REGISTERED CHARITY NUIfiBER: 802873
Report of the Tru8tees and
Unau(frted Flnancial Statsments for the Year Ended 31st August 2024
Ferry Road Nurnory
N.C.N.M. Accountancy Llmited
Chatwed Ac(>)unt8nts
The Lodge
93 Nomianston Drivo
Oulion Broad
Ltrwestoft
Suffolk
NR32 2PX

Fa￿ Road Nursery
Contents of tho Flnanclal Statements
for tho Year Ended 318t August 2024
Report of the Tn
1 to 3
Indopend•nt Examlnorf8 Rewi
Stat•ment of Flnanelal A¢iivttle8
Balan￿ 8h06t
Not•0 to th• Flnanclal Statwn•nts
7 to 14
Dotalled 8tatom•nt of Flnanolal ktfvttlo8
15 10 16

Ferry Road Nursery
Report ol the Tru8toes
forthe Year Ended 31sl August 2024
The trustees present their feport with Ihe financlal statements of the charty for the year ended
31st August 2024. The trustees have adopted the provlsk)ns of Accounting and Reportlng by Charits9s.'
Statement of Recommended Practice applicable to charitles preparing their accounls in accordance with th8
Financial Reporting Standard app15cable in the UK and Republlc of Ireknd {FRS 102) (effective 1 January
2019).
OBJECTIVES AND ACTIVITIES
ObJeGtlves and aims
The object of the Charity is to provide safe and satisfylng group play for the promotton of the education of
children frorn three months to five years of age and to prepare chlklren ft)r malnstream schod In conformity
with HDCUF criteria.
Public b8noflt
In plannlng our actlvltles for the year. kept In mind the Charlty Ct)mmlsslon's gutdanGe on publlc benefit
At Ferry R¢)ad Nursery, our activitles are designed to:
- provide a happy. safe, wami and stlmulatlng envlronment where chlklren can play, bam and develop freety.
help children to develop responslbility for themselves and their actions - and to becorne ¢ompet8nt,
Independent and cO￿peratIVe indfvlduals.
- encourage chlldren to have a posltlve attttude and respect for themsebles and others.
- promote a posillve relatlonshlp wlth parents and carers - and work In partnershlp wlth them to provlde hlgh
quality play and care for their ohildren.
- offer inclusive seNlces that are accesslble to dl chlldren.
- undergo regular monitorlng and evaluailon of the Nursery to ensure we continue to meet the ne&ls of all
chlldren. parent8 and carers.
These activities promote all areas of tha Earty Years Foundatlon stsge and benefit the chlldren ty developlng
thaif 88lf-confidence and soclal skills, and ultlmatsly preparing them for school. We wplcoff* alt chlldren
aged between three months and fiv8 years, living In Rye arKI Ihe surrounding area, regardless of personal
background. falth, gender or personal drcum5tances.
Voluntears
All our Volunteers play a slgnlficant role Sn fund ralslng activitle3 whlch is es8entlal to provkle addiyonal
rinanclal support This enables the Nursery to purchase new leamlng equlpment and materlals to akl the
children's educatlon and enjoyment Thank you to everyone for your v81uable support.
ACHIEVEMENT AND PERFORtaANCE
Charltabla actlvltles
Another 8ucee88ful year for the Nursery wlth all rooms running at good numbers.
The impTovements to lh8 layout on the ground ftoor last are worktng well - both staff and chlldren lové li
After almost 40 years, Jeanette declded to retire. She will be mlssed as a full tlme staff member, but be
on bank staff to help out ocwionally. Thank you Jeanette.
Throughout the year. the children had thelr usual vlsits and day out. In D8e8mber. aws a busy tlmo, the
Nursery had a lovely vSsit from Santa with h18 usual sack of glfts.
Summer was the time for our'leavers" day Irlp to Oruslllas. Thfs is afruays a lovety day - enjoyed by chlldren,
staff. and some paront helpers - a lot of organislng but worth IL
The trustees would Ilke to say a hu9e thank you to the Staff - thelr dedicatmin to the Nursery Is amazing.
Page 1

