The MFPA Fund forthe Tralnlni ol Dlsabled Chlldmn In the Arts
Re8lstered chartty number: 328151
Report and accounts
for the year ended 31rt M•r¢h 2026

The MFPA Fund for the Tralnlrya of Dkwbled Chlldrnn In ihe Arts
e8iStered charity rwmtser: 328151
Rem of the Trustees
lor th• year ended 31st Marth 2026
TRUSTEE REPORT
The Trtsstees present their report with the financial statements of the charity lor the year ended 31
March 2026. The trustees have adopted the Charities 50RP IFRS 1021'AccountSng and Repoitin8 by
Charities.. Statemènt af Recommended Practice applicable to charitie5 preparingtheir accoun15 In
accordance wilh the Financial Aeportin8 Standard applicable In the UK and Republlc of Ireland IFR5
1021 leffective l January 20191".
OBJECTIVES AND A￿1VITIEs
Objectives and aims:
The oblert of the charlty 55 to advance theTrainin8 OF Disabled Children irt Arts.
This is athieved through awarding funds to parents or other individual responsible for a phy5icalty
disabled child or an 0i8anlsat￿ft which requires finènual assistance to furthèr the artistic development
of disabled thildren.
The iru5tees have referred to the guidance contalned ITh the Charity Commlulon'$ general 8uidance on
publlc benefit when Tevlewlng the alms and objectives of The MFPA Fund for the Trainlng of Dlsabled
Children in the Arts in planning its future activllles.
Donation maklng policy
The tru5tee5 have reviewed the poli￿ with reÉaid to donations made. as rt was felt that ¢Ju* to the
Increasing amount held within thè accounts, the parameters of support needed io be efiènded.
The iruslee5 wlll. In futllTe. con51der repeat annval donation5 to the same applicanl5. where they are
continuin8 lessons or rrainin8. The Trustees will also Increèse the amount funded to each 8roup or
Indlvldual to É20,OQJ.
ACHIEVEMENT AND PERFORMANCE
Charitable artivities..
The new official 'home' for our Chorltable Trusi Fsjnd l Normandy Street In Alton ha5 gone from
strength to stre￿. The gallery space this year has shown work by varlous 8fOUPS and Individuals.
A percentage of the Sales In the Freedorn Throy8h Exprwion Gallery 80 towards the work our charlty
does.
So fèr this year. we have held exhlbltions by youn8 disabled Ch￿dren frèm Treloar School and Colle8e.
Lettlce 8owen the winner of The Unique Awards 2023. barry West and other Mouth and Foot
Palntln8Artist5 Artwork.
On the ffirsl floor Oillon and William our neurodiverse youngsters have been tutored to be gble to
manufarture frame5. Ru55el ihelr Tutor ha5 enabled them now to tse￿een themselves to make frames.
Mostly used for the Gallery on the ground floor, but also to send oul 10 Customers of the Mouth and Foot
Palnty"ng Art15t5. With our support, they now use the computer and large format printer and label pfinter
to delNer the prints needed for the MFPA Drders. The Trust is still funding Russell. a local Sallptor to
teach the framers how to use the equipment. There is 3nother larger room whith we are renting out for
Art work5hop5 fof the local community. We have a150 run again sculpture workshop for two special needs
Schools, Loddon Sthool and The Green Room School. a school for excluded pupils, mosi of which have
statement. The top fioor is still erryty and are actively looking for a company or indI￿dual to rent the
space.
The Trustees have asked three ladies ¢0 suppon our Trust Fund part time. Glynis Has been asked to act as
office Manager, She WOTk5 in the Gallery iwp days a week and 'runs' the buildi￿ She a150 keep5 the
accounts Ind deals with Zefo accounting system. Catherine Cook worksTh¥o days a week, She grgani5es

