Cbarity Registration No. 295212
SHEEN MOUNT PRtMARY SCHOOL PARENf STAFFASSOCIATION
Annual report and unaudited financial ststements
For the year ended 31 August 2025

SHEEN MOLfNT PIUMARY SCHOOL PARENT ￿AFF ASSOCIATION
LEGAL AND ADMfNISTPATJVE INFORMATION,
Comn)lttee Members
Kath Hauge
Amanda Rxv¢n
Clara Ne150n
Laura Fleming
Katie Simm
Pauline Matthews
Caroline Hinds
Amushka Asthana
Charlene White
Tom Holrnes
Maria O Brien
Char&ty number
295212
Principal *ddress
She¢n Mount Primary Sthool
West Temple Sheen
East Sheen London SW14 7RT
Independent examI￿*r
Gail Ledger

SHEEN MOUNT PRIMARY SCHOOL PAR￿ STAFF ASSOCIATION
cowrEwrs
Page
Committee reEX
Statement of Committee responsibilities
Independent examiners Tep)rt
St4￿Men1 of financial activities
Statemen( of financial p)sition
7kn12
Notes to the financial ststements

TRUSTEES, ANNUAL REPORT
SheÈth Momnt Prlm•ry School hTeNt Stsff A$￿ti#ll￿O ITSA
The PSA is llchanry. whith 1ST￿￿ by acommitr¢¢ ¢lecrcd ¢xh YwuftkAmnY￿ MeeTitig IAGM}.
Th¢ prionti&%ofihe PSAeach yearJrcthiveDby theobjectives ajvjneedsofthcschool. Fundraising ss impoTWIL
but equally important is the PSA'S TDle in bri￿￿￿8 108ether the wkkr school ￿M￿￿nIty. Th¢ ky obj¢uives
To advance the ethLcatiofft and dcvcl0pn￿n1 of th¢ pupils #t Sheert Mmnt Primary sci￿ by
prov￿1￿8 and as5jStin¥ in the K*OViSiOtt of facilitiesforeduc•tion w¥l¢J￿1¢￿I￿￿ nwT¢quired
lobe {noffvnded) bythtlttal educaiion aythonty
To foster. WL$t and thv¢Jop the c¢)mmuThiLy in aTrl aTouthd thc school. enha￿1Th8
communications and be￿¢¢n paT¢DWDwdiaTr5. Sthool stAff. the Board of
Governors W)d extrrn￿ organJtstiort% *who work with th¢ school and its swd¢NS.
Overylew
For the financial yeArendinB Augum 2025. the PSA and the schrv)I xt a c¢ntrul fundrnisiTrg projcu ullcd
Prtsieci Outdoor. The aim was th Mse funds to upgtth the plaYgrow￿5 and io WV¢T anThual ￿5¥S the
PSA 5upp)rts the gchool with for classroom Tcswrccs I￿1 The filndraj￿thE w&$ £85.(M)O for
Projed Outhr. plus£17.INK) for agreed costk wwinga total of £IOLIYK*.
We chose to invest in a rrH)TE SUSt8inable •PPTofych 10 S￿>￿0 hand uniforni sales. A Broup of volunteers waD¢ed
to Creak a llK)re eon$isttnt shofy so £4.440 was Sp￿1 on buildinsa slw Èhed. Salts thiring the year totalled
£2.269. Wc txptti io b￿￿k eve* ftext year. with on8OiD8 profits thJL Th¢ sIK)p h&* beelk 8 weleomed
addition ¢0 th¢ school.
2024125 was a very stronw htndTafsI￿g yew forthc PSA. Alongside the usual evety(s as the Recwion
Parents Party. Chrismas Fair. Chri￿M•S TTX4 and Cards. &]iz Evening. Summer Fair •nd Thseo. we also ran
addiiional events W SUPWrt ProJe¢t I￿r￿00T. Thes¢ inrludcd a 5￿T￿red cycle ride from L•nd's Ènd LO Sheen
Mouni fOrpttren￿ ind a sponsored bounce forthe children during sehool hours. W¢ also h05trd a new
cemmursiiy ¢v¢ni, i Hjlloween Trail 2nd held oncthr thnner Dance Fundraiser in the winter term and spnn8
rms respeciively. In iotaj. these events rni5¢d £133.605.64 after expensts. lth 8thJiiioTJ we r¢c¢iv¢d £l2.086.39
in Gift Aid for the Bike RIde8￿j ChildTeTr'$ Bounc¢ bylwe thiso rAid a Clwity donatioTr of£11531.16. Na
PTofil for events were £133.160.87
We contsnue to btnefit from a St￿ng￿e￿Ork of parents and cartss who voluDwtheir time ￿ help run events
and supp)rt th¢ PSA committee thyougknut the school yw.
Whai we have fvttded
Ai ihe stan of ¢h¢ year. the school provides the PSA with a wish li￿ of i*msand •￿iVit￿5 it Ivould like Suppon
with. Further requests 8re made during thc year Is needs are identif*d.
During 2024125 the PSA supported the schiK>l with £26.940. £15.565.74 weni tOWaTds school resoLrce&
including classrotrm budg¢r& curyiculum itenL< b￿k% boEdcs and colourtd T shirts for Reception
thildrett. We speni £4.990 on illWViDK the scknl WiFi. A funh¢r £5244 wa5 used io Tmprovt th¢ forest walk
aNi gardett areas. Dwing Othj Job Days. £668.20 was ￿1r￿￿ted for rnarerials 10 itDprove the scknol 8round5
r¢si(>re the outdr*)r clasyoonL We a15D COtstrihJftd£475 ty an ¥irthi unit and built the uTrifonn sh¢d for £4.440.
A$ part of Projeci Oul(loor. £l2.950 wa5 spent 00 an oukngyllL with a £76.611 cornnjitted for
pIRy8rouDd works ¢aking plac¢ iry 2025126. total ¢otiJmill￿I of £89564. The fiJ)al tor the bAII court
works wa5 £4.564 bigb¢r than exp￿￿j wbicb we have xcoun*d for aThd witlLill the 8￿Ced Spend thTC5holds.
Toral exptrdit￿ £120.944.
Finan¢iol Review
The PSA ents tbe year io • very 5trvng ttserves With ruTh¢ni assets 01£179.031 and r¢serves of £88.585.
AC¢n￿lS of £89.931.73 held on th¢ biatt¢e shed rela￿￿ to eJpeuliwre agteed on the P]•yground project plus
accounting f¢¢s of £79Y). invoiced ill 2025126.
PSA R¢s¢Th¢s Policy
Tr PSA has a reserve poliry. which requircs thaia mitiimum of£20.IKrf) be held in arl instsnily a￿¢s$ible bal
accouni ai 811 tim￿. This i$ conf)Trxd durins thB fm8￿7?1 s¢ctiOD of every PSA me¢un& 35 w¢ll &$ being
v¢rified by the iDd¢wdBrt a¢¢ountani ar um¢ preparav(m.

