AEfjtsTEReD COMPANY NUMBER: 2013754 IEn8tsnd •DdWl•s) REGISTERED OIARITY NUMBEIi.. 295Tr3 RÉPORT OF THE TRUSTEES AND AIIDITEOFINANOALSTATEMEP4TS FOR THE YEAR EIIDED JI IULY 2024 THE FOUNDATI(I FOR (louc EDUCATI(A
THE F(K114DATK)N fQR CONDucnvE EDUCATION CONTE14TS OFTHE FINA14CIALSTATEMENTS FOR ThE YEAR ENDED 31 IULYZOZ4 P4• Ileport of theTrust Ito17 fl•p)rt of the Ind¢p•nd•nt Audltors 18to20 St•t¢ment of Fin8rKlI5 Actlvltlej 21 22to23 Cwh Aow Stzt•m•rt 24 Notes tothe Flowstitement 25 Not•S tothè Fln•ncl•l St•t•rnertJ 26to48
THE FOUNDATION FORCONDUCTIVE EDUCATION IREGISIERED NUMBER: 20837541 REPORT OFTNE TRUSTEES FOR THE YEAA ENOED 31JULY Z024 The trustees, who are a150 difector5 ol thE charlry for the purposes of the Companie5 Art 2c. present thelr report ith the financial statements c4 the charftyfor the year ended 31 July 2024. The irkt5tees have adopted the provlslons of Accountlng and Reportln8 by Charltie5'. Statement of Recommended Practice appliCae to ch•rities preparlnithelr accounts in accordance with the Financial Reportin8 Standard applicable in the UK and Republk ol ITelaThd IFK% 1021 leffertlve l J•Truary 20191. OWECTIVES AND AcnviTIES ObJ•cll¥•s •nd alms The Foundatlon for Conduttlve EdLxatlon ITrIICEI alms to develop* advance and teach the Jclence of Conductfve Educatlon. Conduttlve Educatlon orf8lnattd In HurtBOry In the 1940s as a unlque form of educatlon and rehabllttatlun lor pe¢)ple wSth neurotO8lcal motof dlsord•r5 such 05 ¢erebr¥l ylsy, stroke. multlple 5clÈrosls and Parkin50n's. Conduttive EdtIon is based upon o '51rnple' concept Df human potèntlthl whlch rneans that everyone hos the capablllty to leam and develop Irre5pectlve of thelr startlng po1nt. Wh115t rnQ5t of u5 agree wlth thls statement, In Pfattlce rnany 5YSterns place barrlers and boundar5e5 on this leirnlng. People with disabilitles frequently spend ffluch ol thelr tlme bang assessed for what they'¢innot do. rather than what potentljl they have. Conductors are hlahly trained to observe this Potentiol in o person and to nurture thelr development and de¥lse structured prograrnmes to enable success. Conductlve Educatlon romblnes educatlon+ psycholow ind medl¢al sclenc• and Conslders all a5pett5 of the person slmulLaneDU5ty. Vlslon, Mb551on and V•luis Our Vlslon Is of a socle¢y where chlldren and adults wlth n•urolo8ical motor dlsorder5 are respected a5 h•¥lng the potefitlal to ream •nd •re Supported In 8chlevlni th15. At the start of each year we always return toour roots and e¥aluatewhat we have3thSeved, what we have learned and how we can move fOard to help our ChIldr and adults In the best way posslble. There 15 no better startin8 place than ourmlsslon as itfocusesourthinklngand ensures that we can develgp in atcordBnce with thevaluesof ourchathv. Ourrnlsslon can be surnmirlsed 8$ follows. To push the boundarles of hurnan potentl•l for chlldren and adults wlth neurolo8kal movement dlsorder5 by teachin8 thern, throu8h Conductive Educatlon, a range ol ski115 whl£h promote an active lifestyle and new opportvftltles in 50clety. To dellvertrnlnlno act1¥Ie5 whkh challen8e perceptlon5 on the ab11e$ of chlldren •nd adults wlth neurological movement dlsorders and to ensure stan&rd5 of excdlence In Conduttfve EdLLcatlon. alues Our values con be sumrn•rf5ed •$ folknvs. Chlldren and adults th neurdogical moror dlsorder5 havethe ri8hi to hlBhly specialised tea¢hl relewant to the5r indivldual need5 and ¥alue5. Conductlve Éduc8tlon should be made more readity ovailable artd accesslble as a tholcefoT edueatk)n nd/or rehabilitation. Farnllies L)f Ehildon and )dults wlth motor dlsorders 5htsuld be ¥lewed as experts and plty a role in devtltsping services to meet their needs. PaEe I
ThE FOlhNDATION FOR CONDucnvE EDUCATION (REGISTERÉD NUMBER: 20837541 REPORTOF THE TRUSTEES HJR THE YEAR ENDED JI JULY 2024 OPIEcfivES AIID AcnvmES SI1¢•1 ittltIeS S*nlflcant actVItieS undertaken by NICE durlng the year ended 31 July 2024 to help children Ind adults who have primary neurological movement dlsorder Include the followin8. The Mllestone Club Forchlldren èied beiween O and 3 years of age workln6 ilongslde p&rentslguardlans. The Red Èoots Nursery For chlldren a8ed betw••n 3 and S years of a8e. The Red Bo¢XS School Forchlldren aled between 5 and 11 ye4r5 of agefallourfn£ a prifflary school curriculum. Intenslve movement Iralnln8 For chlldren ?8ed betwt8fi 7 and 14ye•rs of a88 TecEIN4ni 2 or J weèk block pl•¢ernents. Ma6n5tre8m school sesslons For chIren wlth development•l c)-ordlnatlon d150fders. Adult Conductl¥• rthabllitatlon and trejtment Rf8ulaf sessions ftsr adults living wlth the effect5 of Pafklnson's. stroke5. multiple sclerosi5, cerebral p)lsy and other neuroloslcal movement dl$orders. rdln We review our re5ponslbllTties a5 lard out In the Ch•pity Commisslon's 8uld•n¢e tsf strJte8yfor deallng vAth safe6uardln 155ue5 char5tie5 and confi'rffl that we have cOMled wlth slltutory requlrements In respert of reportln& Inve5tlKatln8 and learnln8 from •ny safe8u•rding Incldents. In the perlod CDvered by these Nnanclal statements, the trustees were not Bware of any Inddents that were requlred to be repvrted to the Charlty Commls5k)ft. NICE 55 commltted tothe sale8uardlfi8olvulnerable adult5 and childreTr. S•fè8uardlngalerts and Incldents ère reported to tru5tee5 as part of our 3overnance oversight and structure. We have pollcles and procedures lor the 53fegu3rd5 and protÈctloTh of pèople who use our séNlw and provlde regular staff tralnlng. p1< b•néfft We review our alrns, objectlve5 aThd actlvitle5 each year. Thls reylew looks @t what we 8chleved and the outcomes of our work In the previous 12 months. The re¥lew looks Jt the succe55 of each key actlvlty and the benefits they have brou8ht to those 8roups of people we are Set up to help. The re¥1 also helps us to ensure that our aims, ¢bjettlves nd •ctlvltles remaln focused on our stated purposes. We have referred to the 8uidance contalnéd In the Ch•rfty Cornrni55i0n's seneral 8uldance on public benefit when feviewlng our airns and oblectlves and In plannini ourfuture èctlvStles. In partkular,thetrulleÈ5tonsJder how planned Ktivilies will Egntribute to the aims and objectives they have set. Thefocus ol ur work Thefocus of NICE continue5 to bé the devektprrtent. advancernent and teachini of the sclenceof Condyttl¥e Educatlon. l of ourwork 15 aihieved throu8h the practice of Condurtive Educatlon. Page 2
THE FOUNDATION FOR CONDucfivE EDUCATION IREGi¥fERED NUMBER: 2083754} REPOftT OF THÉ TRUSTÉES FOR THE YEAA ENDED JIJULY 2024 OWEcfivES AKI ACTIVITIES Publlrbenellt Conductfve Educatlon focu5e5 on chIldr and adult5 who have a prirnary neuroludical rnovement dlsorder. In chlldren thls Is typicallycerebral palsy, ¢bbal development delayor developrnentsl cOrdInatIOn dl$orders. Itdoes, however. not predude children with Ienetlc or rart cofidiilon5 whlch present a prlmary movement problern. In •dutthood thts wlll also Include acqulred cgndlt5ons such a5 Parkin50n's. strokes, rnultiple sclemsis or braln Inlury. Alon85idèthe person wlth tht dSsabllty we belleve that familles also need suppcyt throughoutthdrlourn•y. WSth th15 in rnind, we prrde a ran8e of oddmonal W0shOpS, support 5e551on% ind tralnlng for parents. carersi iuardlans and whjer family members. STRATEGIC REPOAT Athlovement •nd p•rf4rniance Chorttuble octlvltles In 5ettln8 our oblectl¥e5 and p14nnln8 our aCtitIeS the trustees have 8lven ¢•reful considEration to the Chadtv Ccffjrnluion'$ 8ener•l luldanceon publlc beneflL includln¥ the 8uidarce on publ(¢ benefft Ind fee charg1. All of our thadtable actlvltles focus on our ablllty to develop, advance and leach the 5clence of Conductlve Educiors ènd to ensure that we dellver benefft to rhe publlc not only to the chlldren and adult5that we help throuih Condurtlve Educat5on but olso to thelr famllles and carers who 5UPPOrt them. Ov•r4kw ofth¢ y•r Thls year has been very successful and we art pleased to say that we have had 8 slgnKlcint turnèround since our prevlous yvarfs accounts. As we reported135t ye•r, we h&d plans In place to turn around the deflck we faced and we hove been able to do so throwhout thls year. We were swce55ful In raislry a record •motJnt of fundlng. Th15 Inwrne £Jrn• throu8h a var5ety of sources such as Individua15, events. companlw and trust fund5. We are so very 8rateful to all those who hawe supporteil us throu8hout theyeir. We hove been 4bl• to ovef£ome the def5cit of the previous year8nd make a reol lrnwct vAth the funds ralsed. We would Ilke to thank each Jnd every person who has us thelr ¥rne and or5UPPOrted us financlally throu8hout theyear. We would also Ilketo thankthestaff fvrtheircommitment and hard we¢kto en5UTe wewere able totum thlng5 aTouné and contlnye to move forward into the coming year. O¥er the year we worked with 91 farnllies In our Chlldren's Servlces and •lso approxlmatdy 120 famllie5 In our Adult ServKes. We have Sèen our numbers In our Adult solCe5 Increase which Is really p051tfve 5T80 as ih15 ha5 been problem for u5 In the lasifew year5. AloTr8side ihis, we have also orked with 85 peDplethrcu8h the Condurtive Colle8e which Is a mix of students studyin8 the undercradu*e pro¥ramme In ordeT to train to become conduttofs. the masters modules we deliver with Birrnln£ham City Vniversity IBCUI ènd other professlonals we have tralned thrOh Continulng Profes5ioDal Development ICPDI opportunltles whlch we deliver In rhe UK aftd throughout tht world. These figures show the breadth of our impart, n(5t just here at 141CE but in the field ofcondKtive Educatbn In the VK and acr055 the worfd. Page 3
THE FOUNOATION FORCONDucnvE eDUCATION IREGISTEftEO NUMBEA: 208J7541 REPORT OF THE TRUSTEE5 FOR THE YEAR ENDEO 31 JULY 2024 SThATEGIC REPORT Achlevement and perfomiance o Preschool In our Prth0O1 servlce5 we have supported 66 families in our Milestone and Nursery group5 and a further 4 famllle5 n Ouf follow-up groups. All children have attended rul)r sessh?ns and hove been able to work on the vltal early $kills nepded to give them the very bes¢ start In Ilfe. Durin8 the Year we havè begun to offer J new seNlce In presihool where parents haw been able to pay for extra 5es5ion$ 4lon8slde thelr free one5 if they would like more input for thelr child. This h8$ WDrked very well for those famllles ond the child. SorDe chlldren have •lso attended for Inten51ve week blocks where thty haye attended every day lor a week. This has gre•t beneflt for the chlld as they can build on each se55ion very qulckly. Both of these new initiotives have helped u5 bulld on fee income and Increase su5tainab511ty lor our services 35 well as ensure we can further support children and thelr famllies. Ouring the year 3 chlldren graduated from our Nursery iroup. As alwaysi It was o wondèrful morn5n8 cdvbrat5n8 the chle¥erntTrts olthe children. o School Oijr school has Worked wlth 19 children over the year, both full-tlrne and part-tirne. Our children have thrlved throughout the year as Conductlve Educotion has ensured thdr curriculum has been merged with movement, cornmunlcatlon and soclal need5 and has helped them éevelop in All aspect5 01 th•r work. This holistlc approach ensures the chlKlren are able to make prcgress towards thelr tarB8t •nd alms throughout the year. As well as worklTr¥ hard th*ir conductive pro8r•mme5 and acadernlc lessons, the children hove also been able take part in 59me extracurricular artivltles such as a trlp to the fun fair at Cannon Hlll Park, a blkeathon ond receive from some flre N8hters and their en8lfiel Page 4
