REGISTERF.D CHARITY NUMBER: 5161192 REPORT OF THE TRUSTEES AM> FINANCL4L sTATEmEs FOR THE YEAR ENDED 31 DECEMBER 2023 FOR THE BiIRY SPEAKEASY CLUB P B Syddall & Co Chartered Accountants Grafton House 81 Chorley Old Road Bolion Lallcasbire BI,J 3AJ
THE BURY SPEAKEASY CLUB CONTENfs OF THE TrJNANCLiL STATF.MFNTS FOR THE YEAR EiNDED 31 DECEMBER 2023 Poge Report ofthe Tte*S Independent Examiner's Report Statement of Flllancial Aellvltks Balance Sheet Noles to the FIDaDcial Statements 7 to 12 Detailed Ststement of FRnaDelal Aetlvlties 13 to 14
TKF IIURY SPEA1sy CLUB REPORT OF THE TRUSTEES FOR THE YEAR EM>ED 31 DECEMBER 2(f23 The tnte¢S present their report with the fuwicial statements of the cRwity for the year ended 31 December 2023. The tnLftccs have adopted the provisions of Accounting atEd Rewting by Cbaritics: StataJ]¢nt of Rc¢ouuncnd¢d Pradic¢ applicable to charities preparing their accounts in accordance with th¢ Finall¢ial R¢porting Standard applicable in the UK Republic of Ireland (FRS 102) (¢ffective l January 2019). The Bury Speake&sy Club OWdtes ullder the wme 'Speake&sy" Objectives and aims Speakeasy's objectives tend to be stn)ilar year on year as our Core business of s•ing people with aphasia remains unc hanged. Actlvltles We luyeT a¢iivities onto our b&si¢ services offering x wid¢r rauge of member requested and member led activilies to tacilitate ongoing devel(THnent ot. c(xnmuni¢ation skills, confi(knce and community participation whilst improving quality ot'life with aphasi& Atmually we offer purposeful trips as appwe, AGM, a Christnw lunch and our aphasia conference. Achieve]ttents and perfoTmall 2023 Speakeasy wntinued to deliver a blended service knth i>nline and face to rA at the otTKY and Odr premtses across Cyreater Manchester. This service supported wple with aphasia and their cwers and tilles. All the fided Projts were delivered 5uCce55fiY and evaluated using aph1& accessible approache5. This gave us knowledge about the impact and preferences for both pecyle with aphasia and carers which is ed to that our woA( is truty member centric. W¢ ensur¢d thll (klivery of Core servitts and supwrt for all who requestcd it in spite of increasing denwd. We continued to support eMberS to have involvement in a wide rang¢ of ffsearch and themed project woA( which included engagetnent with loc&1 public 8nd patienl consultation meetings acmss Greater manchter. We were successthl in Securit a 12rge grant National NHS io deliver a new pilot project to suppixt speech and language therapists. people with aphasia end carers online. offtriThg short terni support to fill the gaps ID NHS pn)visi<)n. A remote speech and knguage therapist was engaged to deliver this wod( across the whole of Greater Mallchester. This project Ixgan late 2022 and continued through all of 2023. 8keasY remained at tbe £0frO[ of llational and international aphasia collaborations such as the Aphasia Allianc Tavistack ttust for Aphasi4 ColLalx)raiion of Aphasia Triallists and retains strong links with stroke, disability and voluntary sector oiEanis2tioDg. We IiAised with care org8nisations and estsblished an agreement to deliver training for stsff in tmproving their CoMcation skills. Our ongoing and regu]ar involvement with IIKal nati(x)al and international researchers and with bu5inesse5 to slwelsell our expertise has continued in 2023. Trustees have had thll involvement in tig S[(e&sY business with Continued supm advic4 monitoring of standords gnd slrntegic guidance. Page I