Strueture* Kovernance and maTr*gtmtJJt
The Association was esrabliskd bya chaTitabk mwd¢ed on 24 Awil 1986 on 30 1996.
As8ociatiort'S C0115titytion wasrevised in Jawary2015.
All of th¢ trustees an mthnbET5 of the Commiuee. No knefiuaj irttrr¢yi¥4s T¢cuvedby any of the Dwtetsdtrttsg thc ye•r. All
TTUStrts are upd21ed on Publ￿ bcnefiiguidanct issued by the (kn"ty commi￿0*.
Tht Com]ni¢t¢¢ nwmber5 I￿0 krvtd dtsrl*g thtye*r
Tom Holn*s lapw>in*dJanuary2023)
Maria O'BTieii lappoinied January 2023)
CtRTa N'elson (appointed Sep*mter2024)
KathryTr HaBUC (appoinitd Stp￿ber 20241
Laura Fleming (ap￿lAted SepietDber20231
Pauline EspiD05a lappDiThted September2024)
Caroline Hinds18ppoin*d Seprembts 20241
Katie Simm lapN>inted Sep*mbcr20231
Amanda Ravert lappointd Sepi¢mbcr 2023)
An0￿shka Asihana14)point¢d S¢pt¢mb¢r20241
Charlene Whitc lapp>in*d S¢pt¢rnbtr 2023)
Retrultmeit athd appoi•tm¢it of tn￿1￿5
Committee n*mb¢T5 are e1cc￿d on an antM]al b&￿￿ from MEM1￿15 of the Paremsthff A￿larIOn (the pornts and 8￿￿dianS of
children alie￿jI￿g Sheen Ma￿1 Prinwy Schth)l and *aehets. sthff aTrJ &>vuwtS WQTkin8 atthe sdwll
Committee membezs ate elethed for ll ThVOthyW I￿.
ivhere deci￿OnS need w b¢ rnd¢ 41 PSA InceM￿ &xisions aTe axtttsl by asknw of haDds. Eath PSA memtrer in
auendante hts one vty¢ urh.
The Comtnitteew was wroved by the Bo*d ofcommittce M¢mb
Tom Htslr
Trtssteé
D*ttd:
z613(26
Maria O'BrleD
Tru5tet
Dfittd:
• 16326