ThE FOUNDATION FOA CONDUCTIVE EDUCATION (REGISTERED NVMBER.. 1083754} PEPORT OFTNE TRUSTEES FOR THE YEAR ENDED 31 JULY 2024 5TRATEGK REPORT Achlevemeftt3fid perfornian¢• o Sessional Se[e ThE 5e5sional servi for children which b4an in Jènuary 2023 has continued to be delivered throu8hout the year. Th servlcE 1$ forth05e chlldren who are not able to acce55 our school but who can still benefit from Condictive Education. Sessions are for an hour and a half and chlldren are curreThtly attèndln8 either weekly or fijrtnightly. ther the year we have been workin8 With 7 thlldren and they are all worklng really hard and gainSng new 5kn115 which they can use In thelr school settin85. tt 15 a150 an Important 5wvlce lor those children who wlll leave ow school 8row Is they 8et older as It rnean5 they can still acce55 condte Educations. What our parents have said about NIthIS year. tsls Inlole servke thotls dolng ortdersfvchlthn •ndfvmllles Ilke my cwrn NICEDlfv¥ exJ¢rfy 4vhat rs sorely neededfvr £hlldren Ilkè my doughter.. frlendly und supportlve highly spe¢lolisr inrervtfttlon ro bulld herstrenoth odvunce her gross motorskllls, firte motorsllls und motDrplonnlng. She ho5 beneflted enormouslyfvm oll of herNICEsession5 ond we couldnotbe more grotefvl to NICE ond oll the lovefy people ho.work the ond ro.those whosponsor thls Involuobie work.. my$oh.,.tts.leurri As thls has been a challen8lni JrEa for us sn the lastfew years post pandem5c. we arv pleased to thatthe number5 of people now accessln8 our Adult Servi¢e5 has inrrE8sed $18niflcantly over the year and we now hove 4 walilng Ilst for consuttatbns. We are dolni our best to ensure that wèltyng times are kept a5 5hDrt as posslble. Thi5 has meant that we have seen an Increa5? In our lee Income for the seNlie whlch Is very poslllve nqw5. We are stlll contlnuln8 to promote th• workwe do in Adult knlces to relevant Bmups and profe5s1onals $0 wecan buShJ on the increaje we have seen ovér the year. Our new'rnenu. ol Adult Serv5ce5 whl¢h wo5 Introdu¢ed to our partlclpants In September 2023 has been recelved very well aThd 5esslons conceming speech and balance have been well attended. These extr4 ser¥ices have rneJNt wecan bulld on what happens the core sessbns Pr{ded and ensure we are supporting our particlpants In the best way posslble. TheAdultServlce5 dEpartment has contlnuedtowork wlth over 120aduhsdurln8they*ar, ensurin8thateath particlp4nt ha5 sesslonstallored to meet ihelr needs and to Instll a confldence of feelin8 of control over theirtondltion. Page S
THE FOUNDATION FOR CONDucfivE EDUCAMON IREGISTERED NUMBER.. 20837541 REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 JULY 2014 STRATEGIC REPOAT Athl¢¥ernent and performance What our adult partlclpants hav sald about NICE thls year.. "In myexperlence. the G6prvvld8dbyNICElsan &Ycellentservlc8 dglfveredbygxperfs In th8lrThdd. All st8ff am lc¢m1 irtendlygntt carlng. The supportts tsntsS and Itls ob0$ thatall of th8 Staftare so dedk8ted. CE Is verylmportanrto rne anrlan integralpan of myw8eklymu¢ine." otÈondFFcre'kco.IIoN4- ,'lielp'lmeii*itii.è'ail" nductlve Colle The couctIve College offers a wide portfolio of courses and tralnlng IOT those working within the fi'eld ol Conductlve Edutatlon and Special Edvcatlonal Needs ISENI. Over the course of the year we have dellvered the followln8 courses. AIM Qualifications As5e5sment Group Iforrnerly OCN West Midlands) Level 3 and Level 4 cortductoi asslstznt courses. BA Honouf5 degree in Conductlve Educatlon wlth Quallfled Conductorsratus Iln conjunctlon wlth Birmln8ham Clty Unlversityl. MA degree in Conductive Education and MA degree In Speclal Educatlon lin conjunctron with Birmingham Cltv Univèrsityl. Mulrl-d15ciplinary Conductor coune for professionals who have already qualified in the profe551on but work wlthin the Conduttive Educatlorn Ileld. Continulng Professlonal Development ICPOI sesslons for conductors working throughout the UK. The Conductive College has worked with over 80 studernts and other profe55iornals over the course ol the year. Thls Is a hu8e achievement for a 5rnall team and means we can continue to spread the philosophy of Conductive Edycation to others working with people who live with rnovemEnt disorder5. This further enhance5 the work we do here at NICE and means more families are supported both irb the UK and throughout the wider world. In July 2024 we held our annual awards ceremony and this year 3 Students graduated a5 qualified conductor5. The Deputy Lord Mayor of Birmingham attended the event and it wa5 a wonderful cElebration for the new graduates and Page 6
THE FOLINDATION FOR CoNDu1VE EDUCATION IREGisfERED NUMBER: 20837541 REPORT OF THE TRUSTEES FOR THE YEAR ENDED JI IULY 1024 STRATEGIC REPORT A¢hlevtment and orform•n¢e We have had a record year and raised In excess of £6,0]0 In voluntary Income over the year. We have also been 5CeSsful in securing 8rnnt lficome In excess of E81,QOO during the year from the National Lottery the UK Shared Prosperlty Fund and frorn the Morrlson5 Foundatlon In grderto help us dellverour services. We have had huge support from trrtjth re8ular and new supwrter$. Wlthout the Inv3luable5LlPPOrt frDm charitable tru5t$, torporate orianisations. comrnunlty 8roups and Indivlduals our services would nor have been 50 5utte5sful and we would not have been able to help so rnany famllles. We a very fortunate to have many loni-term 5UPPOrter5 and trustorganislons who coniinueto 5UPWt us. We would Ilketo thank the followln8 or8ank4atlons for maklTh6 such 8enerou5 donatlons of over £IO,IXKI to us overthe course of the year, The Matlonol Lottery Communtty Fund. The Mational Lottery Award forAII. The Blokernore Foundatlon. C L Medilaw. The Eveson Charltsble Trujt. The Foyle Foundaiion. The KeTrth Coombs Trust. Blmiln8ham Clty Councll-Sh4red Prosper5ty Fund, We are also Irateful for the 511PPOrt we have rttelved from all corporate organlsatSons who 5UPPOrt us financ1411y as well 85 on a pro borto basls Includlnl Thomas Dudley Llmlted and S & U plc. We should like to ilve a spec5al thank you to C L MEdllaw who have 5pon50red part of our Milestones servke over the year and also to Shoosrnlth5 LLP who offer 6reat support to our families as thty 80 ihrouih the Education, Health and Care Plan IEHCPI process. Thls year we rocdved the first Instalment of our lund5ni du¢ from The Natlonol Lottery Communky Funé. Th15 lundlrtg of £42,163 has helped fund our Milestone seNke5 where famllles wrth chlldren aged 0-4 year5 01 lie tan acce55 our 5ervice5 Irte of charge. Fundralsln8 hl8hll8hts of the year Include the fdlowin8. The NICE B•ll We welcomed over 200 guests to the NICE Ball In March 2024, attractin& both 1ndSdual$ and businesses from the MldlaThds community. includln8 our champagne receptlon Sponsor, Mercia Design and Bulld knmtted, a new supporter of NICE, who comrnented as follow5. "We os o compony were so dellqhred uftdproud to sponsor the chumpoqne rereptlonfvr the Boll. The nlohr SewO$ so inspirinq und interoctfve gnd, it'ssofr to soy. myself ond the teorn htjdofvrtortlt tlrne. The NICEchgrfy 15 n¢M held close to us Gndwe Iotskfvrrnf to contlnuing tosupport In oll the ways we conl- Guests were hosted by the attress, E112abeth Derrnot W•lsh, and •ntertalned by Adrian Biddell, principal auctioneer at Soiheb¢5 Lond, who conducted both live and pledge aurtSon5, and which rèised 3 combined total of £40.550. Total net furlds from thenliht came to an amazSn8 £58,lJ]O. Poge 7
THE FOUNDATION FOA CONDvrfivE EDUCATION IREG15fERED14UM8ER: 20837541 REPORT OF THE TRUSTEÉ5 FOR THE YEAA ENDED 31 JULY 2024 sfAAIEGIC REPIXT Athle¥emÈnt and perform1 Meartfelt thanks go to all of those who tontrlbuted to the amazln4 succ¢55 of the evenin8 inclLtding the NICE B411 ¥olunteer commltteeand trustees and who helped to meet and ireet guests during the thampa8ne receptiM. Special thanks must go to the NICE trustee. Lisa 0ry•n, lor her srar role. L15a will be #eppln8 down a5 4 committee rnember artrd we thank her forher incredible 5UPPOrt and utm05t dedicatlon over the years in makln8 thls event a hu8e success nd we look forw8id to bullding on what Lisa has helped put Into place. Huae thank5 rnU5t ilso p to NICE'S guest speaker and new patron, Eya Abley who rete5¥ed a st¥ndlthi ovation In ponse to the follovAn8 spetth. "My i% Ewj ondl pupllot Red 800ts Conduttswe Educotlon thlrteen yeors ogo. l ottendedfvm the oye OA3 tllll wos& HowtlnTellle& I w054trorn wlth u ¢ohdltlon colledcerebrulpo15y. WporentStoldme thotmyeorlydloqnosls W05 thotl Lvouldn'tbe oble towolk, I wouldflnd ithord ro comrnunlcate lifrwoulé beostruqgle. Ithlnk fve proved thotdlok7nos15 wrong ond I con honerttysoy IVS becLIUSeof thtsrorti hgdot Red 800ts. Myflr5t5esslon with w05 umo#ing. I stlll refftrnber thot Vol In rrry hrud when I'nj stfuqgllnq with sgmethlng, Come w E¥u.' It gowe me thefvundotion of nevtrgivino up ondyou con achie unyrhlng. Somethlryo that willstoy wlth rnelorllfv." The Ball Is schedule to take place on trd]y 20 September 2025. The NICE Golf Day The NICE Golf Day In June 2024 was a hu8e success and ra15ed over £17,0Th) wlih 17 teams t4kin8 Part. Many thanks 80 ro S & U plc Forthe contlnulng sponsor5hlp of thi5 event. Vgrfous corporate sUprterS entered teoms and, de5plte the very hot weather, 4 8r•at day was had by all. scot ladles, Day In June 2024, in memory of Bernie who atienéed our Adult SeThke5, h8r frlends chose to ra15tfunds for NICE at thelr Ascot Ladles, Oay at Moxhull Hall. Thls rernarkable event not only brou8ht people together to cdebrate Bernle. who lost her battle wlth M5 and leukaemla, but a150 rSed over £12.C¥YJ for NICE. ortalth the Way to Done8al Bike Ride From 30 May 2024 to l June 2024 thv intredlble -Orfalth the Way" tearn lrnade up of 56 cydists and 12 support membersl cycled 263 mile5 from Corkto Donegal to ralse money f¢1 NICE and anothereharity. Qrlaith attEnd5 NICE'S Red Boot5 5th00¢ ané th event was or8anLsed by Ortalth'5 family* rai$ln8 in excess of £38.ccKilor NIC£. Page B
