BRAZIER TRUST
ACCOUNTS
YEAR ENDING 31st MARCH 2024
REfjI$TEREO AS'LANOAT THE ¢AU$ÉWAY'
REGISYEREO CHAWTY NO. 302330

Brazier Trust
Trustees Annual Report for the Year Ending 3111 March 2024
R•f•r•n¢o and Admini$tration Detail$
Charity Name
Brazier Trust (Registered as 'Land at the Causeway,)
Charfty Number
302336
Charity Address
The Old Monastery, Wndhill, Bishop's Storlford. Herts. CM23 2ND
The Trustee servirYJ during the year and since the year end wa5 as follows..
Bi$hop'$ Storlford Town Counryl
structur•, G0￿ManCe and Manag•mont
Brazier Trust is govemed by Conveyance and Deed of Exchange.
The Trustee administers the charity and m88ts quart9rly.
ObJ•cts and Actlvltl•s
The gSft of 8 piece of land to the Urb8n Di8tri¢l Council in 1928 by Joe Brazier forms what is now the Llnk Road
Car Pa** Ileas8d to East Herts Coun¢ill and part of th¢ Town Meads in Bishop's Slortford. The grft ¢reated a
¢harilable trust, which is administered by the Town Council. The object of the tnjst is to apply the income of the
Charlty in the maintenance and upkeep of thè propèrty of the Charity and appty any excess as seen fil for the
general benefft of the inhabitants of Blshop's Slortford.
A¢hl•vomonts and P•rfomian
Thi$ 1$ detailed in the attached report by the Chief Executive Officer of Bishop's Stortford Town Council, the sole
Corporate Trustee.
Flnanclal R•vl•w
Brazier Tru51 maintains reserves in an instant access savings account in ordgr to fvnd Its day lo day operation.
with th& bal8nc8 held In a 90 day notice ac¢ounl achieving a higher rale of interest. No funds arè in deficit.
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Independent Examlners Report to the Trustoes of Brazier Trust
I report on the accounts of the Trust {Charity No. 3023361 fof the year ending 31st March 2024, which are sel
out on pages 4 and 5.
R¥s￿ctIV• rosponslbS1itl•s ol Trust•• •nd Examlner
The Charity's trustees ar8 responslble for the preparation of Ihe accounts. The Chartty's trustees consider that
an audit is not required lor this year under section 144 of thè Ch8rititr6 Act 2011 Ith• Charities Acll and that an
independent examinat￿n 15 needed.
1115 my responslblllty lo..
ex8mSne the accounts under sectlon 145 of the Charities Act,
to follow the procedures laid down in the genèr81 Directions glven by Ihe Charity Commlsslon lunder section
145(5llb) ol the Charitie5 Act., and
to state whether particular mattgrs hav& ¢ome to my attention.
Basls of Ind•pend•nt Examln•rs RoPQrt
My examination was carried out in accordanco wlh the Genero1 DirectKsns given by the Charity Commlssion. An
exarnination includes a review of thè accounting records kept by the Charity 8nd a comparison of the accounts
present with thos& ￿e0rd$. It o1$0 includes consideration of any unusual items or disclosures in the accounts,
and seeking explanations from you as Trustees con¢eming 8ny such matlers. The procedure$ undertaken do
not provKle all the evidence thet would be required in an audit. 8nd eonsaquèntty no opinion is given as to
whèther tho accounts present a lrne and lair. view and the report is limited to those rnatters sel out in the
ststement below.
Ind•p•nd•nt Ex•mln•rs St•¢om¢nt
In connection rny examination, no m8lerial matters hove come to my attention which gives me cause to
believe Ih8t in. ony materiol respe¢t.'
8ccountsng records were not kept in accordance with sedion 130 of the Charities Act or
the accounts do not accord with the accountin9 r￿r￿S
I hBve come across no other matters in con
order to en8b19 8 pioptrr understsndin9 0
on with
counts
ex8mlnation to which attentlon should be dr8wn in
reached.
Slgned
Datgd
Print Name
Stuart W J Wilbur
Address
10 Downland Road
Calne
Willshire
SN11 OET
Page3015

Brdzier Trust
Roceipts and Payments
For the Year Endlng 31st March 2024
2024
2023
Restricted Un￿Stricted Totsl Funds Totsl Funds
Fund
FuThJ
R•c•lpts
Renl Received
Interest R8ceived
Donation
VAT R8cwpts
48.232
4,318
48.232
4,318
11,624
9,647
42,495
2,533
10,500
8.499
11,624
9,647
Total Receipts
11,624
62,197
73,821
64,027
P8ym•nt$
Allocated Staff Costs
hAaintgnanc8 of Grounds
P￿Y Area Maintenance
Tree Works
Professitsnal Fees
Grants
Capital Projects
VAT Payments
14,851
3,593
157
2,490
65
30,490
50.000
14,851
3.593
157
2,490
65
42.114
50,000
9,360
13,581
3,979
2.123
1,500
60
78.845
11,624
8.324
Total Payments
111.006
122,630
108,412
N•t R•c•lptsllPaym•ntsl
148.8091
{48.8091
144.3851
Cash Funds frorn Last Year End
82.514
82.514
126,899
Cash Funds thls Year End
33,705
33,705
82,514
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Brnzier Trust
Statement of Assets and Liabillties
For tho Year Ending 31st March 2024
2024
2023
Reslricled Unrestricted Total Funds Total Funds
Fund
Fund
Cash Funds
Lloyds Bank
Saffron Building Socièty
11.917
11.917
21.788
33,705
8,751
33,705
82,514
Other Mon•tsry Assets
Mcmies Due lo Charity at 31103
Llabllltles
Monies Oweij by Charity at 31103
7.703
7.703
8.688
Inv•stm•nt Ass•ts
None
proved for and on Behalf of Brazier Trust behaW of the Trustee
Signed
Print Name
Signgd
Dated
Prfnl Name
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