STATEMENT OF COMMrrrEE RLSPONSIBILITIES
The Committ¢¢ m¢mbe¥sart reSpo￿lb]e forpTep*ngthe commi￿¢ Reyna￿1 the in accordance with
applK•bl¢ Inw Bnd United Kingdom A¢¢￿tin￿ StÈtyJards KingLb)mCtwalty Acctpted AccounlinR Pr&critel.
The law3ppl1￿b)e ￿ ¢1￿]17c5 in Fthglartd 8nd WalrsT¢wires the Committee PTerArt ffinartcial sthtrmcnts fore8th
finantrial year which gjvea ottd fair vw of the sra* of iffaits of the Association and of ThE 1￿m[￿s fcstyJTCC5 and
atvlicaiion ofresour¢¢s of the Assrti*ion forthaty¢Jr.
ltt pvepanng th¢s¢ $tareme*r& the Committee mErntXV5 art tt4uirtdto'.
stleci suitsblc 3￿QU￿tin$ wJlici&%and #pply them t(M￿l￿1y.
obsetve the D)ethod£ and pnnuples irt the Charnics SORP:
make judR¢ments And estirA*5 aye Tt450n2bl¢ and
sratc whtthcr applicable &t¢)u￿￿n8 sr4ndards hw¢ b¢¢n follow￿ subject w anyrnllteTi&I dcparnrn disdostyj 8nd
txplaincd ITh the financial ststeYn¢nts:
p￿Part the fi￿￿￿¢111 stttewts orl th¢ b8su unks5 It￿ that th¢chariry will
coniinu¢ in op¢rknOn.
Th¢ Committee are r¢spwLSiThk forkeeping 9JffKi¢ni accou￿]ng￿£￿￿ th*dis¢h)5e with Tf450nabl¢ x¢yr¥y * arty
lim¢ the financwl wsiljrrfj of the ASs￿lI(10n atyj eNbk ¢WTe thaithe financial ¢omply with the (Tharitics
20 T l. th¢ Charity (Attounts 8NI Reports) Re8ulaiu)rs2CW provi5i(KL%oftk tsusi de&. They alstr reSrAH￿lble
rorsafe8uardins the >sscts orth¢ Aswiatioh he￿¢ forthknng le￿[￿bk$[W foTthe Pre￿¥￿ and detrctttsn of fraud
and other iTregulaTitic

SHEEN MOIJNT PRIMARY SCHOOL PAREN[ srAFF Ass(￿lATIoN
tNDEPENDENT EXAMfNERS REPORT
TO THE COMM[￿EE MEMBERS OF SHEEN MOUNT PRIMARY SCHOOL
PAREwf STAFF ASSOCIATION
l Tepx)rt to the CoTDmiti¢¢ on my txaminaim of the finanual wteEYw of SIK¢n MLMJni Prinmry Sch(
Parent Stsff AS￿lI110r1 lthe A$s￿l4￿0n) ye4reTthJ 3]￿A￿￿1$t 2025
R¢$pon5ibiliiies and basis of Jtp
As the Commiii¢¢ m¢mb¢TS of the A￿tiatiOn you are responsible for the preparw of rh¢ Flov￿la] Sia*mettts in
Annual wort and unaudit¢d fin4￿1￿ stsiements forthe yeartnw 31 Au8Nsi 2025.
Forthe year eThJed 31 August 2025
I report in r¢spxr of my cxamiThaiiort of the AS￿￿1009 FinarKial Sthrtmtnrs caTried our uNl¢r Section 145 of the
2011 Att. Irt caTryin¥ oui my ¢xaminatiotb I have followed all * applicabl¢ direditins &Tv¢n by tr Charity Commission
8iven under section 145(SXbl of th¢ 201 I A¢L
I have completed my exAmination. I confinntrAr ￿ twt¢r5 hav¢ w￿¢￿mY attrythion in wlh the
examinarion wvin8 me ca￿t ro believe in any nuteriai wt
l ac¢ouniing records noi kept in respect ofth A$s￿lI110Th as ttqUiTe41 by 130of thc 201 I ACL or
2 the fiMncial statements do T￿1 acco￿ with those records.. or
3 ¢h¢ financia] sw¢ments th) cotnply with the applic4bk rtquiromts t4>￿¢nI1n8 the fonn I￿1 cortcTht of
accollnLS sei oul in th¢ charli1￿ IAccountsatyJ Re￿￿￿) Rcgulation5 I￿3 otsth•n any rt4UiTC5tLeni that the
accounts siv¢ i irue and fair view which is not a r￿Lter£0￿5)L￿rCd as of2rt ind¢￿￿ent eXarm[￿1￿)n.
I have no c(WKErn5 and have come across ￿ o¢kn matters in ¢onne£tiDn with ¢k¢x3miwion to %thichattetht￿tt should be
drnwn in Ihis report In ordEr EO enable aproper urthtstsAlinBof the finartial statenly￿ ￿ b¢ ru¢he
Gail ￿d8¢[
F.C.C.A
Dated:

SHEEN MOUNT PRJMARY SCHOOL PARENf STAFF ASSOCIATION
STATEMENT OF FINANCIAL AcrvrrtES
tNCLUDING fNCOME AND EXPENDITURE Accouwr
For the yearended 31 Augus¢ 2025
Notes
u￿￿tricted
Totsl
2025
Total
2024
nds
Income and ¢ndowThents from:
Don￿lOn5
Fund raising aaiviiies
Inve5ttnents
1,851
177598
125
1.851
177.598
2.616
70,606
T(Aal income
179374
179.574
73222
EXpendI￿re on..
Raising funds
(47.980)
(47,980)
(21.053)
Chan"tsbl¢ a¢tivities
$16
(121337)
(12133T)
(159,126)
Total TesouT¢es expended
{169317)
(169.3171
{180.179)
Nei income for the year
10257
{106.957)
Fond balan¢¢s a¢ I Sepiember 2W24
78.328
185.285
88,585
78,328

SHEEN MOUNT PRJMARY SCHOOL PAREwr srAFF ASsC￿tATIoN
STATEMENT OF FtNANCIAL POSITtON
As at 31 August 2025
No
2025
2024
cU￿t Assets
Trade and other receivabl
Cash at bank and in hand
7.596
171,435
179.031
3,148
137.467
140.615
For the year ended 31 Au8USt 2023
Current Liabilities
io
90.446
62,287
Net current a55ets
88.585
78,328
Income ￿ndS
Restricted hnds
Unrestyicted funds
88.585
88585
78,328
78.328

