Compaiiy registration nuniber.. 02?94554
Cliarity registratioii nLimber'. 800849
Huntingdon, Peterborough and Cambridge MS Therapy
Centre Ltd
(A coiiipaiiy liinited by giiaranlee)
Annual Report ai?d Fiiiaii¢ial Slateii)eiits
for the Yeai. Ended .3 l Deceinber 2024

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Contents
Reference and Adininistrative Details
Triistees, Report
Staleiiient of Trustees, Responsibilities
Iiidependenl Exainii)er's Report
Slatement olFinancial Activilies
Balance Slieel
Notes to the Financial Statemeiits

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Reference kind Administrative Details
Ch#rity Registration Number
800849
Compliny Registration Number
02294554
The charity is incorporated ii) Eiigland and Wales.
Bi?dbury Hoiise
Mayfield Road
Huntiiigdon
Can)bridgeshire
PE29 IUL
Registered Office
Independent Examiner
D A Green & Sons
Chartered Certified Accoiinlanl
l? The Broadway
St Ives
Caiiibridgeshire
PE27 5BN
Page I

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Trustees, Report
The trustees, who are directors for the purposes of comparly law, pi'esent Ilie annual report together with the
rinancial stalements of the charitable ¢ompany for the year ended 31 December 2024.
Objectives and activities
Objects nnd aims
The Inain aims of the MS Tl)erapy CeiitrL are to piovide aid and iiiiprove tlie eondition of those suffering from
Mulilple Sclerorsis (MS) and other neurological eondilions.
The Cliarity has the geiieral aim of iniprovong tlie quality of life of ai)yone affected by MS or another
iieui'olgieal condilioii. Ihis help extends lo tlieir faniilies aiid ¢arers
Trustees An(1 officers
The Iru5tees ind offi¢ei's serving during the year and since the year end were as follows..
TrLlStees:
NJCBJker
Mr T J Bai'ke
l F Scoti
Mr5 S Hollis
S Docheity (appointed l O De¢einber 2024)
'I'he annual report was appiovcd by the triistees of the charity 011 27 March 2025 and signed 01) its behalf by..
rke
Ti'iiste
Page 2

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Statement of Trustees, Responsibilities
The Iruslees (who are also the directoi's of Huntingdoii. Peterborough and Cambi'idge MS Thei'apy Centre Ltd
for the piirposes of coiiipany law} are I'espoiisible for pi'epai'ing the triistees, repoil aiid the financial slaleinents
in accordance witli applicable law and United Kingdoni A¢coLinting Staiidards (United Kingdom Generally
Accepted Accounting Practice), incliiding FRS 102 'The Finaiicial Reporting Siandard applicable in Ilie UK and
Republic of Irelaiid"
Conipaiiy law requires the truslecs lo pi'epare fii)ancial slaleineiits for eacl) fiiiancial year. Under company law
Ihe Iriistees miist not appi'ove tlie fiiian¢ial stat¢iiients iiiilcss they al'e satisfied tlial Iliey give a triie and fail. view
of the stale of affair5 of the cliaritable coiiipany and of Ilie incoming resources and application of resources,
including its income and expcnditiire. of ihe charitable company for that period. In prepai'ii)g ihese financial
stalenients, the trustees are reqiiired 10:
s¢le¢l suitable accouiitiiig policies aiid apply them coi)sistently'
observe the Inethod5 and principle5 in the Charities SORP.
make judgemei)Is and estimates tliat are reasonable ai)d priideiil;
slate whether applicable accounting? standards, coinprising FRS 102 have been followed, subjeLt lo ai)y
material departures disclosed and explained in the financial stalemenls. and
prL'pare the fiiiaiicial slalemLiils oli tlie gFoiiig concerii basis uiiless it is inappropriate to presuiiie that Ilje
cliai'ilable conipaiiy will Lonliiiue iii business.
The li'iist¢es (ire responsible for keeping piop¢r accoiiiiling recoi'ds that can disclose with reasonable acciiracy at
aiiy tinie the fii)?I iicial pcisitioii of tlie cli(1ritable conip2c ny aiid eii¢ible iheiii lo eii8111'e that the fiiiai)cial slaleiiients
coiiiply willi the Compaiiies Act 200(). Tliey are also ￿SPOnsIble for safe¥Liardii)g the assels of the charitable
oiiipaiiy ai)d lieii¢e for takiiig) reasoi)able 51eps for Ilie preveiilioi) aiid deleclioi) of fraLid aiid otlier irreg?ularilies.
Thc trLislees al'e responsible f(Ir Ilie liiiqi1ilL'iiance and integTrrity of Ihe coi'porale and finaiici<l1 infoi'iiiation
incliided on the charillible coiiipany's websile. Lebiislalion goveriiing Ilie preparalioii lid dissemination of
financial statemei)Is may differ froin legyislatioii it) oihei. jLlI'isdictioiis.
Approved by the Iriislees of the cliarily 011 27 Marcli 2025 and signed on its behalf by:
arke
Ti'uslee
Page 3

