are required io:
- s¢lect suitable accounting ￿lI¢le5 and t7￿ apply them wnsistently:
- observe the mdlKyJs aThl p￿￿1p7CS in the Charities SORP;
- moke judgemen15 and estimates that are rewnable and prLthnt:
- state whether appli￿ble accounting stsThlarth have been followgl subje£t to any m*eria] departures
disclosed and explained in the final￿]￿1 stytements. and
- prepare the financial St￿ements (x) the going wncern iwis urtless li is iMppropria* to presume th8t
the charity will conlinue in opeTalion.
The Committee membcrs are responsible for keepin8 sufficicni xcounling rttords thai disc105e with
reasonable accurncy at any time lh¢ financial rA)siiion of th¢ AssLKialion and enable them lo ctLsure
that ihe financial sts1emen￿ comply with ihe Charities Act 2011. the Charity {A¢¢ounts and Reports)
Rcgulaiions 2008 and the proNisions of ihe IrU￿ deed. They art also restK)nshble for safeguardiT)b the
assels of ihe AsxKiaiion hence for taking reasonable sieps for ihe weveniion and deieciion or
frdud and other irrebiularili¢s.

SHEEN MOUNT PRIMARY SCHOOL PARENT STAFF ASWIATION
INDEPENDENT ELIMTNF.RS RI￿RT
TO THE COMMIThEE MEMBF.RS OF SIIEEN MOUNT PRJMARY SCH(K)L PARENT
STAFF ASSOC'IATION
I re￿rt ¢0 the Commillee Th%m￿r5 on my exarnit￿N)th oftht financial $we￿￿￿￿OrSh￿ett Mouni Pn'nw Schwl
PaTeni StstT Aw¢i4lion Itl* thK)ror¢nd¢d 315¢ AU8ll￿ 2024
li¢wrtsibilities and b&%is of rwn
A5 thc Cornmittte ￿*M￿¥softh¢ A￿￿1Tht￿ you th. ￿5￿￿Ibk for pr•Mlrtoftk Financial Stht¢nK'nts'
Annual r¢wrt untsudik￿ fIna￿la} sw¢rr*rus for thc >Lwended 31 Augu% 2024.
'ur th¢ J¢ar ended 31 August 2024
I r¢FK>rt in r¢¥#¢i ofm%"t%amination of th¢ A￿1￿10￿$ Fina￿111 sts*M¢ntswri￿ ut￿r seC￿n 145 ofth¢
2011 ACL In win8 oui mvexaminatK>n J have folk>Mtd all 4¥1icabk dir¢th1o￿8]Yen b¥ the Charity Comis5K>th
given und¢r s¢£tion 1431SXbl of the 201 I ACL
I havc compkkd my ¢xaminaiion. T confm th•t M momcrs m)'attrni*JTh ￿[U￿rI10N with the
examination giving ¢4u* ts) ￿11¢¥¢ thal in pny material rt5￿￿..
l ac¢ouniin8 r￿(¥￿$ were kept in r¢5FKdoftr AsstKiNiTh *$ wired by Se￿On 130 orth¢ 2011 Ad: or
2 the finaneial 4w¢rrKnts do noi accord with lkne records: or
3 ￿ financial th) Mi cornplb with the appli¢abk r¢qUireft￿tsC0n(xTh7ll¥￿* fo￿ wn*ni of
ll¢cpunis Out in Ihc Ihan'ii¢s IAccounts*d Rryrtsl R¢8yla1￿ns 21MJ8 1)theT Ihw an). requircn￿I that the
accounts giv¢ and fair vivw whith is * m*rwnsid¢r¢d a5 pio(gn IndeF￿nd￿nI e%gminaiKm.
I hNv¢ no £onttrns Dnd hAve ¢onK ou055 no othcr mArtus ITh Con￿¢￿1 Mith the ewiin4iM)n kn which art¢nth)n slw)uld
drawi in this Ttpjrl in trrd¢r ￿ enable 4 pTorKT un¢kT5widirsg of th¢ fLnI￿la1 T¢Kkd.
Ciail L¢d8er
F.C.C.A
D$ttd..