ThE POUNDATION FOR C&YDUCTIVE EIXICATION IHEGISTEAEO NUMBER: 2083754} REPORT OFTht TRUSTEE5 FOR THE YEAR ENDED 31 JULY 2024 srRAIEGIC REPORT Athlev•mtrt•nd p•rfornwn¢e Spon50rshlp •nd"In aid of events Over the year we held various events where those takini part collected donatlons for NKE. Ewts included the NICE IOK Rac¢ runners pfjrticipatlng Irb the Great Birmingham flun and a newen( an Ab5ell ev•At,to namebut a few. Our Abseil event wa5 a huge5ucce55 and ralsed in excess of £17,cKKII We should Ilke to say tk you to everyone who took part In th¢se events and took on PU5Dn&l challenge5 to ralse funé5 for NICE. The launch of our Dew Club Thls year we launched a new cornpany 8l¥lDA stheme talled the aub In whlch we are 15k1 companle5 to rnake regular rnonthty ilft of f 100 to NICE. By 2Q25 we are aimin8 to have ID) comp•nles signed up io the loo aub whlch wlll mean a total of E120.OW in annud charitible income for E. This wlll proylde a 501bd foundatlon for our many fu#dr¥i$5n8 Ktmtles ye•ron yeir. LOO To date we now ha 3 companle5 518ned up to the 100 Club whlth ha5 an Incomeof£3,&XI per annum. Wegive he•rtfeStthank5 for th• onsDln8 supp)rt provlded by these mernbÈrs of the IQQ Chjb. hroulhout the yeor the brllllont fvndrotslnq ortlvltl•s help NICE entymousfy t7$ tr c(wpony, we know how lrnportant coshfvw Is. Thrpugh supportlno the Itxl Club NICE benefts from the reossuronce olo known irtome every month. Everyone glving J Ilttle every month crt(rtes o blg dlfferenct." N E J Stevenson Our slncerest thanks to all of the staff, families and those who have supported us throughout the yea .- Page 9
THE FOUNDATION FOR CONDUCTIVE EDUCATIOP4 IREGISTEREO NUMBER: 10837541 REPORTOFTNE TAUSTEE5 FOR THE YÉAR ENDÈD 31 JULY 2014 MATEGIC REPORT FinAnclal fvlew •Adolp051Won Durfng the finandal yar ended 31 July 2024 we achieved a surplus of £137,130 compared to a dfi¢it of £IILI83 for the year ended 31 July 2023. Excluthn8 deprttlatSon thSs represents a surplu5 of £144,389 forthe year ended 31July 2024. The deficrf£ incurred by NICE fortheyearended 31July2023 dld not refieitthe attivltytsklng placeat NICE and a number of new Initiatives were wt in place durlng the year ended 31 Juty 2024 to mltlgate the deftcht as well 35 secure Income forthe future. This has been bom out In th• results presentedforthe year ended 31 July 2024. Incomefor the yeareniled 31 July2024 Increased toU,IB5,349 cornpored to £889,387forthe year ended 31 July2023 large dueto èn Increase In donation5 and It8•cles income 85 well 15 fundrn151n8 Income. Voluntarylncometotallln8 £602,922 Iconslrtlng ol donatlons, ¢5¢5 andfundralslni actlvttle5I5howed an Increaseof 54Y•compared to the year ended 31 July 2023. Cost5 werewell controlled durln8 the vear at £I,O48.218ttt • 4.7% Increa5ecompired totheyearended 31 luly2023. As èt 31 july 2024 ourtotal r50Ne5 now stand at £1,019,397 cornp•red to £882.627 as at 31 J¢Jty 2023. Ahhou8h have current IF•1tIesOf £301,852 45 at 31July2024, thi5 IrKludes deferred Incomeot£117,653 whSch wlll be avollable durln8 the year ended 31 July 2025. We also h•veflxed ind vartèbleterm k)ans outst3ndln8tot3lllnK£151,387 as at 3ljuly2o24wh Uoyd5 8anklniGroup. All due repayments toncernln8 these loins have been made durln8 the yeAr ended 31 July 2024 and total outstandlng hmns with Lloyds Banking Group reduced by £46,548 a5 at 31 lu 2024 compared to 4$ It 31 July 2023. Lloyds Bankln8 Group contlnueto 8lve on8oln6 5UPPOrt wh an overdraft faciiityo1£300,CW and there is no reason for thls SUPPDrt not to contlnue. Remrvei poff Reserves will bè spent at the tru5tees' d15cretlon In furtherance of NICE'S oblects. NICE'5 pollcy on re5•Nes Includes detalled PredUleS and cover5 the followlni. O The reasons why NICE need5 re5ervw. o The level of reser¥es whlch the tfU5tees belleve NICE needs. o The steps whlch NICE take5 to establishlmaiTrtaln its reseNe5 at the a8reed level. o The procedure5 to monltor and revlew the pollcv. Urbrestrfcted funds are requlred by NICE fof the followlng reason5. o To tover •dmlnitration, fundralslng and marketing and SUPPDrt Costs without whlch NICE could not funttlon. o To prOdefndS which can be designated tg specific projects to enablethese to bt underraken aishort notlce. The trustees belleve that to ensure that NICE can run effeclvely in ihe event of unforeseen Cirtvrnstances that free re5erve5 should be at a level of three rnthS costs. Page IQ
THE FOUNDATION FOR CONDucnvE EDUCATION IREGISTERED NUMBER: 20837YI REPORT OF TAUSTEES FOA THE YEAR ENDED JI JULY 2024 STRATEGIC REPORT FlnancS•l F•vlew Re5eNespoUcylrontlnuedl We have an overdraft fKility of E300,Othlt enables U5toluMI LwrfTnanclal cornrnitrnents. A5 at 31 2Q24, taknn6 Into consideration the ovefdraft f•¢illty, NICE had flee reserves of £147.000 wh5ch 15 consldered suffklent under the exlstln8 ServeS poIi£v. Our unrestred reser¥e5 Include sl8nifkant Illlquld a55ets lft the form of our lind •nd buildlngs, Given our hi8h dependency upon local authority lees and 8rant Income we are connallY workin8 to Increose our reserves throu8h voluntary Income sources and by developln8leeyyln8 5ervice5. The level of reserve5 wlll be MOnOred Ind revlewed bythetrustees annuallv. Golni wncern The Trn5tee5 con51der th NICE wlll be able to malnt•ln ks current Kuvltles fof th• loreseeoble future bnd ihèt tt Is approprlate for the flnanclal 5tatempnts to b8 prepared on the lloinÈ concern basis. The bank h85 conllfmed thelr on8olni 5UPP)rt of NICE 10 the tnd of No¥ember 2024 and have Indlcated that there15 no feason fcr this supwrt not to continue on the Same tsa51s beyond rhat polnt. Prln•l r15kn and uncert•lnll•s The 8oard of Trustèes has reswnslbllity for ensurin8 that there 4re Effective risk manaiement and systems of Internal control In pla£e to mani8e the charity's major r15ks and to SUPPQrt ihe achlevement of our5trateRIc Dblettlves. The prlnclpal rfsks to the charfty and how these ir4 rn4n•8•d are s•tout below. R15k concernln8 flnanclal performance and su5talnablllty Includej any 518nfflurtt feductlon In fundra151n6 dut to tconomlc conditlon5. Th15 risks undermlnln6 Dur abllFty to meet the neèds ol our us•rs and to meet our stratelk aims. Rlsk CCernIng financial perfomiance and sU5tainability l* managed by the holdln8 of reserves and a regular reW of charfty resEThes. 5enlor m•na8emeTrt and the 8o•rd otTrustees a150 regularly revlew and scrutinlse the ¢hirlty'S short and MedIum-te flnanclal positton. ra R15k concernin8 the safegu8rdlng ofvulnerable and youn8pEtrple Includes ntgll8ence In relatlon tosafegu•rdln8 pollcie5 or when practice results in of contrlbutes to serlgus harm or lThluryto a young person or vulnerable adult and dimè8es NICE'S reputatlon. Risk concernlng the 5afeguardn8 of vulnerable andyouni people15 managed by safeguardiTrstralnlngforall Employees workin8 directly with vulnerable and young people. Rlsk conternlng Information securlty intludes serfous data protectlon or securtty fallure which rnty result In le8al and contraaual Issue5, reputational damage and potentlal fines •nd Ioss of in¢tsme. Riskconcernins Informotion securlty is managed by havin8 a strurture in plaee for Data ProttctionArt IDPAI monor[8 and compliance and by the Toutine testini of IT systems to Identty any securlty weakne55e5. Page 11
TIIE FOUNDATION KIR CONDucfivE EDUCATION IREGISIEAED NUMBER: 20837541 REPORTOF ThE TWSfÉE5 FOR ThE YEAR ENDEO 31 IULY 2024 STrATEGIC REP[-FUTURE PLANS ICE Hub Movln8 forword iffito the comln8 year we have excitin8 developments in place a5 we embark on a cawtal appeal to renovate oneof ourolder buildin85 on our slte. This buildinE ha$ not been used in recent years ané we F4an toturn this bulldln8 intothe NICE Hubwhlch will notonly be used to expond ourseThiGeoffering butwlll also offer a placeof support forourfarnilie5. Currentlyi we are $hort ol spate forfarnilie5 t05pendiime toither and 5UPPOrt one another. When you have a movernent dlsorder diasnosi5. Indfviduals and familie5 can fttl lost. left behlnd and wlth nowhere to turn. Havin8 a space. beyond your horne environment, where VLKJ feel safe. 5UPPOrted and115tenedtO 15 important and vjlll ald lTrdependente, encourage partlclpatlon in community Ictkthes and en5uretheirvolces are heard and valued. Our new NICE Mub wtll be • hu8e benefitto ourfamllles and ensure wecan further meEtthB needs of th05t wesupm. MERCIA. We are thdlled to have Ilwdy jecured £9,000 from the Morrfson5 Found•iion Oesiori & 2uild I td to cOmmee thls Capal projett and we are dellghted to have appointed Mercla DesI8n & 8ulld Ltd to dtliver thls prolert for u5 who wlll do so at cost. Mercl Des18n & Bulld Ltd are also requestln8 thelr suppller5 to$uppt materia15 at <0St. HeJrtfeltth4nks mus1)1sogo to St P•ul's Assoclote5, a lon8-tem supporter. who provldqd the deSnsIOrthe NICE Hub on g pro bono bas&. Throughout the comln8 year we will continué to work to maxlmlse recruStment Kr055 all of ser¥lce5 $0 th•t we can Jupport as manylamllles 85 we can. Our current 5trJteBlc prlorbtl•s coThtlnueto be th•foll¢)wlng. TD Increase the awarene55 01 NICE lft Ofder to rnaxim15e recrultrnont to soThlces and maxlmlse Income opportunities. To en5urethat i full rinie of s•rvlc• pro¥Fslon remalns sustalThablt. TD ensure that there15 a ronie of 5ervlce5 on offr that meet the needs of ourfamllles Ind supporters. To ensure that we havethe staffln¢ expertlse at MICEto meet the5t needs. To irKrèase the extemal profile of NICE wlthin ihtfi•ld ol QduCtIVe Educatlon. To ensure Ouf fundra151ni is Jbleto maxlrn15e IrKome from all are•3 of fvndra151ni. Over the comlng year we will work to develop these prlorliles to take into Jiiount our plan5 for the upcomin8 three vears 50that wecan ensurethat we are always Strlv5ng to build on the work wedo a5 well as builthng relionshlps with xisting and n•w supporters. We Ify)k forward to continuin8 to help and support rnore farnllies In thecomlng year. Page 12