the ath40rk In the Eallery. 5UPPOrting artists and organi5es the Unique Art Awards each year. Ofganlslng
the entries and the linali5ts, she a150 takes care of the Social Media for She has supporred the awards
from the 51art of the award5 in 2016. Marina Zadorozhna is mannin8the Gallery on a Tuesday and helpir
with short vSdeo's for Freedom Throu8h Expression Facebook aNI Insta8ram pos
Maintenance on l Normanol Is ongoinL we had rain waiet ingress under the eave5 0 the properry, thls ha5
recently been rettFfied, the outside decoration ol the property is on8Oin8.
In its 10 year the Trust Funds-unique Art Awards" bs the to complete agaln in 2026.11 Is a ¢ompetltlon to
find young dksèbled artisls across the UK and recD8nise their hard work. In 2026 there are again, two a8e
groups 7-15 and 16-21. the awards were for 2D Art, 3D sculpture. photography. performance and di8ttal art.
It has a8aln been a great succe5S.
Othèr of8anisations rÈceivinB financial help in 2026 from MFPA Trust Funtl also Include Treloar Trust, Happy
D4y5 tharity. The R T)yal Opera Hot15e, Nattonal Theatre to name a few.
Trustee lan Parker resigned in Marth 2026, Mouth and Foot Painting Arti5l Rob Trent from Southampton
ha5 replaced him as Trustee.
After disCu￿10nS with a soli£ltor, the Trustees have app16ed the Charity Commisslon to than8e the ￿atuleS
and the name of the MFPA Trus1 fund. It was felt that the orlwnal dexrlptlon of the trust when it was
opened in 1988 wa5 too specific. Theiefore, the Trustees have a8reed to try to chan8e thÈ statute5 SO that
it would be called ihe MFPA Tru5r Fund for theTrainin8 of D15abled People In the Arts, this wlll mean that
more Mouth and Foot Palniin8 Artisis wlll be able to apply io make use olthe fundln& whlch would be
very useful to them.
FINANCIAL REVIEW
Investments
Wickham Avenue the trust In¥e5tment renlal PToperty in 8exhill-on-Sea still accommodates tenant5 Irb the
Shop ITalloTI and the three tlats above. The ienants arè the same as when the Trust took ovef Ihe property
In Ortober 2023. The Trustees have invested into the property by getting the building up to a good standard.
The Trustees have decided lo keeo ihe rental rate as low as w551ble to help the tenants, h¥0 fiats are
occupled by care workers on è minimal wage.
Work was compleied in 2025 to take down ¢he old concrete pretab garage. A5best05 was found In Sheet
lorm in the garage, this was disposed of safely. Work has been identified to complete on the gfound an
top floor flars. Ihis wlll be done rhis year.
Review of activities and results
Flnancial resu￿5 for the year are set oul In the Statemeni ol Financial Actwities on page 5 and the
P05itlon at the end of the year is shown in the balance sheel on page 6.
Durln8 the year. there vlas a surplus of £152.25112025.. É463.9671. The surplus Was higher in Ihe Pfevlou5
year because of an irKrease In donations and Iwcles received In the 2025 finar)cial year.
The charitable expenditure tor year amounied to £75.91412025= £101,287>.
The yearend cash balance was £2.152.43212025- £2,1￿,1451.
Slgr*d Mr T Yendell OBE
Trustee
Date
Mr R Trent
Trustee
Date
20
£6

(IIARllY
Independent examinerfs report on the
accounts
Section A
Independent Examiner s Report
Report to the trugtee•l
members of
The MFPA Fund for Training of Disabled Children in the Arts
On accounts for the year
ended
31ai March 2026
Charlty no
{If any)
328151
S•1 out on pagos
5-12
Respectivo The charitys trustees are responsible fi)r the preparation of the accounts.
rn8ponslbili1108 of The charty's tnjstees consider that an audit 1$ not required for this year
tru•te•8 and •xamln•r under section 43(21 of the Charities Act 1993 {the 1993 Act) and Ihat an
independent examination is nèeded.
It is my responsitm.lrty to.
examine the accounts urKler seclion 43 of th8 1993 Act,
lo follow the procedures laid down in Ihe general Directions given by lh•
Charity Commission (under seth'on 43171(bl of the 1993 Act, and
to 8tat8 wh8ther particular matters have come to my attention.
Ba$ls of Ind•p•ndont My examin*'on was carried out in accordance wth general Direction8 9iven
examlnerfs statoment by the Charity Commission. An examination includes a review of the
accounting records kept by the charity and a comparison of the accounts
presented Wbth those records. It also includes consideration of any unusual
items or disc108ures in the accounts, and seeking explanations from the
truslees conceming any such matters. The procedures undertaken do not
provide all the evidence that woukl be requir￿ in an audit, and
consequently no opinion is given as to whether the accounts present a 'true
and fail view and the report is Iimitad to those matter8 sel out in the
statement below.
Independent In connection with my examination, no matter ha3 come lo my attention
examlner's statement (other than that di$closed below")
1. whiGh gives me reasonable cause lo beI￿ve that in, any material respect.
the requirements..
to keep accounMg records in accordan¢¢ with section 41 of Ihe 1993
Act,. and
to prepare accounts which accord wrth the accounting records and
comply with the accounting requirements of the 1993 Act
have not been met ', or
2. to which. in my opinion. attenti￿ should be drawn in order lo enabb a
proper underst8ndiThJ OF the accounts to be reathed.
Please delele the M)rds in the brackets rfthey do not apply.
Slgned:
Ilz
Name:
Tom Main
R81ovanl prof•Mion•l
quallficatlon(sl or body:
ACA {ICAEW)
Address:
Mill Cottage. Upper Neatham Mill Lane, Holyboume, Hants. GU34 4EP
IER
April 2009