SHEEN MOUNT PRIMAR Y SCHOOL P.4RENT STAFF ASSOCIATION
STATEMENT OF FINANCIAL ACTI'ITIE5
INCLUDIN'G INCOME AND EXPENDITURE AccouKr
For th¢ year endcd 31 Aug4Jsi 2024
Tothl
2024
Total
2023
Inc￿¢ and endowments from..
Donations
Fund raising activities
lrtvesth)enis
2.616
70.606
2,616
70.606
174.396
Totsl lrtcome
73.222
73,222
178.844
ExFndiiure on..
R4isin8 funds
121.053)
(21,OJ31
145.7661
Ch￿￿ble aclivities
516
1159.1261
1159.1261
Totsl resourccs expended
1180.1791
1180.1791
162.9471
Net incom¢ for the v¢•r
1106.9571
11ffi.9571
115,897
Fund b81Rnces * I Semember 2023
185.285
69.388
1106.9571
78.328
185,285
P¥e5

SHEEN MOUNT PRIMARY SCHOOL PARENT STAFF AsK￿lATIoN
ST ATEMENT OF FtN.4NCI.4L POSITION
A$ ai 3 l AUS￿51 2024
2024
2023
Current Assels
Trade and other Teeeivable$
Cash ai bank and in hand
3.148
l37.467
140,615
109
194.989
195.098
For ihe yeaT ended 31 Au8U5t 2023
Current Liabilities
10
62.287
9.813
Net eurrem assets
78.328
185,285
lrt¢om¢ funds
Rc$irict¢d funds
Unrestrieted funds
78J21
78.128
185.285
185,285
Page 6

SHF.EN MOUNT PRtMARY SCHOOL PARENT STAFF ASSOCIATION
NofES TO THE Ft%thCl.4L ST.4TEMENTS
Forth¢ ytar ¢nd¢d 31 August 2024
Accounting wlicie5 ChariD infom¥aiio
Shc£n Mount Primary School Pertni Siaff.4ssociaty)n is •n unIn￿r￿￿ted chllrity. The rryislercd officc is
SI￿en Mount PTimar) Sch￿[ West lempk Shetrn F.*M Sh¢¢n l.onthn SW'14 7RT.
A¢wuniinE ¢IMiV¢ntion
The finHnc13151atcn￿nr5 hEve bten prt]wed in accordanc¢ With ihe A59Kw*yi's lo￿￿rnIng thumcnL the
Charilit$ Act 2011 and'A¢¢ouniin8 and R¢FA)runB b) Charitics.. SEatrmii of Re￿[n￿K￿ded Prxti¢c
applicable lo charitie5 PTepxring iheii a¢¢wnts In wilh the Finonci&l Rewxtin8 SthndaTd arolir4ble
in the UK and Republic of lttland IFRS 1021, ios ar*nd¢d for a¢coumini pcrKth o)mmE￿Ing frvm l j￿U9ry
20161. The A%50cl￿10Th is a Publii Il¢n¢fii l.-niii> *4 Lkfl￿d by FRS 102.
The firsRncial stai¢men15 arc P￿.￿rd in ¢knlin8. Mhi¢h lh¢ luTh¢tionAI C￿EnC> ofthe A550tiaiKbn. Morn'wy
mounis I￿ the* fintheial ayt A)￿nd¢1 to th¢ ￿are￿ £.
GoinA ¢onc¢rn
Al Eh¢ iinje of approvin8 Iht finan¢iA) the L(Xhmblt¢¢ mtmkns h•ve a Teuinablr expe¢wioft thai
the A$5nrJwion h&¥ èdequlie rewur¢¢s w conrinuE in orrtmional ex1￿cr￿e fiyihe fo¥t%ee4bk fuiur¢. Thu5 Ihe
Commiii¢¢ rrKmb¢rs conlinue lo *Jopi th¢ 80in8 wncern basis of *¢¢OUDlin8 in prcpuin$ th¢ fin￿la1
stht¢m¢nts.
Chafiiahk tund
UnTCStrici¢d funds Aft Av4illlblr fvv uge thth¢ Ji5LreEiun ofthE Comii*e in ofthEir
hariittbl¢ obj¢¢iiv¢s Un￿55 Ihc fw)d* b•Y¢ b¢en dcyi8ftawd for4xIv PUTPS
Restrici¢d funds are 5ubjekl w S￿¢if￿ condilions by th)￿r5 how th¢> n¥y b¢ us¢d ThE pwN>ses uxs
of the resiri¢*d fund5 arc tieioui in th¢ T￿leS ro Ihe fin￿￿￿￿] stste￿n
Incoming
C&¥h donntsony UE rtewis¢dvD rt¢iO. ￿kn¢r (knnatv)ns￿ the Asso¢i•iKin
no11f￿d of Ihc donthtio¢L unle55 p¢rforwAnLY condilions ftquire defeffoj of ihe EnMTruni. Iwme r¢¢o%ernblt
in relation 10 donations Tecci%¢d und¢r (iih Aid OT 0￿￿50r￿￿Enlnl is rewis¢d AL the iimg ofiht donlllH>n.
R¢￿UrLeS ￿%￿nded
Kesourc¢s ¢xrKnd¢d are t¥COBnixd ith the Y*￿ that Ih¢y we •Dd ¢knified undEf h¢•lin85 Ih•t
888r¢Eatr 411 tosts ff ￿lCd to the ¢4*8or). Re5QUTttS ¢Ypeth in¢lude 4tttl￿￿bk VAT wths¢h ¢￿￿￿1b¢
¢ov¢r¢d.
Co*s of gcneratin8 fimds in¢l￿deS all eX￿￿11t￿￿ di￿11). the fumdt¥isingKtNstie
Chari¢able cxpcrtd1lu￿ inclu&J Ill exp¢1￿*ti￿¢ dir¢¥xb 10 th¢ objeLl1￿$￿fthC chllri¢v.
(K)Y¢rnon¢e costs includts all expe￿j7$Y￿ reiwinB fv ￿￿1t￿tiOnal SthiUEorv requireme￿15 vfihe charity
and in¢luths admittistrat¥)ll Costs 8JKi costs &$9)¢iwd with th¢ strwc8ic miii¥8tjr￿t ofthe chwii) 5
&¢tL¥ilit
Cagh ond ¢th equi%aknts
C95h ènd ¢osh equivalents ivlude Lxsh in baDd #ttdd¢p)sits hEld ￿ ¢•ll V4ith I￿￿*￿