ThE FOUNDATION FOR COryDucnvE EtXlCATION IREGisfERED NUMBER: 20837541 REPORT OF TNETRUSTEES FOR THE YEAR ENDED JI JULY 2024 STRUCWURE. GOVERP4ANCE AND MAf•AGEMENT rJo¥ernlDi document The Found4tlon for Conduttlye Education INICEI 15 a Lornpany limlted by Buarantee Icornpany registration nurnber 20837541 whith was Incorporated on 12 December 19B6 and achieved charitable status on 10 February 1987 Icharlty reglstratlon number 2958731. NICE was established under a Memorandum of As£1tIon whlch esiabllshed the objoc15 ond power5 of NICE and 15 governed under It5 Artl¢les oFAssoclation. In the event of NICE belng wound up members are requlred to corstribute an arnount not exceedlni £1. Aeuultment and appoltstmèrt ol Aew twstees We draw upon a wide ran¥e of 5ki11s MIM for our Trustee Boaré ranglng Irom speclallst skllls Isuth as educatlon, local iovemmentl. professlonal ski115 (such 15 law and accountarncyl and broad cornrnerclal skllls. All ofourtntsiees ha¥ecurrentor past exp•rfenceof belw • truste¢ é5rettor or partner elthera £hJrlty, cgmmer£ial, statutory or professSonal or8an5satlon, Furthermore, all of our tntstee5 Klvethelrtlme voluntaflty and recelve no beneffts frorn MICE. Any expeThse5 recllimtd from NICE by trust•es are Set out In the note5 to financl115tsternent5. •aThlsatlon4 stru¢iui• Ultimate responsibility for IIICE resldes wlth the membershlp which •xerclses power throu8h • Board olTru5t•u. The Board of Trustees comprSses both elected members and the nomlnees ofcertaln Instiitstions wlth elert•d rnembers •lways In the malorlty. ThE Boardol Trustee5 meets roUtInefOUrt1rnes a yearand Is lolned In Itsdlscu55ions by co-optees from users •nd staff nd by ihe NICE'S dlrertorate. A Yltal functlon of the Boird of Trustees15 to revlew It every rneetln8 the progress of NICE'S dev•lopment pl?n. A 5cherne of deleiation Is In place and day to day re5pon51bility for the provision of NICE'S servlces rests th the chlef executlve. The chief execulve Is responslble for ensurfn8 that Nice dellver5 the ser¥lces specified and that kry PErforrnance Indicators are met. The chlef exÉtutlve also has responslbllity lorthed•y-t0-dayoperation81 management of MICE, Indlvldual supeNlslon ofthe staff team and ensurfn8 that thete•rn continueto devel¢)pthelr skills and worklng prartices ID line with 8ood prJttl¢e. Inductlon and tralnln¥Oln tru5tee5 New tiustees underso an orlentstion day to brfef them on le8al obligations under charrty law, the content of NICE'5 Memorandum 8nd Artlcle5 of A550Ciation, the committee and decision-making process and the recent flnanclal performancE of NICE. DurinB the Induction davthey meet key employees and other trustees. TrustÈes are encouraged io attend appropriate extemal trainlng events %therethese wlll lacilitatethe undefstandlng of Key management TrrTruneratio In the trustees. opinlon. the key management personnel of NICE responsible for the dlrettion. contiol. runnin8 on¢ operation of NICE on a day-trday ba515 tofisists of the Board of Tru5tee5 and the Chlel ExUt1¥. rnan em nn All trustees Biveof theirtime freely and no trustee rttdved remuneration dudng the year. Pa8e 13
THE FOUNDATION FOR CONOUCTIVE EDUCATION IREGISTEAED NUMBER: 10837541 REPORT OFTHE TRUSTEES FOR ThE YEAR ENDED 31 JULY 1024 $TRUUl1E, fJOVERNANCE AND MANAGEMENT Key managern•nt r•rnun•iatlun Iconilnuedl Detallsof trustee5' èxpenses èné related parytran5actlon5 are dlsclo5ed in note5 118nd 23totheflnancial statements. mèna ern nt Thè pèy of theNICE's senior Staff 15 reviewed annualtyarbd normally In¢ieased based uponthepositlcn of NICE'5flnances and thecost cf Ilvlng in 8ener41. Alsk m•n•8•men¢ The trustees have a duty to iéentlfy and review the rlsks to whkh NICE 15 exposed and to ensure approprlate controls •re in place to provlde re45onible assur8nce a8aln5t fraud and error. Durln8 the yeartheihief exe£utl¥e Identlfles the major r15k5 f¥lng NICE. These are 855e55ed In temis otthelr Ilkellhood ¢f occurrence ond potenti•l impact. Correct5ve actlons are set out to rnitilate these dsk5 and r•sponslbillty for thelr monitorin8 and irnplementatlon put In place. Thls 15 revltsved regulèrly atthE qUartertruStee$, meetln8S throu8h the chlef emecutlve's report to the trustees. A major rlsk io NICE Is flnanclal 5tabSllty 8lven our hlgh dependency on voluntary Incorne. Thls Is rnonhortd throu8h rliorou5 ta$hflow forecasting on a Week ba515, re8ul8r meetSn85 vAth our bank re1atSon5hip manager and 9U•rterly reports to the Boord of Trustees. The chlef executfve has monthty flnaThclil N¥lew meetln85 wkh the Cholr. Wlth referencetooperatlonal rlsk, we work wlth a wlde ran8e of operational pollcies le8 health and safety, safeiuardlng nd POVAI v4hich set out to kIent potentlal r55k5 and attions to rnltiiate them. Whére necessaryi we ufidertake ndlvldual r15k assessments. We also have fvll Insurance coverfDr publlc, •mployer. wodud ond profeSOnl Ilablllty. Fundr•tsl NICE'S fundralsln8 durfni the year ended 31 July 2024 wès undertaken by 5t3ff and vdunteers ind not by any prOfelon81 fvndralsers or commercl•l companles. The maN)rlty of our Income come5 from voluntiry donations from eur supporters. Throu8h ihe fundra151118 efforts ol our staff and supporter5 we ar• seneratin8 ftn•n¢lal OUrcestO enable us to pro¥ldè ¢ur servlces. We have a wlde portlollo of fundralsln8 aCtlvStSe5 to Kenérate voluntary don•tlonstoward5 the 51tyices weprovlde. Our Btsard of Trustee$ is deeply commltted to bulldln8 relationshlps and trust wlth our supp¢Jrters Is ¢(mitted to the siren8thenin8 of oversitht arbd assurance conceming ourfundralsin8 prograrnmes and In en5urfn8 compllance and best practice ITh these area5. We contlnue to be cofflmitted to addrsn8 any expressbn of di55atlsfaction on the part of our sw)k¥)rters ¥nd tD examining ways to improve the levels of our servlce to them. NICE Is registered wth the Fundroi5in8 Regulator. There have been no fallure5 totomply wlth the Fundraising Code of Prartice or requirements of the Re8ubtor. Page 14
ThE FOUNDATION F0ACONDucfii EDUCATION IREGISTEREO NLIMBER: 21>37541 REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31JiIIY 2024 REFEREN ANO ADMINISTRAllVE DETAIIS Reilsiered Companynumber 2083754 (England and Wale51 Reilter•d Ch•rltynuffiber 295873 R•i•r•d offlce C8nnon Hlll House Russell Road Moselev Blmilnoharn B13 8RD Trwtees The followln8 trustees hjve been appolnted to the Board of Tru5tee5 by electloTr In accordance wlth NICE'S Artldes of Assocllon and, except vthere ted, have seryed throuKhout the prh)d slnce l Au8U5t 2Q23. OJvld Wood Ichalrmanl Llsa 8ry8n Karen aarke-r•slined 29J•nuèry 2024 Saro Collett Arsthony Coornbs Graham Coombs Kelth Dudlev Robert Holden L•5 Lawrence K•vin Man$0- reslgned 8 September 2023 Andrew Mo$s Ellittbeth Rowl•y Guv Samr•-appolnted 26 January 2024 J•yneThchener AppDlrt•d trustee5 The followlng tru5t•es have been JppolDted to tho 8oard of Trustees ty thelr rupertlve Appolntlni Oodie5 In accordance wlth NICE'S Articles of Assocl•tlon. Posltlon vxant IBlrrnln8ham Chy COU01 Cwt•d irults ELqSneJone5 Cortney Webber-appolnted 25 January 2024 C•fflp¥ny cr•tsry Marle M¢Cann Chlef eK•CUtlve Marie Mccann 5enlgr5tatutoryAudltor PeterSm6th ACA P8gÈ 15
FOUNDATION FOR CONDUCnVE EDIICATION IRE61STERED NUMBER.. X1837541 FIEPORT QFTHE TRUSTEE5 FOR THE YÉAR ENDÉD31JULY 21124 REFERENCÉ ANQ ADMINISTRATIVE All5 ICQNTIMUEDI IndependEnt ¥ydltors J W Hinks LlP Chartered Accountants nd Statutory A111$ 19 Hlghffleld Ro•d Ed8bastoTh 8lrmingh4m BIS 3BH 8•nkv Uoyds Bank plc Harborne Brjnch 125 Hl8h street H•rborne Blrmingh&rn 817 9NP STATEMENT OFTRUSTEES RESPOMSIBIUTIES The trustees (who are alsothe dlrettors Df The Foundatlon lorcondvctlve Edwatlon for the purposes of tompany lawl are responslble for prepar5n8 the Report af the Trustees andthe Ilnanclal statements in accord4ncewlth applicable law and Unlted Kln8dom Accounting Standords Iunlted Klngdom Generally Accepted AccoUnnI Pr8Ctlcel, includlni FSn4nclal RePorn6 Standard 102"The Flnanciil Aeportin8 5taThdord applicable In the UK and Republlcollrelané.. Cornpany law requlr*s the trustee5 to prepare flnancla1 statement5 fvr oach flnancial y•ar which Se a true and falr vlew of the Stat? of affair5 of the charltable company ind of the in¢omlng resource5 and appllcatton of resour$, Includln8 the Incvme •nd e¥pendlture. of the tharItab compny for that perlod. In prepar5n8 those flrnanclal stJtement5, the trustees are requlred to selert 5ultible •ccountlng polkles and then apply them consisteDtIy', observe the rnethods and prInci¢S In the Charfty 50RP,. rnJke judgernents •nd estlmatesthat are rea50nablt and prudeni,. prepare the flnandaS staternents on the 8olng£oncern ba51s unless r( Is Inapproprlateto presumtth•t the charltable company wlll conrlnue In bu51rss. Thetru5tee5 arefe5ponslblefor koepln8 propera¢countln8record5 whkh di5closewV(h reasonoble accuracy at anyume the flnanclal poslth)n of the charitable £omp4ny and to ¢noble them to en$ that the flnancial statements cornply wlth the Companle5 Art 21. They are a150 responsSble for safe8uardlng the ossets of the charitable cornpany anil hence fortaklng reasonable steps for the prevwtlon and dettttion of fraud and other irr•gularit5è5. In 50 far as thetru5te•s Ire aware.. therE Is no relwant 4udlt Infomiatlon of whlch the charltable cornpany's audttors are unaware., and Ihetrustees hwe taken all steps that they ought to have taken to make thern5elv•s aware of any relevant audlt informatlon and to establish that the audltOf5 af•aw•fe of that inforrnati. Page 16
THÈ FOUNDATION FOR CONDucfwE EDUCATION IREGISTERED NUMBER: 20837541 REPORT OF THE TRUSTtES FOR THE YEAR EPIDED 31 JULY 2014 AUDITORS The auditors, J W Hinks LLP. wlll be proposed for rtrappolntment at the forthcomlng Annual General Meetlng. Th15 reFort has been prep•red in accordance wlth the sp•clal provi5ion5 of Part IS of the Companles Act 21X)6 relating to small ¢ompanie5. Appro¥•d by orderolthe board of trustees on 17 October 2024 and 518ned on It5 behalf bv= Fa8e 17
REPORTOF THE114DEPENDENT AUDITORS TO THE MEM8ER5 OF THE FOUNDATION FOR CONDucfivE EDUCATION IREGISTERED NUMBER.. 20137541 Opinion We have èudited the financial statements of The Foundatlon for Conduttlve Education Ithe'iharitable company'l for the year eThded 31 Juty 2014 on page5 twenty8 to forty-eight. The Ilnanclèl reporting frnmework that has been applled In theSr preparation Is applicable law and United Kin8dom AccDuntin8 Standards, nClUdIng Financial Reportin8 Standard 102 YheFinanilal ReportinB Standard applicable In The UK and Republirof Irtl8nd' IUnf(ed Kingdom fjenerallv Accepted Accounting Practice). In our oplnlon theflnanc181 statements.. gl¥e a true a[ fair vlew of the state of the charitable cornpanrf5 thalr5 os at 31 July 2024 and of Its incomln8 resources •nd •ppli¢arion of resources, includ¢ng Its Income and expenditure, for the year then ended.. have been properly preporeé in accordance wlth United Kingdom Generally Accepted Atcountlng Practice; and have been prepared In accordance wlth the requlrements of the Companles Act 2QO6. 