SHEEN MOtrNT PRtMARY SCHOOL PA￿ STAFF ASSOCIATtON
NOTES TO THE FtNANCIAL STATEMEKrs
For th¢ yw etthd 31 AubTr]st 2025
A¢￿￿￿tIng polLCLes Charity inforniatio
Sheen Mount School Parent Stsff AssociatiOD is an uninw￿l￿ charity. The tegistued office is
Sh¢en Mtsunt Primary School. West Temple Sheen. E&st Sheen London SW14 7RT.
Accounting conveDuon
Tr rinancial sta*ments have been prepared in a¢coTdan¢e with the A5sociaiion's goveming documenl the
Charittts ACL 2011 and'A¢countin8 and Rewsrting by ChaTiti¢s'. Sratemcni of R￿mMenda Practicc
applicable ￿ Charities preparing theiraccounts in a¢¢ordan¢¢ with the Financial Rewsrting Slandard applicablc
in the UK and kepublic of Ireland (FRS 102), {&$ arnertd￿ fora¢¢ounLing WiLN15 comTTKncing from I January
2016). The A$s￿latI1)n is a Public Benefit Entity as defined by FRS 102.
The fin2ncial ststemertts are prepared in sterling. which is the fimctional CUITEW of the Association.
Monelary amounts in thcsc financial statements are rouTKlcd to the De¥r￿ L
Going ￿nCern
At th¢ time of approvtng the fin8ncial statemenw the Committee JneThkn have a re&sonable expcctstion that
the Asso¢iatioD has adequate resources ￿ continue in owional ¢xis*nce for the foreseeable ￿ll)re. Thus thc
Cornmittee m¢mb¢TS ¢ontinue to ￿ the gohng COTKCrn basts of x¢ouThting in preparing the financial
stsierncnts.
Chartlable fimds
Unremi¢ted fund5 are availabl¢ foru5e at the diScr￿10n of tht Comrnittee membets ID fvrth¢rance of thcir
eharitsble objectives unless the fimds have desiwted for othcrpuTP
Restricted fvnds are subject ￿ $￿tfi¢ conditions by doD)rs ¥ to how they may be used. The pUTpO￿ and u5e5
of the restric*d funds set out in the notes to the fin#￿1&1 statenrnLS.
Jncoming resourees
Cash donations are Te¢wLised on TeceipL Othcrdtinations are rtto￿l5td 0￿￿ the Associarion h&$ beth rtotified
of the donation. unless perfonnjnce conditiorts requirc dcftrfdl of the an￿￿1. tax Te¢overabl¢ in relation
to donuions received utth Gift Aid or detts of covts)ani is recwised at the time of the donation.
Rcsources eX￿￿d
ResourcE5 ex￿￿e￿ are recognised in the year thatthty irKurred and they art classified under kadings that
aggr¢gate all cosrs relared to the cAte80ry. Re50urc&% eXp￿ded irKludc attribulable VAT wbich cannot be
re¢oY¢r¢d.
Costs of generdting fimds itKludes all eXP￿dIt￿re direetty relatrd w th¢ fi￿d￿lsIng taNiti* Charitable
¢xpendsfure includes all expendin￿¢ dir¢dky ttlated to tht objectives of the clwity.
Governance costs include5 all ¢xp&Jdittwe relatin8 to eonsttwtional aryi statutory reqlliTerncnts of the cbariry and
]￿ludeS administrntion costs aTrJ any costs a$s￿lated whth the styatw¢ managem￿1 of the charl￿$ adivitie&
Cath and cash equivalents
Cash and cash equivalents ittlude ush in IWKI deposits held at call with bank

SHEEN MOUNf PRIMARY SCHOOL PARENf STAFF Ass(￿lATIoN
NOTES TO THE FfNANCIAL STATEMENTS {CONTINUED)
For the ye8r¢nded 31 Allg￿￿ 2025
A¢counting ￿lICIeS
(Continued)
Financial ins￿men(S
The ASS￿l￿￿oft has ekcied to apply the provisions of Seciion I l %asi¢ Financial Instruments. 2nd Sec¢io
12 '0ther Financial Instruments Issues. of FRS 102 ty all of its finar￿la1 instiu￿1
Financi¥l inS￿Ments are reeogniscd in the awiation's BalasKe Sheet wh¢n th¢ ¥sso¢iaiion be￿n￿$ party
For the year 31 Au8usI 2025
Fin8ncial assets and liabilities are offseL with the net amounts presented in the fin•Jcial 5tsternen￿ when is a legally
enforceable ftght to set off the reco8nis&l anyjwjts and there i5 an intyNion ￿ settk on a netb&sis or EO realise the asset 8ThJ
settle the liability simuluneousty.
B&sie financial assets
Basic financial which irKlude trade and otherrecciYab]es and cath and bank balances. are tnitially measured ai
transaction price includirtg aT￿rtIS￿lI0n costs and are sUbsequ￿11Y carried at anMmis¢d ￿$1 using the effethvc interest
mcthod unless the manage￿ent constitutes a financing trans8¢1ion. wheTe thc (r8nsaction is nwsured at the present Wdlue of
the fuNre receipts diS￿lln1ed at thc rnarkei rate of interesL Financial assets eI￿lfied as rKeivable within one y￿r are not
amortlsed.
Basic financial liabiliti
Basic fmancial liabilities, incI￿ling trade and other payabl¢s are inirialiy Tecognised at Irdnsaetion price unle5$ the
managcmtnt consiityies a financing transaction, where the debt instrument is ai the preseni value of the fvwre
paytnents discounied at / market Tate of inrertSL
Trade ptyablc5 are Obli￿10Th$ to pay for orsthicts tha havebetn wiued inthe LrfiTWCOUT5e Of0r￿￿On5 fiDm
suppliers. Alnounts payabl¢ 8re dassiffied ￿ current liabilttses if Pay￿￿TrI is wrthin ￿eye*r or les>
2 Donations
2025
2024
Don￿10￿$ aod 8ifts
1.851
2,616