SHEEN MOLNT PRIMARY SCHOOL PARETrtr STAFF ASS(flATION
NOTES TO THE FINANCIAL ST.4TEMENTS IcoYfiNL ED)
For the year ended 31 Augull 2024
Accouniing poIiGi¢s
(contin￿1)
Financial instruments
The Associaiion has el¢¢ied io apply the provi510n5 of Seaion I I 'Basi¢ Financial Instruments, and Seaion
12'0thcr FinaTh¢ial In5trumer)ts l&su¢s' of FRS 102 ￿ all of its financial instruments.
Financial instruments are reco8ni5ed in ihc 855ofiation's Balirt¢¢ sh￿ when &5￿Ciall0n becomes party
FOT Ihe year ¢nd¢d 31 Au8llSt 2024
rinancial a55Ct5 and li&bilities are offsei. wilh th¢ net amounts presented in the financial $taiemeni& when there 15 a
legally enforceable right to 5Ct off th¢ T¢¢0￿]Sed wnounis and thert is an intenlion to 5¢tt1¢ basis or to realise the
assel and Settle the liability simultaneously.
B&4ic financial assets
Basic financial Sssets. which in¢lvde ir4d¢ and oiher receivgb1¢5 aJKI Cash And bank balances. are iniiially measured Bt
transaction Price including amortisaiion ¢ods and are sub5CqWntly arri¢d ai amortised c051 using ihe effective inieTesi
method the mang8emeni conMitul¢$ 8 fLnancin8 iransJclion, whwr the tran￿£110Th 15 measured 81 the pre5eni value
of the future receiws di%ounied at the m8rkd r4* of intsrem. Financial asseL% classified as ￿￿1¥*b]e within one yeAr ar¢
not Amortised.
Basic finan¢ial liabilities
Basi¢ finRncial IiAbili¢l¢S. including trade and other payables ar¢ initially rrt¢Jgnis¢J at trnnsaction price unle55 the
management consiitutcs i fin8ncin¥ Iran￿¢110￿. M'here the debt inswumeni is meAsvr¢d ai the prcseni value of thc future
payments discounied ai a m￿k¢1 rate of interesL
Trndc payable5 are obl1￿￿On$ 10 Pgy for Bood5 or servitts thai have been Kquired in the ffdinary coutse of operations
from supplieTS. Amounts PAyable are Classified ￿ current li*biliiies if pa>'ment 1$ due within one year OT less.
2 Donations
2024
Donation5 arml gift$
?.616
4.448