515 lor opbnlDn Wecondurted our èudlt In accordancew5th International Standards on Audltlng IUKI IISA5 IUKII and appllc8blelaw. Our responsibilities underthose standards are further descrlbed in theAudltor5 re5ponsiblllties forthe audit of theflnanclal stBtements sectlon of our report. We are Independent ol the charitable company In accordance wtth the ethlcal requlrements that are relant to our au4it of the flnanclal 5taternent5 In the UK, Includlni the FRC'S Ethic41 Standard, and we have fulfllled our other ethlcal responslbilltle5 In accordance wlth these rÈ44Jliements. We believe thattheaudlt evldence we have obtaiThed 15 5ufficlent and appropriate to provide 4 bJ51sfer OUiOP1niL. Concfu51ons relatlfii to 4olni In audltln6 the flnanclal statements we ha concluded that the trustees, uie of the8oln8 concern basls of acc¢untln In the preparation of thé financlal statements Is approprlate. Basedon thèworkwehave performed we have not Identlfled any materlal uncertalntles relatlnitoevents orconditlon5 that, inLlivlduolly or collectlvely, mèy cast slsnlflcant doubt on the charltable company'5 ablllty to Contlnue as J goini concern for a period of at least twelve month5 from when the financlèl statement5 are alrthorlseé for Issue. Our responslbllities ané the responsibllltles of the trustees %¥lth respect io goln8 corKern are descrlbed In the relevant sectlons of thls rewrt. Oth•r SThform•tlon The other Informatlon comprises the inlormation included in the annual report, otherthan thefinanclal Statements and our Rewrt of the Independent Audltors thereon. The trustees are responslble lor the oth•r InformatSon conta5ned wlrhin the annual report. Our oplnlon on the flnanclal $totements does not covertheother informjtion and, except to the extent otherwise expllcitly Stated in our report, we do not express •nyform of assurance conclusion thefeon. Our re5pon51blllty Is ta read theother inforrnatlon and, In doin8 so, con51derwhÈthertheother Inlormatlon Is materlally Incon51stent wlth the flThanclal statement5 or our knowledie obralned in the tourse of the auJlt or otherw15e appears to be materlally mlsstated. If we Identify such materlal Incons15tencies or apparent material mlsstatements we •re required to deterrnlne whether thi5 8SYes rise to a mater5al mlsstatement In the financlal 5t8tements them5dvu. ff, based on the work we have perforrned. we concludtthat there is a fin)ncl81 misstatement of this other information we are requlred to report that fart. We have nothin8 to reporr In th15 reg•riJ. Oplnlons on oth•rmattrs preKTlb by th• Comp•ffiies Act 2006 In our opinion bjsed on the work undertaken in the cour5E of the audit.. the Information given In the trustees, report lincorporating the strateglc port and the dlrectors, reponl for the flnanclal year for which the flnanclal statements are prepared Is conslstent with the flnanclal staternents.. the strate8lc report and the dirtctors. report have been prq>ared in occordance wlth applicable Itgèl quirements. Pa8e 18
REPORT OF THE INDEPENDENT AUOITOR5 TOTHE MEMBERS OF THE FOUNDATION FOR CONDiicnvE EDUCATION IREGISTERED NUMBEII: 2083754) M3tter5 on whlth w• •re required 10 report by el¢eo In light of the knowledge and understanding ofthe Gharitable company and it5 tnvlronment obtalned in the course of the audit. we have not identified rnaterial rni551atements In the siraie8ic report and directors. rtport. We have nothin8 to report In respect of the follDwin8 matters in relatlon to whl¢h the CompaThles kt 2006 rwulres s to reportto you il, in ouropinion.. adequate accountlng records have not been kept. or returns adequate for our audit have not been recefved from branche5 not visited by us.. or the financial staternents are nor In a8reement wlth the a£caunlln8 Tewrd5 4nd retums.. or rerto1Th dlsclosures of direttorj, temuneration specified by law Jre not rnade,. or we have not received all of the inforrnation Jnd explanatlons we requlre forour audit. or the trustees were not entltl•d to prepare the financlal statements In accordance wlth the Small comparbles re8lme. ReiponJlbllStl•s ol iruMe•s As expla5ned rn0 fvlty In the Stementof Trustees Responslbilitls Set out on pa8e 55xteen, the trustees (who are 1150 the dIrtorS 01 the charitable cornpanv for the purposes of company lawl are responsible for the preparation of the financial statements and for beln8 5at15fled th4t they Se a true and fair view, and for such Internal control % the trustee5 deiErrnlne 5s neLes5ary to enable the preparatlon ol linandal statgrneots that ar• free from moterlal m155tatement. whether due to fraud or erryJr. In prep•rfn8 the fln?ThcSal statements, the trwtees are re55jon5le for a$5e551n8 the charltable compony's oblllty to contlDue as a 80Sn8 concern, dl¥losln& as applicable, matter5 relaied to 80ing concern and uslns the ioln8 con<ern Imsls ol accountlng unles5 the tru5tee5 Ilther Intend to Ilquldate ihe ¢harft8bltcompanyortoce15e operatlons, or have no realisric •lternative but to éo $0 Audltorfs yuponbIllI11$ lor th• audlt oeth• flnMd•l st•t•monts Our objective5 ère to obtain rea$onèble assurance about whether the financlal statements is a whole ore free from m&terial misstaternent, whether dueio fraud or error. and to Issue i Report of the Independent Auditors that includes our oplnlon. Reasonable assurance is g hi8h level of assurance but Is not a guafantee that in audit tonducted In accordance vAth ISA5 IUKI wlll always detect a rn3ter4al missratement when itexists. Mlsstatementscan èrlsefromfraud or error ènd are tonsidered material If, indlyldually or In the 188re8ate. theyeould reasonabty be expected to Influence the econornlc dec151ons ol users t•ken on the bas15 of theseflnanclal statements. Irregularttles, Includlngfraué, are Instsnces of non<ompllance wlth laws ond reiulatlons. W4 deslin procedures In Ilne wlth our re5ponslbllltles, Outllned ibov¢ to detert material misstatements in re5pe¢t of Irre8vlarlties, Includ5ni fraud. The extent to which our procedure5 are capableof detectin£ irrtgularitie5. includln8 fraud, Is detalled below. en9Jlrfng wlth rnana8ernent and otherstogaln an under5tandini oflhe oryanlsatlon Itsew includlng operations. financ501 pOrtIn( and known fraud or error., evaluating and understandln8 the Internal control systern., performing analytical procedures as expected or unexpected variances In gccount baljnces or classe5 of transaction5 appear,. te5tin8 diKumEntation supporting occ¢Junt bolances or classts of tran53rtlons', and conlirmin8 accounts recefvable and other accounts wlth a third partv. Because of the inherettt limitatlons of an audlt there15 a rlsk that we will rsot detert all irregulirhle5. indudln8 those leadlng to a material fflisstatement in the fiTran£ial ststements or non<ornpliance wlth r4ulation. This risk increase5 the morethat compllance with a law or regulation is removedfrorn the event5 andtransaLtlons rellerted in thefinanclal Statement5 a5 we Mll be less likely to become aware of Instances of non-compllance. The rlsk is a150 ireater reEardin8 irregularlties otturdng due to fra rather than error as fraud inwlvos Sntentlonal ¢on(Ealmen¢ forgery. collusion, ornlsslon or misrepresentatlon. Page 19
REPORT OF THE INDEPENOE14T AUDITORSTO ThE MEMBW OF ThE FOUNDAnoN FOA WNDucnvE EDUCATION IREGt5TEREO NUMBER: 2rA37541 AhJrtherde5CriPtionofourre5pon5ibllltiesforthe auéltof thefinlnaal s¢atemenis is lorated on the Flnanclal Reportlng Councll's webslte at Www,frc.org.uVouf-WorklAuditlAud-and-èS5urance1s¢8ndard$and-6uthnrelstadard$-an- guldanctrfor-audttorslAUdltors-responslb51hie5-for4udlVDescripllon-of-audltors-responsitsilÈ5-for-8ult.8sPm. Thls dexript5on form5 part of our Report of ihe Independent Auditor5. Use (rfourrnport Thi5 report15 rnade solely to the choritablecompany's rnernbers, as a bth, in accordance wlth Chapter 3 of Part 16 of the Companks Act 2006. Our audh work has beÈn undertèken 50 that we mi8ht state to th• charltable cornpany's members those matters we are required to state tothern in an auditors, report and for noother purpose. Tothefvllert eytent permltted by low. we do not accept or assume respons1tLity to anyone Dther thin rhe chorltoble company and the ch•rftèble company's members as a boov. for our audlt work,hT this port, orlorthe oplnhjns we haveformed. Pt•r Smlth ACA15enlor StutoryAudttorl forand on behalf of J W Hink5 iLP Chartered Accountants •nd Statutory Audr5 19 Hlihfldd Ro•d Ed8b4ston eirmln8ham 815 38H D•t•'. 17 October2024 page 20
THE FOUNDATIIXI FOP CONDucnvE EDUCATION STATEMENT OF FIP4ANCIAL AcfMTIES IINCiiIDING INCOME ANO EXPENDfTUAEACCOUNTI FOR ThE YEAR ENDED 31 JULY 2024 2014 Tof•l fuTrdi 2023 Totalfvnds Unvekt•d fund Aestrkted fundi N¢t INCOME AND ENDOWMENT5 FROM Donations and legacies CharltJbl• •rtMtI•s Children's 5er¥kes Adult servlces Tr•lnin8 ser¥lce5 21957 IIL662 450,719 302.605 271.775 90.730 137J45 56AIZ 24J55 329.$87 IIS285 137.545 243.539 79,191 174,587 Othertr8dini activltie5 Investment incorne 152303 io 152203 88,617 rot•l 892J20 293.029 L185J49 889,387 EXPENDmiAEON Ra151n8 funds Charlt•bl• attlvlEI•i Chlldren's servlces Adult soNlces Tralnln8 seNlces 117.577 117,977 lQ4,516 349,478 I4557 161 776 6,$41 87,190 491,941 216,788 187,325 233,047 161.770 Totil 774,418 273.731 048,219 1,000.570 N•t muv•m•ntln fund• 117.832 19.298 137.130 1111.1831 ftÉCOP4aL•ATION OF FUNDS Total fimds broutht forwa BB2,267 882,167 993,450 TOTAL FUNDS CARRIED FORWARD 1,000,099 19,298 1,019,397 882.627 CONTINUING OPERATIONS All Income and expen¢lilure h•$ arisen Irom contlnulni attivltles. The notes fom part of these financial statements P8ge 21
THE FOUNDATION FOR CONDucfivE EDLICATIOM IREGISTEIIED NUMBER.. 20B3754 BALANCESHEET AT31JVLY 2024 2014 Total h% 2023 Tot•1 fvnds FIXED ASSETS Tan8itrde as$ets 15 IN22A32 429,591 CURAENTISSETS Debtor5 Cjsh •t bank and In hand 16 134JlO 122 108.326 IM,6 108,810 EfxTORS mounts l•lllry due wthln one yejr 17 1436MGOI 1505,1321 NeYcvRREIIT ASSETSIIUABILinE$I 301,8521 1396.3221 TOTALASSEfs LESS CURRENT LWIIUTIES L120M80 1,033.269 Amouftts fallln8 due after more than oneyear 18 1101,0831 1151.0021 NEf A$5ETS Ull9, 882,267 FUtIDS Unrestrfcted funds Restrlcttd funds 22 IMIQ,099 19 B82,267 TOTAL FUNDS 1.019 397 882,267 The notes form part of these financial 5taternents Pate 22 CDDtlnued...
THE FOUNDATKVI FOR CONDucllvE EIXICAT1014 IREaSIERED IIUMBER: 20817541 BALANCE SHE.(¢MmUeD AT31JULY 2024 These financiil statements have been prepared In èccord•nce wlth the weclal provlslonj ol Part IS of the Conyanles Act 2fy)6 relating tts sm411 charltoble companles. Theflnoncial stBtements Ivefe aporoved bythe B08rd of Trustees on 17 O£tober 2024and were si8ned ¢M Its behaby. . Trwr The note5 forrn part of these financial ststernents Page 23
THE FOUNDATION FOR CONDUcfpEQUCATION CASM FLOW STATEMEMr FOR THE YEAR ENDED 31JULY 2024 2023 Note5 Cash flowsfrom ¢per•tln• •ul¥ltle% Cash generated from oper•tlons 89.931} Netush prvvlded by lyJ•d In) op•r•tsry athldes 115.713 89.9311 C•sh Ilows frarn Invèsthu artlvltlqs: 14Jrchase of t•n¥ible flxed ¥$sets Disposal of t•n£lble flxed ossets Interest recelved 124,7181 io 848 •t cmh pM¥ld•d by lumd lftl In$t1 •¢tlb4tl•s io 23.8701 Cuh from fkn•ndni•<tlvltlN: New loans in year 8ank loan repbyrnents In year Clpltal repayments In year I4611) 144,4871 Netc•th provld•d by lusqd In) Ilnlncl•cthII 44,4871 Ch•ny In rash •nd equ•fits I the reportlni perlod sh and sh •qubAlffits at th• b•8lnnSw ofthe reportIperIod 19,175 IIS8.2881 I29478) 136,2901 Jh irKI ca•h iqulv4leTrts atthe ènd ol th• rvrtI perlo 1225 394 $781 The Th)te5 form part ol thesE fSnancial staternent5 Page Z4