Ferry Road Nursery
Report of the Twsiee8
lor the Year Ended 31st August 2024
ACHIEVEMENT AND PERFORMANCE
Fundralslng actlvltle$
Always ongolng - it has become more dlfflcull over the years as all charltles are fighting for donatlons and
grants.
For our Chrfstmes raffle thls year we made11 a ' voucherf raffle, wllh donallons from local buslnesses and
supemiarkeis - all of whlch we Ihought bvould help winners with Chrislmas shopplng.
We are, as alwMy8, grateful for the support of the pa￿ntS and famllies of the chlklren attendlng the Nursery
and also the famllles of chlldren who attended Ihe Nursery In the past and people In IfE wlder communlty vtho
8W tum to 8UPPOrt us.
FINANCIAL REVIEW
Flnanclal p08111on
The flnanGlal results are reported In the attached accounts.
Pilnclpal lundlng 80urco8
East Sussex County Counc51 are our maln source of Early Year Fundlng - 15 funded hour8 for 3 & 4 year old8.
We a180 recelve extra fundlng to allow the Nursery to offer SEN'810 those Ghlldren wllh addl￿onal educational
needs. Somg parents are able to re¢elve extra fundlng due to thelr fln8nclal clrcumstances. The Nursery
8taff are very 8UPPOrtlve and help the parents to understand th95r entttlement. Prlvate sp8¢es are avallable
for those who are not able to recebve and financlal help. Wo 8ccornmod8te aN famllle8 regardles8 of flnanclal
clrcumstance8.
Re8erve8 poIIcy
It ts the pollcy of the Manogemant Commltteo to hold a mlnlmum re88M to cover at le88t one and a half
month8, 8alary c08ts.
Fundral8Eng ¢ontlnue8 to be Important for th• Nur88ry and wlll contlnue to enable u8 to keep updatlng and
Improvlng all facllltles.
Golng Concern
Tha Trustees have revlewad the finances of the Charfty and belleve Ft 18 8pproprlate io prepare these
accounts on a Golng C￿COrn ba818.
FUTURE PLAN8
M8klng mor• Improvemen18 to the Outslde area- th1818 a very expenslve project but we are makn'ng progre&8.
Out8lde play In very Important ts the nur8ery day, io eve[￿hIng has to be 8alety flrsL
Hopefully next year It will be completed.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Govemlng documont
Tha Charity 18 governed by Its Con8tiluilon dated 2 February 1990, rev18ed 2013.
Recrultm•nt and appolntment of now trust•O8
People Involved wlth the Charlty are requested to put theSr n8m88 foThYard to fill any vacancies on the Board of
Trn8tees. New Trustees are given tralning upon appolntmenL
Organlsatlonal structure
The Nur8ery Is adminlstered by a Management Commlttee, elected at (he Annual General Meetlng each year.
The Management Committee conslsts of three officern and a maxlmum of slx other members. At least
thlrds of the Committee have chlldren attending the Nursery at the tlme ol election. The Man8gement
Commlttee has the legal respon81bllitles of trustees.
Page 2

Ferry Road Nursery
Report of the Triistees
for the Ycar Ended 31st August 2024
STRUCTURE, GOVERNANCE AND MANAGEMENT
Rlsk management
The Trustees have a duty lo identify and review the rlsks to which the Charity is exposed and lo ensure
appropriate controls are in place lo provide reasonable assurance against fraud and error. The Management
Cornmittee place considerable importance on risk management. A policy on Health and Safety has been
established and this includes procedures on safety to avoid risks to both children and adults. It also provides
guidelines to mitigate their effect.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charlty niimber
802873
Prlncipal address
Ferry Road
Rye
East Sussex
TN317DN
Trustees
Mrs C Booker
Mis B Gasson
Miss E C Pendennis
Independent Examiner
N.C.N.M. Accountancy Limited
Chartered Accountants
The Lodge
93 Normanston Drive
Oulton Broad
Lowestoft
Suffolk
NR32 2PX
Bankers
Santander PLC
Bootle
Mersèyside
L30 4GB
MANAGEMENT COMMITTEE
Mrs L PenDennis (Chair)
Mrs E Donaghay-spire {Secretaryl
Mis D Keen (Treasurer)
Approved by order of the board of trustees on
.L.b..lo. .£, Izo?.a. a
nd signed on its behalf by..
Mrs C Booker- Trustee
Page 3