SIIECN MOLWT PRIMARY SCII(X)L PAREYf STAFT. ASWIAI]ON
NOT[.5 TO"ii Ir. riNANCIAL STATt-.klLNTS ICONTtNLI-"DI
For the ycar erwjcd 31 AuKLL%t 2024
3. Fur¥Jrni$inK a¢iiviiies
UnTtstrid¢d
fuThL
R¢uri¢Led
Ti)wl
2024
2023
For the )t4r 31 Au8us¢ 2023
Fundraising ¢¥¢nis
70.6(
70.61
174.396
70.N
70,606
174.396
Unrestricied funds
2024
2023
Net
In¢ome
Club lono
C1ts88 Killy
Uniform s￿¢
Smanie5 lor jobs
miles lor fis¢ b3dBe5
(iroup cycle Tid¢
Pro cycle ¢Yertl
Quiz ei'enin8
Summer fair
Chris1m￿ fair. ue¢s & ¢8rds
Mi%¢114nLWS
E&¥y lund rdisill8
Di￿0
Autumn ball
ProjeL1 Clwk
R¢ccp¢ion & year I drit
Summer pgrty
Sm(x)ihic bik¢ Tide
Smooihi¢ ride I shirts
One off lund raisers
2.870
1.224
2.335
8(K)
1.20¥
2.070
16
L26Y
1.380
2.U75
16
4X.I 57
177
2.443
12.439
16.993
559
1.897
4.801
15.921
26.834
546
2.445
4.262
6.910
715
3.356
11.659
19.Y24
11691
2J08
357
2.576
73
43
2.501
598
461
4.080
14.383
4.079
482
128.630
9.283
259
70.1rf16
258
49.553
21.053
4. Inv¢8Thents
2024
2023
Ini¢rcs1 rttui'able

SHEEN MOLWT PRINIARY SCH(K)L PARENT STAFF ASS(KIATION
NOTES TO THE FINANCIAL sT.ITF.￿IF.NT$ IC.ONTINLEDI
Forthe year ended 31 Augu￿ 2024
5. Charitable activities
Donal￿￿5
2024
2023
Asiro turf
Smartboards
Classroom Kir
Colour tetsm shirt5
Libr￿ &. LibTBry Cloud
For¢st Walk
Chrom¢ b(M)ks
Water bottles
Gard¢nin8
Focus weeks
R¢¢eption decordlin8 & resowces
181hs r¢50urces
Rc$id¢ntlAI irips
Plaiinum myx ¢ontribuiion
NlisccllBneous
121.306
19.152
4.21KI
467
ty1.306
19.152
4.200
467
4.200
1,287
4.781
4.781
7,B40
233
233
2.758
829
720
692
467
157.608
829
7?0
692
467
157.605
Share of 5UPPOrt ¢osi$ l%e ncle 61
771
748
Shart of governgnce ¢os¢s (stt Thote 61
750
750
Ilnr¢siricted fund8
159.126
Unr¢strickd fvnd5
159.126
P4t 10

SHEEN MOLNT PRIMARY SCHOOL PARENT STAFF ASSOCIA TION
OTES TO THE FINANC.IAL STATF.MF.NTS IC.ONTNt,'EDI
For th¢ year ended 31 Au8usI 2024
6. 5uppon costs
2024
2023
Support
osts
costs
Insurance
Sundry expense5
Accountancy
153
618
153
618
750
140
608
750
1,498
750
750
771
.AnAly$ed betwttn
Charitable activities
771
750
1.321
1.498
7. Committee Members
Non¢ of thE Committee membern {or any person winect¢d with thcml rc¢eiYed Mnunemion.
2024
2023
8. Employ¢e5
2024
2023
9. Prepll￿nts ttnd a¢¢Ned income
1,148
109
2024
2021
10. Aecn]a15 and dcfcrred income
6?.287
9.813
Page 11

SHEEN MouKf PRINIARY SCHIK)L PARE.NT STAFF ASS[￿IATION
NOTES TO THE FINANCIAL STATENfENTS ICONTINLEDI
For the yw ended 31 August 2024
I l. Analy$i$ of net 255ets betwecn fimds
unrestric￿ fvnds
Rc5trida fuNJs
Total
FuDd balances lli 31st August
2024 ar¢ r¢pre￿nted by..
78.328
78.328
Annual repon and unAudlttd
financial stat¢￿¢17t5 For Ilie year
ended 31 Augusl ?024
Current AsSe￿LiAbl]I11es
78.3?8
78.328
12. Relatd p*rty ¢iwi$g¢1ions
There were no disciosable relaied p4ny nrwtions duringthe year{2023- Mne).
Page 12