THE BiIRY SPEAKEASY CLUB REPORT OFTHE TRUSTEES FOR THE YEAR ENDED 31 DECEMBER 2023 FANcL REEw Reserves policy Our policy on c&sh re5erve5 continues to be the maintenance of at It six tnonths opernting costs (m deposit as a buffer in the event that our fimding l income source5 ¢e&%e. As at 31 Decen]ber 2023 the unrestrieted genernl fimd stwd at £104,699 which represents over 8 months opernting 05ts. The tn'tCcs have always recosnised that the sources of incon)e are ad-hoc or at best subject to a periodic review, and often subject to periojic qualificati(fA" all with th¢ potential to Ce with little or no prior notic4 with subsequent inÈt io reserves, These characteristics sit alongside undet5tandiDg (m th¢ part ()f the trustees that the members, staff and grdnt-makers require some continuity; the fuwicial butTer is essential in allowing the trustccs adequate time to forniulate appropriatc ontingency plan4 sbouid they be require STRucfuRE. GOVERNANCE ATAD MANAGEMENT Governing dUment The charity is Lontrolld by its governiDg documenL a de¢d of 1Tht and conslituteg an uninc041ed charity, 'The governing dUment is the constitutioD adopted 23 January 1985 alld amended 24 April 1989. R¢crnitmeDt and appofintment of new truste The method adopted for r¢¢Nitment and app)inlnJent of new InleeS are . - Head.18 for thos¢ wilh wwed skills - Initial meeting - Invitation to join SF*£keASy - CRB check - Confirniation of appoin1ent at tn]stee meeliTh8 - Rcwrt and coofirnti0n at AGM - Induction pack and r¢SL9)I11ty / liability Ixiefmg New lrnstees are appintedby thc board &fter ¢onsiderdtion of the thaTity's requirements. Organigalional structure speak$Y has a boo oftsustees and a Chief Executiv¢ Officer, Gill PearL to wlLom all staff report. All strncftll and fllLaDcial decisions are made by majority vote by the Itee$. Gill Pearl has authority for expenses up to £200. Governance Trustee meelings 8re planned to take place thrixEknut the Ye and senior lea(lers communicate very effectively on both fomlal matt¢rs and itifonnally when guidance is wuirnl by oifi¢¢rs or the Cbief Ex¢¢utive Officer. Risk maDagemeDt 'Ihe tnLStees have a duty to identify and review the risks to which the charity is exposed and to ensure appropriate controls are in place to provide reasonable assurance against fillud and effor. We regularly review ail risks and take apprte actyons whe]r requitrd. REFERENCE AND ADMINISTRATIVE DETAILS Registered Charity number 516092 Page 2
REPORT OF THE TRUSTEES FOR THE YFAR ENDED 31 DECEMBER 2023 Principal addross I I Princes Court Silver Street Rams)0 Bury Lallcashir¢ BLO 9BJ Trustees J Holland {Lrsigu¢d 1.4,24) D Morton Chair of Trustees J l.owe Ms A Hibbert Mrs J Hancock P Prince Ms E Duncan Ms J Wright K Winch Ms J l.loyd V Wright (resigned 1223) H Holland Ms F Holl8nd-Haque (appointed 2.4.24) Independent Examiner A J Syddall M.A., F.C.A.. P B Syddall & Co Clwtered Accountants Grafton House 81 Chorley Old Road Bolton 1.8llL&%hire BLI 3AJ Approved ty order of the board oftrustees on 7 October 2024 and sign¢d on its IKhalf by: D Morton- Trustee Page 3
INDEPEM)ENT EXAMtNER'S REPORT TO THE TRUSTEES OF THE BURY SPEAKEASY CLUB Independent examineV8 report to the trustees of The Bury Speakeasy Club I resk to the charity trjstees on my examination of the accouuls of Th¢ Bury sk¢aSY Club (the Trust) for the year ended 31 December 2023. Re$ponsibllltles and bwb of report As the charity trustees of the Trnsl you are responsible for the preparation of the accounts in accord with the requirements ofthe Charitics Act 2011 (Ihe A¢V). I report in Erstt ofmy examination of the Trnsvs accounts C21Ti¢d out under Sectioll 145 of