Independent Examinevs Report to the Truslees of
Ferry Road Nur¥ery
Independent examSnef8 report to the trustees of Ferry Road Nurnery
I report to Ihe ch8rtty Irustees on my examlnation of the accounts of Ferry Road Nursery (the Trust) for Ilie
year ended 31st August 2024.
Respon81bllltle8 and ba81s of report
As the charity trustees of Ihe Trust you are responsbi le for Ihe prepgialion of the accounls in accordance with
the requtrements of the Chwit*s Act 2011 (Ihe ACV).
I report in respect of my examlnat#)n of the Tntsfs ac(x)unts carrkd out under Sectk)n 145 of the Act and in
carrytng out my examlnation I have fo11th￿d all applIca￿e Directlons glven by the Charlly Commission under
Section 145(5){b) of the ACL
Independent examlnerfs stalement
Slnce your charitys gross Income exceeded £250.000 your examlner rnust bo a member of a Ilsted body. I
can confim) that l am qualIf￿d to undertake the examinalion l)ecause l am a member of the Insttiute of
Chartered Accwntants In England and Wales. whkh is one of the Ilsted bodies.
I have Completed my examinauon. l (xjnfwm that no materlel mattws have come to my atten￿On in connectKJn
*ith ts &¥amlnai#)n givlrwJ me cause to belleve that in any m*rlal respect
accounting records werè not kept in respect of the Tntst as requ￿￿ by Secllon 130 of the or
the accounts do not accord tlme r￿d8' or
the accounts do not compty Imth the appl￿ble requirements conceming fomi and contenl of
accounts set out in Ihe Charilies (AC￿Unts and Reports) Reguktlons 2008 other than any requlrement
that the accounts glve a tnR and f* vlew whlch is not a matter consldered as part of an Independent
I have no concems and have come aeAOSS no ther mat*rs In cornedbn with the examinatlon to whlch
attenllon should be drawn In thls report In order to enable a woper understanding of the accounts to be
Mr Ndl Cunliffe
The Institute of Chartered Accountants In England and Wale8
N.C.N.M. Accountancy Limlted
Chartered Accountants
The Lodge
93 Normanslon Drive
Oulton Broad
Lowestoft
Suflolk
NR32 2PX
Page 4

Feny Road Nur8ery
Statemenl of Flnanclal Actlvltles
for the Year Ended 31st August 2024
2024
Total
fund8
2023
Total
funds
Unrestrlcted R08tricted
fund
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
51
51
ChaTltable actfvltles
Pre4¢hool Playgroup
331,397
331,397
280,753
Other tradlng adfvitss
285
Total
331848
331h48
281,947
EXPENDITURE ON
Ralslng fund8
Charltabl• actfvltl•g
Pre4chool Playgroup
Trlps
330,261
962
27
3J1788
952
296,828
655
Total
331,213
527
333,740
297,383
NET INCOMEI(EXPENDITURE)
11627)
11292
(16,436)
RECONCILIATION OF FUND8
Total funds brwhl foNMrd
33.121
164996
188,117
203,$53
TOTAL FUNDS CARRIED FORWARD
33,366
151469
186,826
188,117
The notes forn) part of the88 fmanTral slaiernents
Page 5

Ferry Road Nursery
Balance Sheet
31st August 2024
2024
Total
funds
2023
Total
funds
Unrestytcted Restricted
fund
funds
Notes
FIXED ASSETS
Tangible assets
5.977
152,469
158,446
161.775
CURRENT ASSETS
Stocks
Debtors
Cash at bank and in hand
10
11
159
722
44.703
159
722
44,703
81
2,000
42.013
45,584
44,094
CREDITORS
Amounts falling due within one year
12
(18,205)
(18,205)
(17,752)
NEf CURRENT ASSETS
27,379
27,379
26,342
TOTAL ASSETS LESS CURRENT
LIABILITIES
33.356
1S2,469
185,825
188,117
NET ASSETS
33,356
152,469
185,825
188,117
FUNDS
Unrestricted funds=
General fund
Restricted funds..
Building Fund
Sensory Room
Healthy Eating & Physical Activity
14
33,356
33.121
151,940
66
463
154,291
88
617
152,469
154,996
TOTAL FUNDS
185.825
188,117
The financial statements were approved by the Board of Trustees and authorised for issue on
23106jioz
and were signed on its behalf by.
C Booker- Trustee
The notes form part of these financial slalements
Page 6