THE K)UPJOATION FOR CONDiicllvE EOUCATION NOTESTO THE CAS11 FiOWSTATEMEllf FOR THEYEAR ENOED31 JULY 2024 IIECOIKIUATION OF NET IP4COME TO NEfcASM ILOW FROM oPERAm1 ACTIVITIES 2023 Nrt knE0ml•xP?thtU1l1 forth• w•portln8 p•rfod las perthe siatemert lJ7,190 IIIL1831 Ad5knents for Depreclatlon chu8e5 Profit on disposal of tinglwefixed 4$5ets Interest recdved Ilncrea5elldecr*J5e in debtors Increa5elldecre•sel In credltors 7,159 4,980 {io) 125.9001 18481 13.844 3.276 N•t Cash provlded bylui•d h) op•rntlni xtl¥lU•J 115 713 189,931 ANALYSIS OF UIANGES IN NETFUNOS At 1.8.23 Cash flow At31.7.24 N•t ¢Mh C•5h In hand Notlte deposlts Ile55 than 3 m¢nthsl Cerdraft5 Included ITh bank loons Jnd overdr•fts falllni due wlthln oneyear 329 Iss 1170) 159 163 295.062 19a37 Totsl 1294,578 Page 25
THE FOUNDATION FOR CONoucfivE EIXJCATI¢XI NOTESTO THE FINMUAL STATEMEt4TS FOR THE YEAR ENDED 31JULY 2024 ACCOUNTING POLICbES BASIS OF PREPARING THE ANAMCIAL STATEMENT5 Genernl lfiforrnatlo The Foundation for Conductive Education INICEI15 o charhy IncorpDrated In England and Wale5. The addre55 of NICE'S reg15tered offlce is Cannon HS11 Housè. Ru55ell Road, Moseley, Blrmin8horn, B13 3RD. IontIn6 ¢on¥entlon The ffnanciol statements of NICE, whlch Is D publ1¢ benefft entity under FRS 102, have been prepared In accordance the Charitle5 SORP (FR5 1021 'Accountln8 and Reportlng by Charltles.. Statement of Recommerndeil Pr•rtlce appllc•ble to chArltles prepèrln8 thelr 4ccount5 in accordance wlth the Nnancbal Reportln8 Standard applkable In the Unlted Kln8dotn and Republic of Irelind IFRS 1021 leffertive l January 20191. Flnènclal Reportlng Stsndard 102 The Financlal Reporting Standard appllcable In the UK ind Republic of Ireland., the CompaThie5 Art 2006 and the CharltSe5 Act 2011. The flnanclal statements have been prepar•d usln8 the hlstorlc cost COnvtIon as modlfied to Includt tertaln flnanclal instruments at falrvalue ènd arepresented In sterlln8 whlch Is the lunttionalcurrencyof NICE, rounded to the nearest £1. The slgnlflcant atcoufirln8 policles app15ed In th• preparatlon of these Ilnanda5 statements are set out bebw. These polSclt5 have been cons15tently 4ppllEd to •ll years presenred unltss otherwise stated. COMPANY STATUS NICE Is a cornpany Ilmlted byguar•ntee. NICE had 106 mernbers Is ai 31 July 202412023.. 1261 all of whom h•¥e olven Jn undertakin8 to contrlbute up to £1 •ach if called uptsn to do so in the event of NICE bein8 wound up. GOING CONCERN The flnancial statements have been prepared on a golni toneem basls os the trustee5 believe that no mater5al uncert8intle$ exlst. The trustee5 have considered the level ol fund5 held and the expecttd level of Income and expendlture Ipr 12 months from aurhorlslni these flnanc581 st*ements. The expected Income and expenditure Is sufflcitnl wlth the level of reserves for the £hartty to be able to contlnue as a 8oln8 concern. INCOME All inrorne is reco8nised the Statement ol Flnanclal Actlvltles once NICE h)$ entitlement to the funds, it Is proboble that the Income will be rtcei¥ed andthe •mount can be melsured reliably. For donat5on5to be re(nISed NICE wlll have been notified of the arnounts and the Attlemeni date sn writlng. 11 there are condlt5ons attached to the donation and thls requires a level ol perfDrrnanct beforeentitlement cèn be obtained then income 15 deferred untll those conditlons are fully met or the luffilment of thoseconditlons Is withln the control of NICE and it is probablethatthey wlll be fulfilled. For le8acies to be recognlsed, entltlement15 the earller of NICE belng notified of èn Impendlng d15tributlon or the legacy bdng recelved. At th15 Fx)Int Sncorne Is rEcognlse¢J. on occasion le8acles will be norlFSed to NICE. However. it is not always posslble to measure the arUt expected to be dlstrlbuted. On these o£ca51ons the leg8Cy is treated as a ¢ontin8ent 8ss¢t and disc105ed. Fees charged for services provlded by NICE such as children's servlces, adult servktt and t{nIng 5ervic85 are recognised as the services are being performed. Income received In advance of the seTrice belng perfoed Is deferred. Page 26
THE FIXINDATION FOA CONDucfNE EDUCATION NOTESTO THE FINANa5rATEMENT5-(oNT1u£Tr FOR THE YEAR ENDÉD 31 JULY 2024 ACCOUNnNG POUCIES- cont5nuwd INCOME-C014TINUED Income from trading actSvltle$ 5ndude5 income eamed frorn fundra5slnK events and tT8dln8 actl¥lties to roise lunds for NICE. Incomels receSved In exchaye for supplySn8 goods and serwlces in order to ralse funds and 15 reco8n15ed when entltlernent has occurred. Other income Includes mernbership fees which are recogn15ed evenly ¢y4er the membershlp perlod and conferences and sales of merchandise whlch are aciounted for when the conference t•kes plKe or when merchandlse has been dellvered toihe purch•51r. NKE recelves local authorlty ¥rant5 and grants frorn other third partles In respect of It5 attl¥ltles. Income from local authorlty 8rant5 and 8rants from otherthlrd partles are reco8nlsed at Fair ¥aluewhen NICE hès entitlement 4ftei anyperformance conditions have been met, It is probablethatthe income will be recel¥ed andthe amount can be measured relIab. If entitlement is not met then these arnounts ore deferred. Investment Income Is eamed throu8h holdln8 assers $uch as cash on deposlt. tt Includes Interest recefvable. Interesi Income Is recognised usSngthe effect5velrterest ratemethod and Is recognlsed as NICE'5 rlght to recelve payment Is establlshed. fjIFTS IN KIND Where NICE re£elve5 iood5 or servlce5 by way ofglfts In klnd. the rnarketvalue of the81ft is iccountedforln the 5ratement of Flnanclal Acti¥ltle5 as an Incoming or ourgo5n& resourte. Where NICE recdve5 a donated fixed ass, the markn valueofthé •sset Is tre•ted as an Incomlni resource and cap5tallsed as a flxed asset In the Balance Sheet. Volunteer5, tlrne 5s noi reco8nlsed In the flnandal ststements. EXPENOITURE All expendlture Is IOunted for on an accruals bas45 ond has been clasfled under headings that a8Ere8ote all tosts related tothecate8mi. ExpendItU1$ reco8nised wherethere is a legal or construrtlveobllgation to make payments to thlrd partSe5, it 15 probable ihat the settlement WTII be required and the amount of the oblS8lon can be rnea5urtd relIab. It15 cate¢or15td underthe followln8 headings. Cost5 of ralslng fvnds. Expendlture on charftable a(tfvItIE5. Costs dlrectly attrlbutable to the actlvltles below are allocated to the artlvlty to whi¢h they relate. Where empl)yees work for More than on• artlvlty thelr salary cost h apportioned on the basls of tlme 5pert on each ctlvlty. The cost of genering funds Includes dlrect expend+ture Incurred on fundrdlslng appllcatlons and acilvlties and • proportlon of manègement overheads. Cortductlve servlces comprlse all dlrect costs whlch have been Incurred by IIICE in providin8 tondKtlve educatSon serwice5 and meetln8 its chafit•bl¢ obletts. Support costs are those that aSSlSt with the work of NICE but do not dlrertly present charitable attlvltle5 and include office costs. governance cost5 and other admlnlstratfve costs. GeMan[E CgSts represent the costs Incurred in ¢ortrtettion with the adrninistrntlon of NICE cornpllance with CDnstitutional and statory requ5rement5. Page 27
THE FWNDATION FOR CONDucnvE EDUCATION NOTES TO ThE FIPW4aAL STATEMENTS.COMrit4UED FOR THE YEAR ÉNDED 31 JULY 1024 ACCOUNnNG POLIUE5- cortlnuad TI4GIBLE FIXED ASSETS Tan8ible fixed 455ets are stated at cost orv•luatlon le&% accurnulated depretiatlon. Depredatlon 15 calculated to write off the costor¥•Iuoti of flxed assets to thelr q5tlmaied resldual value on a straliht Ilne basis at the followln8 rotes. Freehdd land •nd properryt Motorvehlcles Cofflputer equlpment Flxtures and Ilttln8S Not depreclbted 20% 25% The 8aln of loss arlslni on the dlsposal of an Set15 determined as the dlfference betweer ihè sale proceeds •nd theurrylni valu• of ihe •ss¢t and Is recogn15ed In net Incomellexpendlturel forthe ye4r. Oepreclatlon 15 not prLivlded in re5P•Ct of freehold land and property. The trv5tets conslder that thi5 policy Is The¢es$ary In order for the flnanclal Jtatement$ to glve a true and lolr vlew becou5e current valut5 •nd changes In rurrent vJlu¢s are ol prlme Import)n¢e ratherthan the calculatlon of 5VStem•tlc annual deprKlatlon. TAXAT1014 NICE Is exemprfrom corporatlon tax on Its charftable Ktl¥4tle5. CASH AND CASH EQUIVALEfrITS Cash and cash equlvalents Include cash sn hand and dep051t5 held at call wlth banks. 8ank overdrafts are shown wlthln borrowln85 In current liabllltie5. FUNDACCOUNnNG Vnre5trl(ted funds can be used lfi accordance wlth the charftableoblealves atthe d15cretlon of the trustee5. Restricted fund5 can only be used for partScular restricted purposes wlthln the object5 of NICE. RestrSctloTrs arlse when Specified by the donor or when ld$ afe ra15td for p•rtl¢ularfesrrkt¢d purposes. Furtherexplanatlon of the nature and purposeof each fund15 Included In the note5 to theflrtancl•l statements. HIRE PURCNASE AND LEASING COMMrrMENTS L*aslng charyes In re%pert of oper8ting leases are reco8nlsed over the Ilve5 of the lease è8reernents uslng the srrai8ht41ne methfxl. Benefits relee and reCeable as an InceTrtlve to 5izn aft opeiating lease arè re¢o8nlsed on a stral4ht.15ne bas15 ovvthe pEdod of th• lease. A55et5 acqulred under hlre purchase coniract5 and flnarKe lea5t5 •re¢•pltallsed as tBngible fixed )5sets. Asset5 a¢qulred byfinance It oredepreciatedovertbeshorterof the leaseterffl andthelr useful lives. Assets acqulred by hire purchase are dtpreclateé overtheir usdul Ilves. obll8ation5 under such a8reements are Included In credltor5 net of the flnance charge allocated to future periods. Page 28