the Act and in carryillg out my examit]ation I have followed all 4)plicable Dirctions givett by the Charity Corntnission under Section 145(5)(b) of the Act. Independent cxaminerfs ststement I have completed my exatllindlion. I c4)nfm that no material mattets have cotne to my attention in rnection with the examination giving me cause to believe that in any material Tespe£t: accounting records were kept in respect of the Trust as required by Section 130 of the Act. or the ounts do not accord with those recoftls; or the accounls do not comply with the applicable requirements concaw the forni and CODt¢nt of accounts set out in the Charitie5 (Accounts alld Rels) Regulations 2(M)8 other than arly requirement that the give trne and fair view which is not a matter conSidrd as part of an indepen(knt examination. I have no Concerns and have Come across no other matters in c)neCtiOn with th¢ aMInatiOn to which attention should be drawn in this rewt in ordff to enable a proper undStsllding of the accounts to be reached. A J Syddall M.A.. F.C.A.. P B Syddall & Co Chartered A¢coulllaDts Grafton Hi)use 81 Chorley Old Road Bolton LAneashire BLI 3AJ 7 Ociober 2024 Page 4
THE BURY SPEAKEASY CLUB STATEMEIYT OF FINANCIAL ACTIvrriFS FOR THE YEAR ENDED 31 DECEMBER 2023 2023 Total funds 2022 Totat fimds Utsrestri¢ted Restricted fijnd Nolcs INCOME AND EM)OWMENfs FROM Donations subscriptions and grants 47J54 131948 179A02 84,689 Other trading activities tnves¢ment income IS933 1,002 SJ( 21233 1,002 9.687 112 Totsl 137248 201,737 94,488 F.XPF.NDITURF. ON Charltsble aetiviti£q Charitable activities support costs Finance costs 49,649 1819 (190) 7260 470 I319 3289 (190) 97,325 3,373 Total 51278 1,730 13Q008 100,888 Net gainsl{losses) on investents (3.715) ET INCOMElffXPENDITURE) Transfers betiyeen funds IW3 14748 53518 {1{748) 7Qlll {10,115) 12 Net movement In funds 31J41 3S770 7ffj111 (10,115) RECONCILIATION OF FUNDS. Total fimds brought forward 73J57 13,636 993 97,108 TOTAL FUNDS CARRIED FORWARD 104,698 52,406 157,104 86,993 The notes forni of these f¢181 statements Page 5
THE Billiy SPEAKEASY CLUB ALANCE SHEET 31 DECEMBER 2023 2023 Total funds 2022 Total fimds Unrestricted fund Restricted fid5 Notes FIXED ASSETS TungiblL' assets Investments 1,897 71,678 1097 71ffj78 1.897 27,297 73J75 73J75 29,194 CURRENT A&SETS Debtors.. am(yunls lalling due within one year Cash at bank and in hand io 1,150 82 J79 1,210 58,089 29974 $2AOS 31,124 52805 &729 59299 CREDITOIL Amounts falling due within one year (1,5(K)) NET CURRENT ASSETS 31,124 52,405 &1,529 57,799 TOTAL ASSETS LESS CURRENr LIABILITIES 104699 52.405 157,1114 86,993 NF.T ASSETS 104,699 52,405 157,104 86,993 12 Unrestricted funds Restricted fid& 104699 51405 73,357 13,636 TOTAL FUNDS 157,104 86,993 The flnancial statements were approved by the Board of TneeS and authorised for issue on 7 OctolKr 2024 and were signed on its beh21f by.. D Morton- TnLsfr¢ The Dot¢5 fvm) part of these fmanrial slatements Page 6
THE BURY SPEAKEASY CLUB NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR EIWED 31 DECEMBER 2023 AccouNfING POLICIES BASIS OF PREPAIUNG THE FINANCIAL STATEMEN15 The financi21 statonents of the charity, which is a public b¢nefit elltity under FRS 102, hav¢ b¢¢n pr¢p&rd in accordance with the CharitiL% SORP (FRS 102) 'Accounting and Rewting by Charities: Statement of Recon)mended Practice applicable to cEitieS prq)ry their accounts in acconknce with the Financial Re)rting Standard app]icable in the UK and Republic of Ir¢land (FRS 102) (eff¢ctiv¢ l January 2019),, Finan¢ial Repting Stsndard 102 