Ferry Road Nursery
Notès to thè Flnanclal Statements
for the Year Ended 31st August 2024
ACCOUNTING POLICIES
Basls of preparlng the flnanclal statements
The financlal statements of the charity, whlch is a public benefit entity under FRS 102, have been
prepared in accordance with the Charrties SORP (FRS 102) 'Ac￿unting and Reporting by Charlll
statement of Recommended Practice applicable to charitles prepartng thetr accounts In accordance
wilh the Flnancial Reporting Standard appllcable In the UK and RepubNc of Ireland (FRS 102)
{effecllve 1 January 2019),. Flnanclal Reportlng Standard 102 'The Flnancial Reportlng Standard
applicable in the UK and Republic of Ireland, and the Charlties Act 2011. The financial statements have
been preparnd under the historical cost conventlon.
Income
AEI In¢ome is recognI8ed in the Statement of Flnan¢lal Actbvities once Ihe charity has entitlement to the
funds, St is probabl8 that the Income wlll be recelved and the amount can b8 measured rellably.
Expenditure
Liabilitles are recognlsed as expendlture as soon as there is a bgal or ¢onstrucllve obllgation
committing the charlty to Ihat expendlture, it Is probable that a transfer of economic bgnefits will be
required in settlement and the amount of the obllgatlon can be measured reltably. Exponditure Is
a¢￿Unted for on an accrua18 basis and has been classifled under headlngs that aggregate all cost
related lo the category. Where costs cannot ba dlrectly attrfbuted to partIC￿ar headings they have been
allocated to actlvlueg on a basls conslstent with the usé of resources.
Tanglble flxed a88ets
Depreclatlon Is wovlded at the followtng annual rats8 in order to writa off each asset over its esttmated
useful Ilfe.
Improvements to propety
Long leasehold
Equlpment
Flxtures and r￿n98
10% on cost and Straight Iln8 ovèrthe life of the lease
stratght Ilne over the life of the lease
25% on reduclng balan
25% on reduclng balance
8tocks
stocks are valued at the lowar of cost and net realisable value, after maklng due allowance hr
obsolete and slow movlng iterns.
Taxatlon
The charity Is exempt from tax on its charltablo 8¢tlvltses.
As the majority of the Charitys activides are classified ag exempt or non-business for the purpose of
value added tax, the Charity Is unable to reclaim the value added tax whlch It suffers on its
expenditure. ExpendEiure Is therefore ghown incluslve of value added lax.
Fund aG¢ounllng
Unrestricted funds can be used in accordance with the chaTilable objedive8 8t the dlscretbn of the
trustees.
Restrfcted funds can onty bé used for partlcular restrlctéd purposes wilhln the objects of the charlty.
Restrlctlons arlse when Specified ty tha donor or when funds are ralsed for partlcular restrlcted
purposes.
Further explanation of the nature and purpose of each fund 1$ included In the notss to the financlal
slatements.
P￿Slon costs and other p08t-retlrnment benefits
Th8 charity operates a deflned contrlbutlon penslon scheme. Contributions payable to the charivs
penslon scheme are charged lo the Statement of Flnandal AGtNStles In the period io which they relate.
Page 7
continued...

Ferry Road Nursery
Notss to the Flnanclal Statements - conllnued
for the Year Ended 31st August 2024
DONATIONS AND LEGACIES
2024
2023
Donad'ons
Untform sales
231
878
51
OTHER TrADING ACTMTES
2024
Fundralsing events
285
INCOME FROM CHARrrABLE ACTIVITIES
2023
Fees & andllary payM￿ts Prfr8th001 Pkygroup
Trfps
Grants
Pre-sel￿1 Playgroup
Prfrschool Pkygroup
3￿,697
276,160
4.533
331,397
280,753
Grants recelved, induded In Ihe ab(Ne. are as follo￿.
2024
2023
Rye Mutual Ald
Strode College- apprent￿e support
Sussex Community Foundatlon
4,533
1.800
4,533
In the year. £800 was recefved from Rye Mutt￿1 lo help th new garden18rthaptng and to
The grant was fulty eXpeThI￿ kn the ￿par.
In the year, £1,IX)O apprenllce granl Th rtreiveil. The grant was fuNy expended In the year.
In Ihe Pr￿aUS year, £4.533 was received lo repl￿ 80me of I￿r IT equipmenL The grant was fvl
expended in the year.
continued...

Ferry Road Nuraery
Notes to the Flnanclal Statements - eontlnuod
for the Year Ended 318t August 2024
CHARITABLE ACTIVITIES COSTS
Dlrect
Costs
Support
costs
Totsls
Pre-school Playgroup
Trips
329,535
952
3,263
332,788
962
330N87
3253
333,740
TRUSTEES. REMUNERATION AND BENEFITS
There were no trustegs, remuneratlon or other benefits for the year ended 31stAugust 2024 nor for the
year ended 31st August 2023.
Trusioes. expenses
There were no trustees, èxpenses pald for the year ended 31st August 2024 nor for the year ended
31 st August 2023.
STAFF COSTS
2024
2023
Wages and salarles
Social security costs
Other pen8k>n cost8
261.967
11.162
4.609
237,502
7,979
3,502
277.628
248,983
The avwage rnonthly number of employees durln9 ts year was as foll
2024
2023
Pre4chool a¢tlvlties
No employe88 recelved en￿lUrnents In excess of £60,000.
COMPARATIVES FOR THE 8TATEMENT OF FINANCIAL ACTIVITIES
Unrnstrlcted Reslrlcted
fund
funds
Total
funds
INCOME AND ENOOWMENT8 FROM
Donattons and lega¢le6
909
909
Charltablo actlvltle#
Pre4chool Playgroup
280,753
280,753
Other trsdlng activitles
285
Total
281,947
281,947
EXPENDITURE ON
Raising funds
100
100
Page g
cmtinued...