Section B
Disclosure
Only complete if the examiner needs to highlght material problems.
Give horo brief detai16 of
any Items that the
examiner wishes to
dl8clo•o
IER
April 2009

The MFPA Fund for the Tralnlng of Disabled Chlldren In the Arts
Statement of Financial Activities
for the
ear ended 31st March 2026
2026
2025
Donations and legacies
160407
602244
Investment income
147154
388CW)
ToLIl Income
307561
6411)44
Raising funds
79396
75790
Rey)urces expended
75914
101287
Total expendlture
155310
177077
Net I￿orne
152251
463967
Total funds brou8ht forward
2757823
2293856
Total lunds carrled lorward
2910074
2757823

The MFPA Fund for the Tralnlng of Dlsabled Chlldren in the Arts
Balan¢e Sheet
as at 31st Marth 2026
Noi
2026
2025
Flxed assets
Tangible assets
Investment property
441479
326233
767712
441535
326233
767768
Current a￿ets
Debiors
Cash at hand and at bank
1250
2152432
2153682
1092
20J0145
2(M)1237
Cr¢dltors: amounts lalllng due
withln one year
11320
11182
Net current a$5ets
2142362
1990055
Net ass•ts
2911x174
2757823
Funds
Unrestricted funds
Total funds
io
2911J)74
2911X)74
2757823
2757823
Si8nod
Mr T Yendell OBE
Tru￿ee
Date
Mr R Trent
Trust2e
Date

The MFPA FUNI lor theTr•In1￿fjf Dbs•bl¢d CNldrÈn In th• Arts
Notesto the accounts
lryihe ended 3tst March 2026
l L•8af fomi ottho •ntity
The MFPA Fund for the Trainingof Handicapped Children in theArts is a charity re8iStered in
En8land and Wales. Its re8isteffed number and re8iSteTed office address can be found in the
repon ofthe mis1￿.
2 k¢0￿rtIlI polldes
Basls of pr•parfnKthÈ flrtandal statements
The firsancial slatements of the tharity, whith is 3 pth)lic benefit entity under FIL5 102. have been
piepared in èccordance with iheCharitie5 SORP IFRS 1021'Accountin8 and Reporti08 by
Charldes." 5ta¢emeni of Recommended Praaice applicable to charities preparing thelr accounts In
accordance wlth the Financial Reportin8 Standard applicable in the UK and Republic of Ireland
IFRS 1021 leffectlve l January 20191,.
The presentatlon curren<y of the fin￿£6?1 statement Is Pound Stedln&l£l.
In¢¢xne
All Income Is reco8nlsed in the Statement of flnancial Activitles once the tharlty has entltlement
to the fun¢15, it is probable that Ihe income will be ieceived and thè amount can be measured
reliably.
Expendlturè
Liabilities are recvBnised as expendituie a5 soon a5 ihtre is a le8al oi constructive pbligaiion
¢ommillln8 Ihe chartty to that expendllure. it Is probable that a transfer of economic benefits will
be required in settlement and the amount of tht oblr831iort ¢¥n be measureo reliably. Expenditure
15 accounted tor on an accruals basis and has been dassified under headings thal a88re8ate all
COSI felated 10 the ¢ate80ry. Where Costs tanntst be dife¢tty attrtbuted to partlujlar headIrt￿ they
have been allocated to acllvltles on a basls conslstent with the use ot resaurces.
T•￿b￿ Ibx•d
Depreciation is provSded at the followin8 annual rate5 In order io wrlte off each a55et over Its
estimated useful I"rfe.
Equipment- 2596 on reduclna balance
Investment property Is shown al most rrfent Valuaiion. Any aggregate surplus or deflclt arlslng
from chan8es in lair value is reco8nised in the Statement of Financial Acts¥itie5.
TaxatliJn
The charity Is exemptfrom lax on its tharitable artiVFties.
Fynd acethm￿
Unrestritted funds can be used in accordan￿**th the tharstable objerttves ai the discretion of
the irustee5.
Restricted funds can only be used for particular resiriC￿d purposes within the object5 of the
charity. Restrictions aTi5e when 5peofied by the donoror when funds are ralsed for particular
resirlcted pU￿OSes.
Further explanation of the nature and wjrpose of each fund 15 induded in the note5 ID the
financial statements.