'The Financial Reporting Standard applicable iTh the UK aThd Republic of IrelaDd' and the Charities Act 2011. Th¢ financial Statements have been prepared under the historical cost Conventio with the ex¢eErtion of investments Irfiich included at market valu4 as Mlfied by the revaluation of certain assets. tNCOME All income is recognised in the Statement ot Financial Activities once the charity entitlement to the fi]n&s, it is probable that the illcome wi]] be rweived and the amount can be measured reliably. EXPElYDuRE Liabilities are Tecognised &8 expenditure as SlK)n &$ there is a legal or constructive obligation committing tbe charity to that expenditutt. it is prnbabje that a tr&llsfer of economic benefits will be required in settleent and the amount ol the oblxwion can be measured reliably. Expenditure is accounted for on an acffijals basis and has been clas5ifi¢d headings that aggregat¢ all cost related to the category. Where costs ¢&llnot be d1CtlY attributed to particular headings they have IKen allocated to acttvilie5 on a b&sis c4)nsistent with the use of TANGIBLE FIXED ASSETS Depreciation is provided at the following &)nual rat¢s in ord¢r to write off each asset over its estinted usethl life. Computer eqUient 25(*/o on reducing balance TAXATION The charity is exenw from tax on its c]]aritable activities. FUND ACCOUNrnvG Utwestrirtcd funds can be wed ID accordance with the charitable objectives at the discretion of the trustees. Restricted fut)ds can only be used for particular Atstricted purposes within the objeets of the charity. Restrictions arise when specified by the donor or when fuods are raised for particulAr restiycted pw)oses. DOF4ATIONS SUBSCRIPTIONS AND GRANTS 2023 2022 Donations Grants Subscriplions 20,694 146947 11061 8,191 68.460 8,038 179Jb2 84,689 Grants received, Incl in the abov4 8tr &$ follows: 21123 2022 Other grants 14A947 68.460 Page 7 continued...
THE BURY SPEAKEASY CLUB IYOTES TO THE FINANCIAL STATEMENTS - eontlnued FOR THE YEAR ENDED 31 DECEMBER 2023 OTHER TRADKNG ACTIVITIES 2023 2022 Fundraising events Training and eXtiSe Other income 3287 6260 140 21233 9,687 INVESTMENT INCOME 2023 2022 Dqxjsil account interesl I,(W2 112 CHARABLE ACVITIEs COSTS Dire¢1 Costs coslg Totals Charitable activities sUprt costs Finance costs I319 132,909 3289 (1) (190) 131909 3,099 136,008 TRUSTEES, REMUI¥ERATIOIY AND BENEFITS There were no trustees. remuntt8tion or other benefits for the year ellded 31 D¢c¢mber 2023 nor for thc y¢ar ended 31 December 2022. TRusfEES' EXPENSES There were no tnees. expenses paid for the year ended 31 December 2023 n(r for the year ended 31 December 2022. STAFF COSTS The average monthly number of eujployees during the year was *% follows: 2023 2022 Chief F.xecutive Finance aTKI administration SpcLL.h and latwg¢ therapist Fixed tenn contra¢ts- project-delivery No employrts Teceived emohjments in exce&s of £60,000. Page 8 conlinued...
THE BURY SPEAKEASY CLUB NOTES TO THE FINANCIAL STATEMEiYfs_ eontlnued FOR THE YEAR EIWED 31 DECEMBER 2023 TANGIBLE FIXED ETs Computer equipment COST At l January 2023 and 31 December 2023 17J55 DEPRECtATIOIY At l January 2023 and 31 December 2023 iS458 NET BOOK VALUE At 311)¢c¢mber 2023 IW7 At 31 December 2022 1,897 Listed investments At l January 2023 Additions Revaluations 27297 39,999 At 31 Ikcember 2023 71,678 NET BOOK VALUE At 31 D¢mber 2023 71,678 At 31 Dec¢ber2o22 27297 There were no invostment assets outside the U Cost or valuation at 31 Decemkn 2023 is wesented by: Llsted Investments Valuation in 2023 Cost 4J82 67296 71,678 I Page9 continu¢(L..