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Independent Examiner's Report to the trustees of Huntingdon, Peterborough and
Cambridge MS Therapy Centre Ltd ('the Company,)
report lo the cliarity trustees on my exainiiialion of the aecounls of the Coillpaiiy for the year ended 31
DeLeinber 2024.
Responsibilities and basis of i'eport
As Ilie cliarity's trustees of tl)e Coi)Ipaiiy (aiid also its directors for the purposes of coiiipaiiy law) you are
respoi)sible for tlie prepai'alion of the accouiits iii accordance with the requiremeiils of the Compaiiies Aet 2006
I'ihL ?006 Act,).
Having satisfied myself that ilie aceoiinls of the C.oinpany al'e not reqiiired to be aiidiled Liiider Part 16 of Il)e
2006 Act aiid are eligible for ii)d¢p¢iideiil exaniiiialioii. I report in respect ot. niy exaiiiinatioii of yoiir cliarily's
accoui)Is as carried OLII ui)dei' se¢lioii 145 of the Cliarilies Act 2011 ('the ?01 l Act,). In carrying out my
exaiiiinatioii I have followed Ilie Directi011s given by Ilie C.l)arity Coniiiiissioii linder section 145(5)(b) of the
2011 Act.
Inilependent examiner's statemcnt
I have completed my exainiiiation. I confinn that no matters have come to my attention in connectioii with Il)e
exaininatioii giviiig me ¢aiise to believe..
accoiinliiig records were not kepl in respecl of HLintingdon, Peterboroiigh and Cainbridge MS Tlierapy
Ceiitre Lid as reqiiired by seclion .186 ot'ihe 2006 Act. or
2. tl)e a¢coiiiils do iiol accord willi tliose records. or
3. tl)e acc()Iiiils do iiol comply with the accoui)Iii)g reqiiiremeiils of section 396 of the 2006 Act other than
any rc(ILiifLiiieiil Ilial IIIL accc)Linls give a 'lriie and fail. view, which 15 not a matter considered as part of an
ii)dcpLiidciJt e.Yai)iii)?£ tioi),. or
4. tl)e accouiils l)ave i)ol b¢¢ii prepai'ed iii accordaiice witl) Ilie iiietliods and priiiciples of Ilie Stateinei)l of
Reconiinended I'rftLli¢e foi. a¢¢oiintiiigy and repoi1iiig by charities lapplicable lo charilies pi'epi< I'il)g Ilieir
acLoiinls 111 <icciirdaiice willi Ilie Financial Reporting Siaiidai'd applicable in Ilie UK and Repiiblic of
Ireland (fRS 102)].
)ave no coiieeri)s aiid l)ave coiiie across iio oilier iiiatters iii coi)i)ectioi) witl) tl)e exaii)iiialioii lo wlii¢li alleiilioii
should be Ili'awn in this report iii ol'der to enmble a proper undei'standiiig of the accounts lo be reached.
Jason Greei)
Cliilrtered Certified Accountanl
12 Tl)e Broadway
Si Ives
Canibi'idgesliire
PE27 5BN
31 March 2025
Pllge 4

