ch•ses of 8888ts totalled £541.339. Th18 re8uIt8
nan
OBJECTIVES AND ORGANISATION:
Thé object of the Charity. in accordance wlth th8 TfU8t D8ed dated 22nd November 1978 Is the education of persons
o have ￿1 attained the age of 25 years. who, in the oplnion of the Trustees. are in need of financial a3sistsTKe and
are resident in. or have parent(s) resident in, the parish of Bobbington, the parish of Enville or the parish of
ver, but preference for those who are resident in. or who have parent(s) resident In Enville.
FINANCIAL POSITION:
The Trustees conslder that the overall finandal posltion Is satisfactory and are pleased to report 22
don8ti0ns to individuals were made during the year and 3 donats'ons were made to institutions during the year.
PUBLIC BENEFIT..
The Trustees of the Chaiity are aware of the Charity Commission's guidance on public benefft and have had regard
it in the administration and activitles of the Charity.
POLICIES:
i investments of the trnst have been selected to provide a balance belween growlh and income as recommen
he investment advisers.
The income reserves of the charity are reviewed ￿gUlarlY and are maintsined to retain a level of funds availab
urgent calls upon them and for Identif￿ble future projects.
TRUSTEES
The power of appointment of new trustees is vested in the existing Trustees.
The Trnstees, annual report and financial statements were approved on 2 November 2021 and signed on its

Incom• from dep￿1￿.
Wafvave
Incom• from quoted Inv08tmonts:
Income from investments sold
during year
Ino)me from invesknents held at
year end
Total Income recelpts
10.006
17.338
29,546
23,029
39,561
40,376
Other recelpts..
'Sale of investments
Amounts received in error
506,077
750
788.698
TOTAL RECEIPTS
546,388
829.072
PAYMENTS:
Direct charftable expenditure:
Grants made
31,993
27,500
Other expenditure:
Purchase of investments
Independent examinerfs fees
Bank charges
Secretarial expenses
541 ,339
745
70
33
753.507
720
60
405
TOTAL PAYMENTS
574,180
782,19
NET RECEIPTS I(PAYMENTS) FOR YEAR
(27.792)
46,88
Cash and bank balances at 31 st March 2020
112,733
65,85
CASH AND BANK BALANCES AT

TARY ASSETS:
N￿•
•ftd b•nk b•l•ncM:
752•9
7.478
2.174
10.fjm
84,941
112715
cx>•t al 31 st 2021
31 st March 2021
J.837
727 944
765
745
Tnmtees Ilw responsibilitse8 for the FKeparaII￿ ol ts fina￿￿1
n￿essary for their prepafalion.
Th apwoved ty Ihe Trustees ￿ 2 November 2021.