The MFPA Fund for the Trnlnlng of Dlsabled Chlldrefi ITr the Arts
Notes to the a¢munts
for the year ended 3tst March 2026
3 Investment income
2026
2025
Rents received
Investment income
27368
44318
71686
22479
7171
29650
4 ￿•s7n8 funds
20Z6
20ZS
Investment mana8tment costs
Support costs
79396
75790
5 Trust¢u' remunerntlon and benefits
2026
2025
Trustees, remuneration
Trustees. expenses
There were no Irustees, expenses paid for the Year ended 31 March 2026 nor for the year ended
31 March 2025.
6 Tanlble fued assets
Loid Rodnev
House
Equlpment
T￿•1
Cost
At 1st April 2025
Additions
At 31st March 2026
441312
20876
462188
441312
20876
462188
Depreciatlon
At 1st April 2025
Charge for the period
At 31st March 2026
20653
56
20709
20653
56
20709
Net book value
At 31st March 2026
441312
167
441479
At 1st April 202S
441312
223
441535

The MFPA Fund lor the Trninint of Dlsabled Chlldren In the Arts
Notes to the accounts
for the year ended 31st March 2026
7 In¥estment property
ImiestmeTht
property
Falf value
At 1st Aprll 2025
Additions
At 315t March 2026
326233
326233
N•t book valu•
At 31st March 2026
326233
At 1st Aprll 2025
326233
8 Debtors: amounts falli￿ due wlthln year
2026
2025
Other debtor5
1250
1250
1092
1092
9 Crnditors: amounts lalllft8 due wlthln on• y•ar
2026
2025
Oiher credttors
11320
11320
11182
11182
10 Movement In filnth
At
OIIQ412025
Net
At
3110312026
mov•m•rt
Unrestrftted fund
General fund
2757823
152251
2910074
Total fvnds
2757823
152251
2910074
Net movement in funds, included in the above are as follows..
Incornini
Resources
expended
Movement
ln lunds
Unrestricled fvnd
Gerberal fund
307561
-155310
152251
Total fvnds
307561
-155310
152251

The MFPA Fund for the Tralnlnl ol Dlsabled Chlldren kn the Arts
Note5 to the accounts
lor th• y••r *nd•d 3tst M¥rth 2026
10 Movement In fvnds- Con￿￿￿ed
CompaTatfve5 tor movemert kb lund5
At
0110412025
At
movement 3110312026
Uniestrictrd futhd
General fund
2293856
463967
2757823
Totsl lunds
2293856
463967
2757823
Comparative net movèment in funds. inC￿ded in the above are as follows..
Incomlni
Tesources
Resources
¢xperHled
M()￿m*￿t
funds
VTrrestrlcted fund
General lund
641Q44
-177077
463967
Total fvnds
641044
-177077
463967
A ¢Uff*nt year 12 months and pvlor yeaf 12 months ¢omblned poslkn Is M follows:
At
OVO•I2025
Al
3110312026
movement
Unrestrlrt¢d fvnd
General fund
2293856
616218
291L￿4
Total funds
2293856
616218
291(￿174
A curreni yeaT 12 month5 and prior year 12 months comblned nel movement In funds. Included in
the aljove are as follows..
In¢omlft#
R•soyrces
*xpended
Movemèfit
In lunds
Unrnstrkt•d fvnd
General fvnd
948605
-332387
616218
Total fvnds
-332387
616218

The MFPA Fund for the Tralnlng of Dlsabled Chlldren In the Arts
Notes to the accounts
for the year ended atst Marth 2026
11 Related party disclosures
There were no ￿lated party tran5artions for the year ended 31 March 2026.

The MFPA Fund lorthe Tralnlng of Disabled Chlldren In the Arts
Oetsiled Statement of Financlal ActF¥illes
for the year ended 31st Marth 2026
Notes
2026
2025
Donations and le8acie5
Donations and legacies
160407
602244
Investment Income
Rents recelved
Investment Income
Sales of palntlngs
27368
44318
75468
147154
22479
7171
9150
388CQ
Totsl Incomlng resources
307561
641044
CharItab￿ a¢ti¥lties
Awards to charitable or8anisations
Awards to children
Unique Art awards
57837
12873
4811
75521
92453
1405
6915
100773
Manai•m•nt
Rental costs & Lord Rodney House expenses
Cost of art and framin8
Advertising and promotions
Accountancy
Architett and solicitors fees
Entertainmeni
Insurance
Repairs and flttlng
Staff wages
Fuel cosis
Oepreciation
9298
11332
8814
1761
9106
649
5660
11688
144
4717
25341
9540
81
75
75790
11797
35392
56
79396
Flnance
Bank charges
393
393
514
514
155310
177077