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Statement of Financial Activities for the Year Ended 31 December 2024
(Including Income and Expenditure Account and Statement of Total Reeognised Gains
and Losses}
Unrestricted
fuDds
Restricted
funds
Total
2024
Note
Ineoine And Endowments from:
Donatioiis and legjacies
Otlier trading activilies
Iiivestn)enl income
13.019
81.286
778
13,019
81,286
778
Total iiicome
9.5,083
95.083
Expenditure on:
Raising fLllids
Cliaritable activities
23,587
60,321
40,378
40.-378
Total exp¢i)ditiir¢
77,112
23.587
100,69()
Net iiicoiiiel(expeiidilure)
17,971
23,587)
(5.616)
Nel iiiovemei)l ii) fliiids
17,971
123,587)
(5,616)
Reconciliation of funds
Total tiiiids brought fonvai'd
391,555
477,885
Total fiiiids Carried foi'ward
104,301
367,968
ReslriL'ted
funils
472 ?69
Total
2023
Uni'e5tricted
fundb
Note
Incoine #n(1 Ei ndowments from:
Doiilllioi)s ai)d legacies
Otlier tra<lii)g activities
Inveslmenl IllLomL
13,438
80,512
13,438
80,512
Total in¢oii)e
94,386
94,386
Lxpeiiditiire on:
Raising fLinds
Charilable Rclivilies
40,148
57,214
23,587
63,735
57,214
Tolal expeiiditure
97,362
23,587
120,949
Nel expei)diliire
(2,976)
(23.587)
(26,563)
Nel Inoveineiit in fui)ds
(2,9761
(23,587)
(26,563)
Reconciliation of funds
Tolal fiiiids bi'oiigl)I foi'ward
89,306
415.542
504,448
Total fuiids carried foNard
Tlie fiinds breakdowi) for 2023 is showii in iiole 9.
-391,555
477.885
The iiotes 01? pages 7 to I I foriii ali integral part of iliese finaiicial stateineiils.
Page 5

Huntingdon, Peterborough and Canibridge MS Therapy Centre Ltd
(Registration number: 02294554)
Balance Sheet as at 31 December 2024
2024
2023
Note
Fixed Assets
Tangible assets
430.292
459,108
Current assets
Debtors
Cash at baiik and in hand
1,756
64,299
33,958
66,055
35,073
Creditors: Amounts fAlling due within one yeAr
24,078)
{16.296
Net Current asset$
41.977
18,777
Net assets
472,269
477,885
Funds of the charity:
Restricted income funds
Restri¢ted fiinds
367.968
391,555
Unrestricted income funds
Unrestricted funds
104,301
86.3.30
Total funds
472,269
477,885
For the fiiiancial yeai- endiiig 31 Deceml)er 2024 Ihe LhLi I'lly was entitled lo exemption from audit linder section
477 of the Coimpanies Act ?006 relaliiig lo simall coiiipaiiies.
Directois, responsibilities..
Tli¢ iiieinbers liave nol requii'ed Ilie cl)arily lo obtain ali audit of its accollllts for Ilie year iii que51ioii in
accordaiice witli seclioii 476. aiid
ThL directors acknowledge Ilieir responsibililies for coinplying willi Ihe requireinents of tlie Act with respect
to accoiii)lii)g records aiid the preparalioi) of accoiii)Is.
Tlie finaiicial slaleinLiils oli pagThes fj to I I wei'e approved by tlie trLlStees, and aiiihoi'ised for issue on 27 March
2025 aiid signed on their belialf by..
arke
Trust
The notes oli pages 7 to I I form ai) iiitegi'al part of tliese fiiiaiicial stateni¢nls.
Page 6