ThE FOUNDATII)N FOR CONDUCllVE EOUCATION NofESTOTHE FINANCIAI 5TATEMENTS- coimNUED FOR THE YEAR ENDED 31 JULY 2024 AccouKfiNG POLICIES- ntInUed EMPLOYEE 8ENEFIT5 When employees have rendered Sete to NICE. short-term employee benefit5 to which the employees are entitled are reco8nlsed at the undiscounted alnount expe¢ted to be paid in exthanlefor th4t servlce. The CDSt of ony unused hollday entltlernent is reco8n15ed In the perlc4J In whlch the omployee's sètylces are recelved. Terrnlnation benefft5 are re£ognlsed lmrnediate as an expense when NICE Is dernon5trnb commltted to terminate the employrnent of an employee ¢r to provlde termination beneflts. INVESTMENTS Investments are rew8nlsed Inltl•lly at falr value bthlch Is norrnally the transèciion prlce excluding transaction Costs. Subsequentty, they are measurtd at fair value wlth changes recogni5ed in "net gain5lllossesl on Investrnents" in the Starernent ol Financial Actlvitles Ff the investrnents are publklytrlded Dr thelr falrvalue can otherwlse be me15ured r•llabty. PENSION COSTS AND oniER POST.RETIREMENT OENEFITS NICE rnakes contributlons into pen51011 schemes. a defined beneflt 5cherne and a deflned contributlon scheme, and the assets of both pen51on schemes are held s¢parately from those of NICE In Independentlv mln15t•r4d lund5. The defined beneflt scherne, whKh15theTeachers' PEDsion Scheme, 15 an unfunéed multl-employer5cheme and NICE Is unabl• to Identify its share of the underfyln8 a55ets and liabllltles. Accordln8ty, NICE accvunts for It5 contrfbutlons tothls scheme as If It wa5 a deflned contrlbut5on scheme. FINANCIAL INSTRUMENTS NICE haj elected to apply the provlslons of Sectlon 11 'Basic Flnafi¢l•l Instwrnents. and Sectlon 12 '0Lher Flnanclal Instruments Issues of FR5 IQ2 t¢ all of It5 flnancial statement$. Financlal Instruments are recognlsed In NICE'S balance sheet when NICE becomes party to the contrartual provislons Df the instrument. Financlal assets and Il•bllltles or• offsei, wlth the net amounts prtsented In thefin8n¢lal Statements, whèn ther• 15 • le8ally enforceable ri8ht io off the r¥o8ni5ed amount5 and there is •n Intention 10 settle on • net bas1$ orto reillse the èls and settlothe liab114¢y slmultaneousty. Balc Ilnand•l amets 8asi¢ finantial assets, whkh Include trade and other recel¥ables and cash and bink balances, are Inlt]ally rne35ured at transadion prS¢e IncludSn8 transactlon cost5 and are subsequently carrled at amort15ed cost It51n8 the effective IntErest method unlÈss the arran8ement constitutes a financin8 tr¥ns¥lk)n where thetransactknn 15 measured at the present value ol the future receipts discounted at a market rète of Interest. Other financl•l assets Otberflnanclal assets are Initlally measura at falrvalue which is normallythe transaction price. Such assets are subsequently carrled at fair value and the changes in fair value ore recogni5ed ITr the Income and expendlture attount. exceptthat investments In equlty In5trument5 thatare not publiclytrodeil8nd whosefairvèlues cèthnot be measured rellablyare rnea5ured at cort less Impalrment. P•8e 29
THE FOUNDATI(hN FORCONDucllvE EDUCATIQN NOTES TOTHE FWIANOALSTATEMENTS- CopINuED FOR ThEYEAR EPa)ED JIJULY 2024 ACCOUNTING PIXIW- conrlnued FINANaAL INSTAUMEPIT5- C014TINUED Other finandal assets- contlnued Trade debtors, loan5 and other re¢elvables that have flxed or éetermlnable payments that are not quoted in an active market are cla55i15ed ès'loins and recelvables Loans and receivables are rneèsured at arnort15ed cost U51n8 the effectlve Interest method less any impairrnent. Interesr Is re£ognised by ipplying the effertfve Interest rdt?. excpt for short.term receivables when thE recoanltlon of Interest would be Immaterlal. The effectlve Interest method 15 a method of cèlculating the mortisedcostof a debt Instrurnentand of allocatln8 the Interest Income overthe relevant persod. The effectlve Interest rate is the rate that exattly discounts estimated future cash receipts through the experted Ilfe of the debt Instrument ¢0 the net carryln8 amount on Inf(lal reco8nrtion. Imp•lim•nt ¢lfln•ncl•J wets flnancial assets, other thanthoseheld atfalrvaluethrough Income and expendlture. are aMessed for Indlutor5 of lrnpalrrnent ot ejch reportlng end date. Finantill assets ore Impalred where there Is oblectfve evldente that, J result of one vr mcre events th•t otturred èfter the Inlil•l recognltlon of the fSnanclal asset, the estlrnate(I future cash fkiws hwe been affected. If all a55et 15 Smpaired, the Impblrrnent loss i$thedlffeTrcé between the c)rry5n8 amount and thepr05ent value of the est5m8ted cash flows d15counted at the &sset's orlglnal effettive Interest rate. The lrnpaSrment loss Is recognlsed In ihe Income and expenditure account. Ifthere15a decTea5e 5nth Impalrment lossar551n8froman ev•ntocrurrlngaft•rthe Impalmient was reco8n5sed, Ihe impa5mient Is reversed. The reversal Is such that the ¢urreni Carrylng amouni does not exceed what the carrylng8mouM w0d hève been had the Impalrrnent not prevlou51y recnIS. Thelrnpalrment re¥ers81 Is recognlsed In the Incorne and empendlture account. D•r•crynltlon olfinan£l•l Flnancial assets are derecoKni5ed only when thecontrartual rlghts tothe cash flows ffomthe asset explrew are settled, or when NICE tronsfers the financlal a55et and subttanilally all of the rlsk% and rewards of ownership to nother entltY or ff some sl8nlflcant rlsk5 and reward5 of ownershlp are retaintd but control of the a$5et has trinsferred to another party that is abl• to sell the &55et In its entlrety io an unrelated thlrd partv. Jslllcatlon of ffin•nd•l fi8blllll•s Flnanrlal Ilabllltles and equlty in5trument5 are cla551fied è¢cordln8 to the substance of the contrèttual èrran8ernents entered into. An equlty Instrumentls JTry contract that •vidence5 a re5iéuol Interest In the 1ssetS of rhe Foundatlon after deductin8 all Df its Ilabllitle5. 8o51c financlal Ilbllltles Baslcflnanclal Ilabllkles, Includlnitradeand otherpayables and bankloans, are initlallyreco8n15ed ot transactlon prlce unless the arran8ement ton5titutes a flnancln8 trans*tlon Whe the debt in5trurnent 15 measured at the prent value of the future recelpt5 discounted at a market rate of interest. ebt Instruments •re subsequently carried Jt amffjsed c05t usln8 the effertlve 5nterest rate method. Trnde payables are obliKatlon5 to pay for goods arnd 5eNlces that have been acquired in the ordinary course of business from suppliers. Account5 payable are Classifled as current Ilabillties if payment 15 due wlthin one year or less. If nor. they are presented a5 ngfi£urrent Ilabllitie5. Trode pJyable5 are reco8nised Snltlally attransactlon price and 5ubsequentty measured at amortised cost using the effective Inrerest rate meth¢xl. Page 30
Tme FOUNDAT1014 FOR CONoucllvE EDVCATICV4 NOTESTOThE FINANCIAL ATEmENTS- CONIINUED FOR THE YEAR ENDED 31 JULY 2024 ACCOUNTING POLiaES- contlnued FINANCIALINSTRUMEpifs- COllTINUÉD Otherfinancl•l Ilabllltles DerNative5, IncludSng Interest rate swaps and forward forelgn Èxchan8e contratt5. are not basit financlal Instrurnents. Derfvaiw are Inhlèll¥ re(ognlsed at falr value on the date a derf¥Jtive contrart 15 entered into and are Subsequent re-mea5ured at thelrfair value. Chanees lrt tht falrvalue of derNatNe5 4re recowilsed In the Income and expenditure &ccount In finance costs orlinaThce Income as Jpproprlate unless hedge ac¢ountln8 Is applied and the hedge is a cash flow hedie, Flnanclal Il•bllhles and equ5ty Instrum•nts are classmled auordln6 to thE substance of the cgntrnCtI rranyrnents entered Into. Demcwnfjtlon ol Ilnand41 bUllt Financial Il•bllttles are dereco8Thlsed when thè Foundoti¢Jn's contrartual obll8OtODn5 explre or are d15charyed or cancelled. ¢AITICAL AttOUNnNG ESTIMATES ANDJUDGEMEIIT5 In the appllcatlon of NICE'5 accountlni thlciEs, the trustees are reqUIr to make lud8ernent5, e5tlmates and 45sumptlons about the carryln8 amount of ass•ts •nd Ilabllltles that ar• not r••dity apwrent from other other sources. The est5m8te5 and under58 a55umptlDnS •r* r&ewed on èn on8olnÈ $1$. Re¥bslon5to accountln8 e5tlrnate5 re reco8Trised sn the perlod In which the estlmate Is revlsed wherethe revlslon aff¥ts only that perlod or Sn the p•rlod of thè revi51on Ind future perlods where the fs)Dn affoEts both curfent and f[1 ptrlods. Thefollcwing 15 J key source of estlmatlon uThcertalnty. Ewenditure allot•tions'. Ixpendlture 1$ apportloned where It relates to nw)re than onecostcate80ry. Pa8e 31
THE FOUNDATION FOR CONDucfivE EDUCATION NOTES TO THE FINANCIAL 5TATEMENTS- CONTINUED FOR THE YEAR ENDED 31 JULY 2024 DONATIONS AND LEGACIES 2024 Totsl funds 2023 Total Fund5 Unre5trkted funds Rastrkted fvnds Gifts and donations Le8acies 209,057 30.1)XI 211,662 420,719 30.CKIO 302,205 400 239,057 21L662 450,719 302,605 G1ft5 and donatlons recelvable In excess of £3.000, Included In the above, are as follows. 2024 2023 The Allson Mlllman Charltable Trust The Barbara Naylor Charltable Trust The 8lakemore Foundatlon The D M F EllSs Charltable Trust The D'O¥ly Carte Charltable Trust The Edward Cadbury Charltable Trust The Edward and Dorothy Cadbury Trust The Eveson Charltable Trust The Foylè FoundatSon The G I W Turner Trust The George Perklns Charitablè Trust The Hays Travel Foundat5on The Hobson Chadty The Kelth Coombs Trust The Loppylugs and Barbara Morrlson Charitable Trust The Lord Austln Trust The Roger and Douglas Turner Charitable Trust The Saintbury Trust The Screwfix Foundation The Sheldon Trust The Soutèr Charitable Trust Thè William A Cadbury Charitable Trust The W O Street Charitable FoundatSon Property for Kid5 S Ani5i0bi T&JBryan C L Medllaw Foremgst Hotels Shlrley Golf Club 5.100 15,¢JOO 10,000 4,797 4,590 5,000 5,000 30,447 20.000 3.000 5,000 S00 4000 35,000 3000 5,000 6,089 7A60 10.510 6.225 io,oc 5,3CM) 3,000 8,000 10.000 3,796 5,0(Kl 3,000 20,OCQ 6.397 3,ofM) 40.0fy) 10.180 6A25 Balance carrled forward 231,583 173,233 Page 32
ThE FOUNDATION FOR CONDUThVE EQUCATIIJN NOTESTO THE F114ANCIALSTATEMÉrirs-CONTINUED FOR ThE YEAR ENDED 31 JULY 2024 DONAnONS AND LEfJAafS-wntlnu•d Grfts and donatlon5 recefvable In exce55 of E3,L¥JO, Included in the above, areas follry•ts. ZOZ4 2023 BJlèn£e brou4ht forw•rd 5ollhull Preparatory khool M Slrnmons Thomas fyjdley Urnlted 23L583 173,233 3,880 .000 8•lance-anonymou5 itern5 and don•tlons less then E3.COJ In value 180,716 115.C132 420.719 302.205 Page 33
THE FOUNDATI(IN FOR CONDUCTIVE EDUCATION NOTES TOThE ANANCIAI STATEME14TS- CONTIP4UEO FOR ThE YEAR E14DED alJULY 1024 oniER TRADINGAcnviTIES 2024 T•tsl fvnd5 223 Total Funds unrÈ#rirted ful5 R•str5tted ftds Fundralslng events 152303 88,617 IPWEsfMENT INCOME 2024 Totil 2023 Total fund5 Unrertrkted Rothlcthd lunds lunds Oep051t Kcount Interert 848 INCOM£ FRIJM CHARITABiE Acnvirns 2024 Total 2023 Total Atti¥r(les Chlldrm. Adull Trnlnlni rvt Chlléren'5 fees Grants Other Incorne Adult ser¥lce5 Tralning & (on5ultancy fees 171.190 56,811 lJ15 271.190 11.367 4,755 89.us 240,427 24.555 5BS 89J45 9,334 76,080 171 476 15S.9fj0 115 137 329.587 45 SB2A17 2023 243 S39 174,587 497 31r Page 34
THE FOUNTrAnoN FORCONDLicnvE eDucATN NOTES TOThE FINANaALSTATEMENTS.aXrtINIIED FOR THE YEAR ENDED 31JULY 2024 INCOME FROM CIIARITABLE AcnvbTIES-tontiiued Gr•rts received, Induded In the above, are as follows. Ilnr05tritteO fund$ R•strkt•d lunds 24 2023 Natlonal Lottery Curvmunlty Fufid- Children'j Ser¥lces Fund 4116J 42.163 Natlonal Lottery Awrds forAII- Adult SeNlces Fund 19.906 L•.906 VK Sh•reé Pr03perlty Fund- Chlldren's 5erylces Fwd 14,649 14049 orrlsons Foundlon- Adult Servlces Fund 4149 8lJ67 SING FUNDS RJI5d0fjllQM •Dd Iy•c 2023 Toral Fund5 UwtJtrltt•d funds RtSlrl(led fvnds Tot•1 Staff c05t5 In5ur•nre Electrklty, eas and wat•r Telephone Post•8e 8nd st8tlonery Sundry expense¥ (Profitinoss on dispos•l of flxed •ssets Depreciation Fundralslng evert expense5 66,M5 1.5Z9 68,572 1,114 1,603 L529 341 7J79 221 6,744 7J79 435 3B,29S 299 25,517 38295 117J77 117.377 104.516 PaKe 35