THE BURY SPEAKEASY CLUB NOTES TO THE FINANCIAL grATEMEKfs. continued FOR THE YEAR ENDED 31 DECEMBER 2023 io. DEBTORS: AMouNfs FALLING DUE wrrHIN ONE YEAR 2023 2022 Irade debtors 1,1 1,210 11. CREDITORS: AMOUNTS FALLING DUE wrnItN ONE YEAR 2023 2022 1,500 12. Net ovemenl in funds Tr8nsf¢rs tween fid5 Al 31.12.23 At 1.1.23 UnThstrl¢ted funds General lund 73J57 16W4 14748 104699 Restricted fund8 European s11 Fund National Lottery Spegk Up Opa3tiollal Deliv¢ry Network(Str(A(e Greater Manche5ter} S(JllKe (Stroke quality improvernent for rehabilitation) Natiollal Lottery Co Vamcast 11ffi86 (42) (210) (11.644) 210 14 (3J14) (lJ64) 11,753 3&809 3207 IOJ89 3207 I3.6 53,517 {14748) 52805 8A993 7fj111 157,104 Net movement in funds, inchmled in the alxTrve as follows: tncoming Gains aDd Movement losses in funds expended Unrestrlcted fvnds General fijnd (52277) IW4 Restricted thnds European Social Fund Nation Lottery Speak Up SQuIlie (Stroke quality improvemeni for rehabililalion) National Lottery Core Vamcast (42) (210) {210) 89,974 41,973 (78221) (1164) (2,093) 11,753 3207 137248 {83,731) 53J17 TOTAL FUNDS 201,737 (136,8) 70,111 Page 10 continueiL..
THE BURY SPEAKEASY CLUB NOTES TO THE FINANCIAL STATEMENTS- continued FOR THE YEAR ENDED 31 DECEMBER 2023 12. MOVEMENT IN FUNDS. Condnued Comparatfves for movement In fvnds Net movement in ti]nds Trdnsfers between At 31.12.22 At 1.1.22 Unre8tr1cted funds General fund 96,239 (26,619) 3,737 73,357 Restrleted fuDd8 Awards for All F.uropean s(lai Fund National Lottery Spe£k Up National L(Ktery SpeasY at home Operdtii)nal Delivery Network(Slroke Greater Manchester) S(Sle (Stroke quality llnprovement for rehabilitation) (2,892) 11.686 6,692 (63) 2,892 11.686 (6,692) 63 2,445 3,314 {1.364) (1,364) 16.504 (3.737) 13,636 T(yfAL FUNDS 97,108 {10,115) 86,993 Comparative net tllovement in fimds, included in the above are as follows: Incoming lY5(A¢S ReSoUeS Gains and ¢xpended lo&ses Move¢Al ill fimds Unrestricted funds Generdl fund 38.828 (61,732) (3.715) (26.619) Restrlcted fund Aw8rds for All Ewan Soctal Fund Nati(MTral Lottery Speak Up Nati31 Lottery SY at home Operational Delivery Network(Stroke Greater Manchester) SI)Re (Srroke quality improvement for rehabilitation) (2,892) (3,314) {29,968} (63) (2,892) 11,680 6.692 (63) 15,000 36,660 4,000 (1,555) 2,445 (1,3fv1) (1,364) 55,660 (39,156) 16,504 TOTAL FUNDS 94,488 (100,888) (3,715) (10,115) Page 11
THE BURY SPEAKEASY CLUB NOTES TO THE FINANCIAL STATEMENfs . eontlnued FOR THE YEAR EIYDED 31 DECEMBER 2023 13. RELATED PARTY DISCLOSURES were no releapaty transtI$ for the year ended 31 Decemlxr 2023. Page 12
THE BURY SPEAKEASY CLUB NOTES TO THE FINANCIAL STATElktEiYfs- CODtiDued FOR THE YEAR EIWED 31 DECEMBER 2023 12. MOVEMENf IN FUTh . Conned Comparatlves for movement in funds Net movement in fim(ts Transfers betwee fiujds At 31.12.22 At 1.1.22 Unrestrlcted funds General fund 96.239 {26.619) 3,737 73,357 Restrlcted funds Awards for All European Social Fund National Lottery Speak Up National LotLery Speakeasy at home Operational tklivery Network(Str(the Greater MaDchestcr) S(SllRe (Stroke quality improvenient for rehabilitation) {2,892) 11,686 6,092 (63) 2,892 11.686 (6,692) 63 2,445 3,314 {1,364} (1,364) 16,504 (3,737) 13.636 TOTAL FUNDS 97.108 (10,115) 86.993 Con]parative net movement in funds included in the above are as follows: Incoming Gains and losses Movement in fimds Unrestrleted funds General fimd 38,828 (61,732) (3.715) (26,619) Restrietsj ndS Awards tor All European Social Fund Nlon21 Lottery Speak Up National Li)ttery Speakeasy at ho¢ OperatiOn21 Delivery Network{Stre Greater Maochester) SQulRe (Stroke qlIty improvement for rehabilitstion) (2.8W2) (3.314) (29,968) {63) (2,892) 11,686 6,692 (63) 15,( 36.660 (1,555) 2,445 (1,364) (1,364) 55,660 (39.156) 16,504 TOTAL FUNDS 94,488 {l(X),888) (3,715) (10,115) Page 11 continued...