SHEEN MOUNT PRJMARY SCHOOL PAR￿ STAFF ASSOCIATION
NOTES TO THE FtNANCIAL STATEMEKfs (COWTfNUED)
For the year ended 31 August 2025
3. Fundraising activities
Un￿triCted
fimds
R¢srricted
Total
2025
Totsl
2024
F￿ndT81$1￿B events
177J98
177.598
70.606
Fundrdisingactivities
177598
177598
70.606
Unre$trt¢kd fvnds
2025
Net
2024
N¢t
Income
Club lotto
cl￿ Kitty
Unifornj sale
GTOUP cycle ride
Quiz evenin8
Summer fair
Christm8s fair. trees & cards
miS￿lI￿)coUS
Digco
Project Cluck
Reception & year I drinks
S￿m￿r parry
WinicT party
Hallowttn trail
Bounce
Golf day
One off fvnd raisers
815
.458
2279
67.993
4.508
17.C#)I
19.669
2CrfJ
859
615
599
2.279
54.468
2,070
16
2.269
13525
3,356
11.659
19,924
{1691
1.951
2.501
598
5.112
3J63
4.312
13.638
15.357
242
.747
21
5J02
16.442
184
1583
(1.747)
555
5.177
14.754
1.174
16.882
659
224
129,618
576
10,679
31.196
1.358
16,882
1.134
224
177 J98
475
258
49,553
47,980
4. Invesm]ents
2025
2024
In￿￿$1 recei￿ble
125

SHEEN MOUTrffj PRIMARY SCHOOL PARENT sfAFF ASSOCtATION
NOTES TO THE FINANCIAL STATEMENTS {CONTfNUED)
For the year ended 31 August 2025
S. Charitablt aaivities
2025
2024
Astro Djrf
Proj¢¢t ouidooTS
Smartboards
Classroom Kil
Colour teaTn shirts
Librdry & Libr￿ Cloud
Forest khool & General OutdooT5
Wifi
Air Conditioning Unirs
Waler bott]es
Focu5 weeks
Reception d¢￿rating & resourc
Maths resouTces
Residential trips
Platinum contribution
Uniform shed
Miscellaneous
121J06
89.￿1
89.561
19,152
4.200
467
5285
5,285
4.lÈ8
5244
4,990
475
4.188
5.244
4.990
475
4,781
233
2.000
2.758
829
720
692
3,0
1.080
934
I19,197
934
119.197
467
157,605
Share of suppott ¢OSLS (see not 6)
790
771
Shar¢ of Eovemancc cosrs (see note 6}
,350
750
Unresfficted funds
121,337
159.126
UnrestTiCEed ffijnds
121.337
L59,126
Pyio

SHEEN MOUNT PIUMARY SCHOOL PARENT STAFF ASSOCIATION
NOTES TO THE FtNANCIAL STATEMENfs (COh.TINUED)
For ihe year eTthI 31 August 2025
6. Support Costs
20
2024
Insurdnce
Sundry exptnses
Aecountsn¢y
162
1,188
162
1,188
790
2.140
153
618
750
1.521
790
790
lJ50
Analysed bEThveen
Charitable a¢tiviti¢s
790
1350
2.140
1,521
7. Committee Membeys
None of thc Commiltre mernb¢rs (or any person connceted with ttwnl rtteived any Temunerntion.
2025
2024
8. Employee5
2025
2024
9. Prepayments and xcrued in¢omÈ
7.596
3.148
2025
2024
I0.A￿[U415 defe￿￿ income
90,446
62.287

SHEEN MOLwf PRJMARY SCHOOL PARE￿r STAFF ASSOCIATION
NOTES TO THE FtNANCIAL STATEMENTS (C0NTtNiJ￿D}
For the year end￿ 31 August 2025
I l. Analysi5 of nei assets bettveen furtiL*
Unre5triCted fimds Restriaed fijnds
Tota]
Fund balances at 31st Augu
2025 are represented by:
Annual repon and unaudittd
financial gtaiem¢nts For the year
ended 3 l August 2025
88585
88,585
88585
88,585
12. Related party transa¢tÉons
There were no disclosable relatrd party tra[￿1]0nS dur]"ng the year(2024- Th)ne).
Pw12