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Notes to the Financial Statements for the Year Eiided 31 December 2024
l Aceounting policies
Summary of sigiiifie#nt aecountinE policies and key accounting estimates
The principal accoiinling policies applied in the preparation of these financial statements al'e set out below.
These policies l)ave been ronsist¢ntly applied to all the years presented, unless otherwise 51ated.
Statement of eoinpliance
I'l)e finiiiicial slalLII)Liils liave been prepared in accordance with Accounting aiid Rei)orling by Cliarities:
Sialeineiit of Recoiiiiiiei)ded Practice (applicable to cl)arities prepariiig tlieir ac¢oiiiilS in accordai)ce witli Il)e
Financial Repoiting Standard applicable in th¢ UK and llepublic of Ireland IfRS 1021) (issued in Oclobci. ?0191
(Charities SORP IFRS 102)), the Financial Reporiinb, Sianddrd applicable in Ihe UK and Repiiblic of Irelaiid
(rRS I O?) ai)d Ihc Cci1)Ip1￿ iiies ALI ?006.
Basis of prepii rAtion
HLllltingdc)ii, Peterborougli aiid Caiiibridge MS Therapy Ceiitre Ltd n)eets tlie defiiiilioi) of a piiblic bei)efit
ei)lily iiiider fRS I O? Assets aiid liabilitlc5 3r¢ iiiilially recogiiised al historical cost or transaction valu¢ unless
oilieN'ise slatLd in Ilie I'eluvaiil aciouiiliiiu policy iiolcs.
Going concern
The trlislees considei. that there are no Inalerial iiiicertaiiities aboLlt the chai'ity's ability to conliiiiie as a goii)g
coiicerii iior aiiy sigiiificant area5 of Liii¢ertl( inty Ilial affect the cairying valiie of assets held by Ilie Charity.
Income and endowments
All incoiiie is recii8nisL.d once Ilie charity lias eiitiilemenl to the income, it is Pi'obable that the income will be
received ai)d Ilie aiiioiiiil of the iiicon)e I'eeeivable cali be iiiLMsiired reliably.
E%i)enditure
All expei)ditiire is recogi)iscd c)iiee Iliere is a legal oi. coi)striiclive obligatioi) lo tl)al expeiidilLifL, It is pi'obic ble
seiileiiieiit is requircd aiid Ilie ai)ioiii)l Lan be iiieiisiired reliably. All costs are allocated lo Ilie i?pplicable
expeiiditiii'e l)eadiiig tl)al aLgre&icile siiiiilar costs lo Ilial calegory. Where costs clliinot be directly allribliled lo
parliciilar lieadiiigs they liave beeii xlloealed 01) a basis Loiisisleiil with Ilie iise of I'esour¢es, willi cei)Ii'al slaff
costs allocated on the basis of liiiie si)enl. and depi'ecialic)n ch￿l.￿leS allocated on the portion of Ihe asset's use.
Other siipporl cosls are allocated based on tlie spread of st16 ff ¢osl3.
Governance costs
These inclLide Ilie costs altribiitable to tlie Cliai'ity's ¢oiiiplixiice with constitiitional ai)d 5tatiitory reqiiirements.
ii)cludiiig audil, strategic Inanageiiieiil and trustee5 iiieetiiigs ai)d reimbiirsed expenses.
TAXation
The cliarily is exeimpl from coi-poralion tclx on its cliaritable Llctivities
Depreciatlon 44nd Inoi'tiSl¥ tioii
Depi'eciatioi) is provided oli taiigible fixed assets so as lo ivrite off il)e cost or valiiation, less ai)y estiniated
residual value, over tlieir exi)ected useful ecoiioinic life a5 follows..
Page 7

Huntingdon, Peterborough and CambrRdge MS Therapy Centre Ltd
Notes to the Financial Statements for the Year Ended 31 December 2024
Asset class
Short leaseliold
Plant and machinery
Depreciation method and rate
Over Ilie remaii)iiig lease terin
Straight line over 15 years
Cash and cash equivalents
Lasli and cash equivalents comprise cash on hand and call deposits. and other short-tei'm hi&Fhly liquid
iiiveslments that are readily convertible to a known amoiint of cash and are Slibject to an iiisignificant risk of
cliange in valiie.
Fuiid structure
Ui)re51ricted iiicome funds are geiieral fiiiids that are available for use at the truslees discretioii iii fiirtheraiice of
tlie objectives ot'tlie cl)arily.
Restricted inLC)Iiie fuiids al'e tliose doiial¢d for Lise in a paiticiilai. area or for speLific PLltposes, the use of which
is resli'icled lo Iliat area or piirpose.
Pensions ond olher post J'etirement obligatj0115
Tl)e charity operates a defii)ed coi)Iribiition peiisioi) scl)ei))e wliicli is a peiisioii plai) Lll)der wliicli fixed
coiili'ibuliuiis arL paid ii)lo a pLiisioii fuiid and Ilie Lhai'ity lias no lesyal or eonsli'tlLlive obl ig)alioi) lo pay fLlI'iher
contriblltions evLn if Ihe fiii)d doe5 not liold siifficiei)t assL'15 to pay all ¢inployees 11)e benefits relaling) lo
einployee service iii the ciirrent and prior periods.
Conli'ibiilioiis to defiiied coiitribiilioii plaiis are recognised iii Ili¢ Statemeiil of Fii)aiicial Activities wheii Il)ey are
diie. If Coiitribiilioii payiiieiits exceed Ilie conlriblltioii diie for service, tl)e excc5s is recogiiised as a prepayiiiei)t.
2 Net iiicoiningloutgoing rcsoui'ces
Nel Olilgoiiig I'esoiirces foi. Ilie yeai- incliide..
2024
2023
Depreciation of fixed assets
28,760
28.81 ()
3 Trustees I'emuneralion and expenses
No Ii'LlStees, iior any persons connected willi tl)em, have i-eceived any Iriiiiineralion froin tlie charity diirin8 the
year.
Page 8