THF BURY SPFAKEASY CLUB DETAILED sfATEMENf OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 DECEMBER 2023 2023 2022 DonatiODS subscriptions and grants Donations 2694 146947 11061 8.191 68,460 8,038 Subscriptions 179,502 84.689 Other tradlng acdvltk8 Fun(hising events Training and eXrtiSe Other incorne 3287 6260 140 12229 21,233 9,687 lttve8tment kneome Deposit account inter¢st 112 Tiital incoming resources 201,737 94,488 EXPENDTTURE Charitable aetivities Wages Rent rdtes n)om hire Utilitl¢S Postage printtllg stationery and advertising Advertising alld maAieting Sundries Stat]"travel Office software equipment and support fees Computer el1pment deprecion oirice repairs and maintenance 107,081 13,520 ijoi 852 72,5 12,955 699 273 595 1,768 150 7.202 632 146 1138 3J38 177 132,909 97,325 upwbrt costs Management 1,458 128 1,247 540 Bookkeeping Accountancy Independent examinatson fe¢s 3389 3,373 Fillance Bank CheS (190) 190 This page doe5 Dot forni part ofthe thtutory financial statements Page 13
THE BiJRY SPEAKEASY CLUB DETAILED STATEME OF FINANCL4L AcrIvrriES FOR THE YEAR ENDED 31 DECEMBER 2023 2023 2022 Total SoUrceS cxpended 136,008 l(X),888 Net income/(expendllure) before gains and ISe$ 65,729 (6.4(X)) ReaJh¢d recogni8ed galns and Iix&qe8 Unrealised gainoSSeS m red asset investments (3,715) Net ineomel(expeDditure) 70,111 (10,115) This page does not forni of the stattttory 0¢181 statellts Page 14
The Bury Speakeasy Club 11 Princes Court Silver Street Ramsbottom Bury BLO 9BJ P B Syddall & Co Chartered Accountants Grafton House 81 Chorley Old Road Bolton BLI 3AJ Dear Sirs, THE BURY SPEAKEASY CLUB We confirm to the best of our knowledge and belief, and having made appropriate enquiries of other trustees and staff of the charity, the following representations given to you in connection with your review of the charity's accounts for the year ended 31 December 2023 We acknowledge as trustees our responsibility for the accounts, which you have prepared for the charity. All the accounting records have been made available to you for the purpose of your review and all the transactions undertaken by the charity have been properly reflected and recorded in the accounting records. We confim thatthere have been no changes in the accounting policies. In our opinion, the accounting policies are appropriate to the charity and conform with generally accepted accounting principles. We confirm that all transactions and balances have been accounted for in accordance with these accounting policies. We confirm that all assets have been included in the balance sheet. We confirm that all assets included in the balance sheet exist. We confirm that the charity owns all the assets included in the balance sheet, unless otherwise ststed In the accounts.
We conflrm that the cost (or value) of all the assets in the balance sheet are fairly ststed. We confirm that depreciation has been provided on all fixed assets with a limited economic life in accordance with the stated accounting policy. In our opinion, the rates of depreciation are reasonable. We conflrm that all liabilities have been fully recorded in the balance sheet. We confirm that all liabilities recorded in the balance sheet are properly those of the charity. We confirm that all liabilities have been recorded at a fair value. We confirm that there has been no netting off of assets and liabilities. We confirm that all income has been fully recorded and correctly classified. The charity has not at any time duringthe year had any transactions with trustees and connected parties. The charity has no contingent liabilltles. There ha5 been no event since the balance sheet date which requires disclosing or which would materially affect the amounts in the accounts. The charity has not entered into any charitable commitments. The charity has received grants during the year that are restricted funds. At the balance sheet date the following funds were still available to be utilised next year . National Lottery Core £38,809 The SQulRe fund £10,389 Vamcast £3,207 Yours sincerely Signed on behalf of the board D Morton - Chalr of Trustees Date . 7 October 2024