THE FOUNDATION FORWNDucmiE EDUCATION NOTES TOThE FINANCIALSTATEMENfs- COWTINU FOR THE YEAR ENDED 31 JULY 2024 a4WTABLE AcnvinES CWTS DIMct cmts Sypportcosts f¥o¥•rn*K• (See nrfe Bl fiot• 9) lset note 91 Children's 5ervfc85 Adu s•wlces Tralning servlces 369266 IS3.924 16029 165,153 n,523 00 1.600 536.019 233.047 111776 509.219 316.823 9YO,842 DIRECT COSTS OFCHAAITABLE ACrinE$ 2024 Athjtt Trnlnln4 Total flc•s S•r¥lc•5 Actl¥ltJe5 2023 Totèl ArtlvitSe5 Chlldren's Staff costs Travel exptnses Accommu¢Jatlon and ¢8terlng Staff trèlnln8 Recrultment Adv•rtlsln8 Sundry expensei 35L129 ios 34 2194 U0,421 81245 138 109 5B3,802 243 1543 5,732 587,219 537 2.241 9,763 3,6)) LS00 s,ioo 5,122 3,135 599 153.924 609,119 608,017 Page 36
niE FOUNDATION FOR CONDLicfivE EIKICAnOII OTES TO ThE FINANCIAL STATEMEfrll5. CIINTINUED FOR THE YEAR ENDED 31 JULY 2024 SUPPORT COSTS Support to 2024 Total 2023 Total •¢tfvltles Wa8e5 Soclal securhy Pen$5ons Po5ts8e and statk)nery Insurydnce Electrlcityi 8a5 and water Telephonè Profes5Ional fee5 Sunthy expenses Molntenance expense5 Equlprnent rental char81S Motor and travel expenses Staff traln5n8 Recrnltment char8ts tT support Ind malntenance B•nk Interest and chiryes Bank loon Interest Payroll and otherch•rie5 Hlre purchase lrterest thar8es IProfftl/loss on disposal of flxed ossets DEpre¢l•tn of t•n8lble f5xed i$$¢s 10609$ 9.62> 105.221 9,918 3,5C 3,461 17.458 25.122 6.981 5,S46 3.948 23,886 20,358 706 365 890 17,358 3,710 19,551 14,138 774 19J53 17,963 13,560 11,902 6,571 10,521 OM20 4,681 316,823 282.037 60MM¢•tO11$ 2024 Total •cthltl 2023 Total Artlyltlej Audltorfs r•MUneraOn 4,800 Page 37
THE FOUNDATION FOR CONDUCTIVE EDUCAMON NOTESTO THE FINANaAL STATEMENTS- cthYfiNUED FOA THE YEAR ENDEO JI IULY 2024 ID. NETINCCWVIEXPENDITURel Net incomellexpenditurel 15 stated after tharyn8llcredfanil'. 2024 2023 Auditor5, remuneration Depreciation- owned a55ets 4Joo 7259 6.LWJO TAUSTEES, REMUNERATIQN AND 8ENEFIT5 There were no trustees. remuneratSon or other beneflts for th• y•ar ended 31 Juty 2024 norfortheyearended 31 July 2023. TRUSTEES. EXPENSES Ourfn8 the ye•r ended31 Juty 2024truste•s' PenSeS totslllni £nll12013.. £nlll wè5 felmbursid by NICÉ. 12. STAFF COSTS 2023 Wages and $alarl So¢lal securtycosts Other pw51tyh costs 661,414 51037 50AOO 663,585 54.B65 55,980 771,071 774 430 2024 2023 Average rnonthty number of empbyees dudni the year 34 No employees recefved emolurnent5 In 4xce55 of £60,OQO. i). PENSION COMMITMENTS The charhy contributes to the Indl¥ldual penslon plan$ of certaln ernpl¢)yees. Thé assets of these scherne5 are held separately from those of the charity Sn Independently adrnlnlstered funds. The total contrfbuL5on5 for the year arnounted to £50.6CII12023: £55,980) and Liu¢$tandkng contrfbutlon5 as at 31 july 2024 amounted to £8,742120Z3'. E7,0971. p4e 38
THE FOIJNI>ATIQN FOR CONDucnve EDUCATION NOTESTOTHE FlNANaALSTATEMEP5- CONIINUED FOR ThE YEAR ENDED 31 JULY 2024 COMPARATIVE STATiMENTOF FINANQAL p£rwmES FOR TNEYEAR ENOED 31 JULY 2023 2023 Total Funds UnrertrfEt•d lund R•srt•d Funds INCOME AND ENDOWMENTS FROM Donat10Tr5 and le8acles Charltsble •cthrflles Children's services Adult servlcès Tralnlng ser¥lce5 129,534 173,071 301605 243J39 79.291 174J87 243.539 79.1 174.587 Other tradlni actlv*l•s In¥e5tmert Income 98017 .617 Totsl 714316 173M71 EXPENDITURE ON Ral$5ng funds Charltsbh •ctMtI Chlldren'$ seNI Adult services Tr•lrtinA servltts 104516 104516 J65.243 17QN15 187 25 126MI 46J7J 491,941 116,78B T•t•l 173 827.499 570 M¢w•m•fit In lunth 1111.1831 Tr•nif•n b•tw••n fundi pl•im0MentIfi funds Iiii,u31 RECONaLL4noN OF FUNOS Total funds broutht forwird 993.450 TOTAL FUIX>S cARRD FORWARD 882.267 882,267 PHge 39
TNE FOUNDATI(4 FOR CONDUCTIVE EOUCATIIJII T40TESTOTHE FINANCIALSTATEMENT5- COP4TINIIEO FOR THE YEAR ENDED JIJULY 2024 TANGIBLE AXED ASSErs Motor ¥*hlcl¢& Freehold vjrnpuiers l•nd ind and flMturt• prnperty and Ilttir Tot At I Au8USt 2023 Addtlon5 DIsp05als IAOO.ODO 105J 1,505AL7 At 31 July 1024 1.400,000 105 312 1.SQ5,312 DEPAEOAIION At l August 2023 Chthrye fory•8r Ellmlnated on d15posal 75.721 7259 75,721 7259 At 31 July 2024 81,910 BOOKVAWE At 31 July 2024 22 At 31 July 2023 29,591 1429,$91 On 6 OCtor 2017 L•mk4rt sMh Hampton, chartered surveyors, re¥aluÈd NICfs freehold prop•rty at •n •mountof £1,400,QC4) ¢M an exlstln¥ use open market b451s. In the orAnlon of th• tru5tetsihere15 no moterlal dlfference betsveen thlsvalue and that as at 31Juty 2024. Page40
ThE FOWDAml)N FOA CONDucfivE EDUCATION NOTESTO IHE FWANCIALSTATEMENfs-QJNTINUED FOR THE VEAR ENDED 31JULY 1014 16. DEBTORS: AMOUNTS FALLING DUE wmiiN ONE YEAR 2023 Other debtor5 PrepJyments and attrued Incomt 116A05 17,481 97.168 11,158 108,326 17. QIEDrroRS: AMOUPITS FALLING Oue 14VITHIN ONE YEAR 2024 2023 Bank loins and ovtrdrlfts Iset note 191 Trade credltors Soclal securlty and othertaxes Other cred1tors Deferred Income Ac¢rue(I wens•s 276ts119 720 ia,395 8.768 117,653 19A95 341,995 21,036 12,685 7,097 104,605 505.132 D•l•ff•d In¢0 A summlry of movernents In deferred Income durfngth* year Is 9$ follows. 20Z3 Be8lnnlng of year Recelved durini year Rele•sed durln8 year 104,105 117,653 11046051 93,646 104,605 193.6461 End of year 117,0$3 104,605 Prfe 41
ThE FOUNDATION FOR CONDucnvE EDUCATION 140TES TO THE FINANaALSTATEMÉIITS- COt4nNUED FOR THÉ YEAR ENDED 31 JUL¥ 1024 aiEDITORS: AMOIJMT5 FALLING DUE AFTER MORE THAN ONE YEAR 2023 8ank h)an515ee note 191 i0iJX3 1S1.CQ2 IOLO 151,CQ2 19. ANS An Jn4ivsS3 of the rnaturity of Itsèfts is Over* bdow: 2024 Amunts fallln8 duè wlthln one year or oft demand: Bink overdiaft Bank loans 225,715 SOJ04 295,062 341,995 Amount$ 14llln8 between one and two ye•rs'. Bank loAns- 1-2 y•ars 47,863 Amounts f•llln8 dueb•twe•n two •nd flve years.. B•nk loan$-2-5 years $3,220 97,579 knounts fallln8 du¢ In more than fl¥e ye•rs'. R•payable by Inst•lrnents'. eink loan5- morethan S year5 by Instolrnents Pa8e 42
THE FOUNt>ATION FORCONDucfivE EOUCATION TESTOThE FINANaALSTATEMVITS. CONTINUED FOR THE YEAA ENDED 31 JULY 2024 LEASING AGREEMeNTS At 31 July 2024 NICE had outstandin8 comrnltments for future mlnlmum lease payrnents undèr non<ancellable operjtini leases whlch fall dut •slollows. Op•r•ilry le1$ 2024 2023 IMthSn one year eetween and flvevears In ffffjre than flve year5 15,171 68373 19,080 73,140 93AM 91220 2L SECURED DEBTS Thèfolbwln8 Mtured debts Ire Included vAthln credltors.. 2023 eank o¥erdr•ft P•nk104ns 225,725 295,062 197,935 492,997 NICE'S bank ov•rdraft and bank lo• Bre secured by • first legal cha ovtr part ol NICE'S Ireahold prcyertv. NICE'S bank loans are rep•y•bl by rnonth In5t•lrMnts it fixed ind varfable rDteJ of Interesr. Poge 43
TIIE FOIINDATION FOR CIYIDucfivE EDUCATION NOTESTOTHE FINANCIAL STATEMENTS- CONTINUED FOR THE YEAR ENDED 31JULY 1924 21. MOVEMEPTh IN FUNDS Tranrf•Y Ien lunds mav•rnent in fundi Al 1.8.23 AtJl.724 UM•Strktedfdl General fund 882267 117,851 ImO,099 R•slrlrt•d lun Chlldren'5 Services fund Rehabilltatlon fvnd Flxtures, Fittln8s ard Equlpmentfijnd 14,649 4.649 14649 19,29B 19.290 TOTAL FUNOS 12,217 Net movement In lund5. Included In the It18 are os follows.. lficoml f1¢e1 R•wJrco Mov•ment •xp•nd•d fundi UnreJtrki•d fundi General fund 892J20 774A•B 117832 A•strl(tqd lundi Children' ser¥k fund Rehabllltatlon fund Flxture5, Fittln85 artd Equlpm•nt fund IOL190 91.839 186, 87,190 14.649 4.649 191029 2n.731 19.298 TOTAL FUNDS 1,185,349 L048.219 Page 44
THE FOUNDAT1014 FQRCONDucfivE EDUCAIION NOTES TOTHE FINANOAL STATEMENrs-coNriNUEO FOR Thf YEAR ENDED 31 JULY 2024 MOVEMENT IN FUP405- CONTINUED Cofflp8ratlves tor 1•mInE In hnds Trlnrfw b•twen At Ll.22 At 31.7.23 Unr•Jtrxt•d lunds General fund JASO 882267 Aejlrfrted lun Chlldren's 5ervlce5 fund Rehabllltatlon fund Fixtufes, Nttln6s aThd Equlprnentfund 993.450 8123fj7 Nrt mov•mtnt In funds. inclué•d In the above •re •sfollow3: In¢omlrf In funth unr•ttr•d fvnds Gener•1 fvnd 716.316 827,49 IIILts3) R•Mdrt•d fvndj Chlldren'55eNrftÈs fund Rhibilitatl¢)nfund FTrxture5, F1tt5Thy and Equlprnent fund 106A98 6,373 S.198 4fj373 zojoo 17Jmi 175,701 9387 1,000 $70 Page 45
ThE FOUNDATI(*I FOR CONDucfivE EDUCATION N07ES TO ThÉ ANANCIAL STATEME15. cOP1uEo FOR ThE IEAR ENDED 31 IULY 2024 22. MOVEMEPff IN FUNDS-CONTINUtD A Cufrentyear 12 rnonth5 and prwJr ye•r 12 rnonths comblned p05ttion is as follows.. Tw¥fer b•tw¢4n m•¥thiwl In fund5 Al lJ.22 At 11.7.14 ld$ Geniral fund 993050 6A49 Im).099 R•strkted funds Children's Senrfce5 fund Rehabilitation fund FLthre5, F1nS and Equlpmentfvnd 14649 14,649 4,649 19.298 19.298 993.450 Z%947 L019,397 Net Mlement In fund5, Included In the above are asfollow5.' Unrestrl¢ted fufid• General fund IMI,636 L601,987 Restr5¢E•d funds Children's Service5 fund Rehabllitatlon fund Flxtures, Flttlng5 and Equlprnentfund 307.381 292.739 133.56> ZO,500 14.649 4649 lo.5) 466,1(A) 446.802 19.291 2m4.736 2,048.789 25.947 P¥Jrpoie of Urrnirlrt•d Funth Thi5 fund represents thefree funds of NICEthat are not de51inated for partlcular PU0$. PUsE of Restrkt•d Furtds This fund represents prirnaryfLXbdlng recelved by NICE fwthe wovtslon of pre.5chool andchlld seryices and also bUae5. Reh Th fund repsentS funds used by NICE ft)r the provlslon of free and 5ubsldlsed servSce5 Used by adts. Pige 46
THE FOUNDATION FORCONDucnvE EDUCAIIthY NOTES TO ThE FINANaAL STATEMÉNTS-CONTINUED FOR ThE YEAR ENDED JI IULY Z014 MOVEMENT IN FUNDS- (orttlfiued Purpose ol Restrlrted Funds- wntln¥ed san Thi5 fund represents hJndln8 recelved by NICE to enable NICE to purchise epulprnent which Is used across •ll of theservlces provided by NICE. 23. A1I4LYSIS OF NASsET$ 8EnvEEN FUNDS urrtld R•#dctsd Fundi T•tsl Tan8lble flx•d assets Net cvrrent 4S5etsllllabllit5esl Credltors,. mounts falllng due In morethaTh oneyear IN21332 130U521 2332 130&8$11 IIOLIM31 1101,0831 Totsl net issets w at 31 July 2024 IA119,397 LOIII397 RELATED PAIITY DISCLOSURIS illts •nd donallons mb5 Durfng the year ended 31 2024 NICE receNed incDme totsllln8 £10.51012023.. É10,C¥JOI frL¥n the Kelth Coornbs Trust, a reglstered charlty, In whlch Anthony Coomb5 and Graham Coomb$. trustees of NICE, also serve a5 trustees. The Lord Au Durlng the year ended 31 July 2024 NICE reCed incornè trtalllw £3,OCQ12023.. È3.c0) from the Lord Austln Trus¢ a reulstered charty. In whlch Ketth Dudley. a trustee of 141CE, also serves as a ttee. Durin8 tht year ended 31 July 2024 NICE recelved Intome totallln8 É8,42012023.. £2,¢))01 from Thomas Dudlev mited, a company In Yknich Robert Holden, a trustee of NICE. )150 ser¥¢s a5 3 dlreLtor. 8aron D Charl l)uring the year ended 31 Juty 2024 NICE recelved Sncorne totallini El,5C¥J 12Q23.. £2,IixII frorn Baron Dav•nport's Ch•ritV* a re8i5t•red ch•rfty. In which Llsa Bryan. a trustee of P41CE. also 5eryes a5 a trustee. Page 47
THE FOUNDAncw FOR CONDUCTIVE tDUQiTION NOIE5TOTHE HNANCIALsfATEMEt4TS.CONIINUÉD FOR ThE YEAR ENDED JI IULY2024 MwaEAS'GUAAA14TEZ NICE 15 4 comwny limiled bywaraTht¢eand as Such, doe5 n¢X havesh•re capltal. NICE h•d members a5 at 31 Juty 202412023.. 1261 all of whom have ifven an undirtaklrtzto contrttmrto up toÉl eath tf called upon to do so. e48