Huntingdon, Peterborough and Can)bridge MS Therapy Centre Ltd
Notes to the Financial Statements for the Year Ended 31 December 2024
4 Staff costs
The monthly average nLiinber of persons (inclLidiiig sciiior maTragement / leadership teani) employed by the
cliarity diiriiig the year expressed as fiill titne eqiiivaleiits was as follows..
2024
2023
Adiiiinislralioii
No einployee received emoluments of niore Ihaii £60,000 dLlI'ing tl)e year.
Page 9

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Notes to the Finai)cial Statements for the Year Ended 31 December 2024
5 Tangible fixed Alssets
Land and
buildings
Furniture And
equipment
Total
Cost
At l JaiiLiary 2024
926,980
119,514
1.046,494
At 31 De¢en)ber 2024
926,980
119,514
1,046,494
Depreciation
At l January 2024
c.harge for the year
Eliminaled on disposals
At 31 Deeeniber 2024
502,902
23.587
84,911
5.173
(371)
587,813
28,760
(371)
526,489
89,713
616,202
Nct book Vii lue
At .3 l DeLeinl)er 2024
400,491
29,801
4.10,292
At 31 Dee¢i)Iber 2023
4?4,078
458,681
6 Debtors
2024
2023
Trade debtors
Pi'epayineiits
Other debtors
1,021
179
556
1,057
58
1,756
7 Cash e*$h equivalents
2024
2023
Casl) oli hai)d
Ca51) al baiik
150
64,149
25?
64,299
Page 10

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Notes to the Financial Statements for the Year Ended 31 December 2024
8 Creditors: amounts fAlling due within one yeAr
2024
2023
Trade creditors
Other laxation and social security
Oiher creditors
Accruals
2,813
2.492
18,807
2,458
11,404
1,815
24.078
16,296
Other creditors include £11,050 12023 £nil} in respeci of iinspenl funds froiii a reslriclLd fund liability for a
Sport Englaiid A ward. This cxp¢ndilLlI'e is expected to be incurred in full in the year to 31 December 2025.
9 Funds
BAlance at 31
December
Balanro ot I
Janullry 2024
Incoming
resources
Resources
expen(led
2024
Unrestricted funds
Geiieral
9.S,083
(77.1121
104,301
Restrie¢ed fuiids
391.555
(2.1,5871
367,968
Total fuiids
477,885
(100,6991
472,269
Baliiiice At 31
Deceniber
Balance At I
January 2023
Iiic'.oining
resources
RL'SOIII'L'LS
expended
2023
Unrestricted funds
Geiieral
94,386
(97,362)
Restricte(I fiinds
415,142
(21,5871
391,555
Total funds
504,448
94,-386
(120,949)
477,885
Page 11

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Statement of Financial Activitie5 by fund for the Year Ended 31 December 2024
Unrestricted Funds
I"otal
Total
Ilnrestricted Unrestricted
Funds
Funds
2024
2023
Income and Endowments from:
Donations and legacies
Other tradiiig activities
Invesliiieiit iiicome
13,019
81.286
778
13,438
80.512
436
Total ii)come
95,083
Expenditui'e on:
Raising fuiids
Charilable aclivities
40,148
57.214
40,378
Total expei)diliire
Net incoin¢l(expendilui'e)
Nel rnoveinenl iii fiii)ds
17,971
{2.976)
17,971
(2,976)
ReconciliAtion of funds
Total fuiids broiighl forward
86,.330
Total fiii)ds carried forward
104,301
86,-3.30
This page does not fom part of ihe slatuloiy fiiiancial staleineiits.
Page 12

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Statement of Financial Activities by fund for the Year Ended 31 December 2024
Restricted Funds
Total
Restricted
Funds
2024
TotAI
Restricted
Funds
2023
Inconie and ndowments from:
Expenditure on:
Raising fuiids
23,587
23.587
Total expenditure
23,587
23,587
Net expeiiditiire
ReconciliAtion of funds
(23.5871
(23,587)
I'olal fiinds broiigiht foi'ward
391,5.$5
415,142
Total fLlI)ds carried forward
-367.968
391,555
This page does not form parl of the statutory fiiiancial stalenients.
Page 13

Huntingdon, Peterborough and Cambridge MS Therapy Contre Ltd
Detailed Stateinent of Financial Activities for the Year Ended 31 December 2024
Total
2024
Total
2023
Income And Endowments from:
Donations aiid legacies lanalysed below)
Other tradii)g activities {aiialysed below)
Inveslniei)t ii)come (aiialysed beloiv)
13,019
81,286
778
80,512
Total income
95,083
94,386
xpenditure on:
Raisiii¥ fund5 {analysed below)
c.haritable a¢tiwities laiialysed below}
60.321
40,378
63,735
57,214
Total expei)dilLire
100,6()9
120.94()
Nel expenditiire
(5.616)
(26,563)
Net movement in fiiiids
(5,616}
{26,563)
Reconciliation of funds
Total fuiids broLighi forward
477,885
504,448
Total fLiiids carried forward
472,269
477.88.5
This page does iiol foi'm pait of tlie statiitory financial statemei)Is.
Pag¢ 14

Hllntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Detailed Statement of Financial Activities for the Year Ended 31 December 2024
Total
2024
Total
2023
Donafions und legocies
Donalioiis ai)d gifts
Meniber subsci'iptions
11,748
1,690
2.634
13,019
13,438
Otlier li'M(linx Iiclivilies
Reiilal ii)come
Other incoine
68,824
12,462
68,922
11,590
81.286
80,-512
Inveslmenl income
Interest oil cash deposits
778
436
778
436
RaiJingfunds
Relit
Rates
1.250
3,052
459
12,742
4,221
192
6,278
762
390
67
1.200
1,250
Water rates
Ligl)I, l)eat and power
Iiisui'aiice
C enti'e costs
Eqiiipiiieiit repairs aiid reiiewals
Teleplioiie aiid fax
Coiiipiiter softw31'e aftd Inaintei)aftce costs
Siiildry exp¢i)ses
Accouiital)Ly fees
Biid debts wi'itten off
Baiik cl)arges
Trade SLibscriplioi)s
Depreciation of sliort leaseliold property
Depreciatioii of plaiil ai)d ii)achii)ery
Depreciatioii of fixlLires Riid fillii)gys
Depreciation of office equipiiient
498
12,136
3.848
520
8,962
901
1,039
202
1,200
578
408
540
23,587
1.920
2.837
416
406
173
23,587
1,920
2,837
475
60.321
This paLJe does not forin parl of the slalutoiy fiiiancial statenieiits.

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
Detailed Statement of Financial Activities for the Year Ended 31 December 2024
Total
2024
Total
2023
Charilable aclivilies
Oxygen
Otlier direct costs
Wages and salari¢5
Staff NIC (Employers)
Repairs and renewals
Cleaiiiiig
{Pi'ofitllloss on sale of iangible fixed assets lield for ¢harily's own iise
Siafl- peiisioiis (Defiiied coiitribution) - pei)sioi) scli¢n)e I
9,734
12,800
26.2.34
42.232
12.2921
2.124
853
4,741
828
57
(1,216)
959
40,-178
57,214
This page does not form p31.1 of the statutory finaiicial slatemenls.
Page 16