Ferry Road Nursery
Notes to tho Flnanclal Statements - contlnued
for the Year Ended 31sl August 2024
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES - continued
Unrestrlcled Restrlcted
fund
funds
Total
fund8
Charitable actlvltles
Pre•school Pkygroup
Trlps
294.042
655
2,586
298,628
855
Totsl
294,797
2.586
297,383
NET INCOMEI(EXPENDITURE)
112,850)
(2,586)
(15,436)
RECONCILIATION OF FUNDS
Total funds brought fomard
45.971
157,582
203,553
TOTAL FUNDS CARRIED FORWARD
33,121
154.996
188.117
TANGIBLE FIXED ASSETS
Improvements
to
property
Flxture8
and
flltlng8
Long
leasehold Equlpment
Totals
COST
At 1st September 2023
and 31st August 2024
188,106
51,800
20,063
4861
241620
DEPRECIATION
At 1st September 2023
Charge for year
41,296
2,466
18.186
623
18,839
2.524
80,845
3A29
At 31st August 2024
43,761
18,709
19.145
84,174
NET BOOK VALUE
At 31st August 2024
124,346
33,091
918
92
158A46
At 31st Au9USt 2023
128,810
33,614
1,224
127
161,775
Pag• 10
continued...

Ferry Road Nurnery
Notes to the Flnancial Statements - contlnued
for the Year Ended 31st August 2024
10. STOCKS
2024
2023
159
81
11. DEBTORS: APJIOUNT8 FALLING DUE MTHIN ONE YEAR
2024
2023
Other debtors
722
2.000
12. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Other credltors
18.205
17,752
Cr8dftors indudes £12,799 (2023.. £12,126) of deferred Income being fees receNed In advance of the
Autumn term.
13. LEASING AGREEMENT8
The Charlty has a non-cancellable lease with Rother District Council for the rent of the bulldlng from
whlch It operates. The 99 year lease was granted In 1989 and the Gurrent rent is £260 per 8nnum.
There Is a covenant that should the Nursery activities cease at that location or the Trust Geases to
exlst, the prop8ty Immedlately reverts to Rother Dlslrl¢t Coundl.
14. MOVEMENT IN FUNDS
movement
In fund8
At
31.824
At 1.9.23
Unrestrlcted fund8
General fund
33,121
235
33.366
Restrfcted fvnd8
Buildlng Fund
Serbsory Room
Healthy Eatlng & Physical Activlty
154291
12.361)
(22
{164)
161.940
66
617
154,996
12.5271
151469
TOTAL FUNDS
188,117
(2.292
185,826
Page11
continued...

Ferry Road Nurséry
Notes to the Flnanclal Statements - continued
for the Year Ended 318t Augu8t 2024
14. MOVEMENT IN FUNDS - contlnued
Net movement in funds, Included In the above 8re as foNows:
InGomlng
rosourc08
Re80urces Movement
expended
In fund6
Unre8trtct￿ funds
General fund
331148
(331,213)
235
Re8lrlcted fund8
Bulldlng Fund
Sensory Room
Hea1￿Y Eaung & Physlcal Acllvlty
1&351)
1221
11641
(2,361)
122)
(154)
I2￿27)
(2,627)
TOTAL FUNDS
331,448
(333,740)
(2,2921
Comparatlv08 for movement In fund8
N•t
movement
In lund8
At
31.8.23
At l J.22
Unre8tr1ctod fund•
General fvnd
45,971
{12,850)
33,121
R•8trlcted fund8
8uikllng Fund
Sensory Room
Heafthy Eatlng & Physl¢81 Acuvlty
156.842
118
822
{2,351)
(30)
{205)
154,291
88
617
157,682
(2,588)
154,996
TOTAL FUND8
203,553
(15,438)
188,117
Page 12
oonlinued...

Ferry Road Nursory
Notss to the Flnanclal Statements- contlnued
for the Year Ended 31st August 2024
14. MOVEMENT IN FUNDS - contlnued
Comparatlve net movemenl In funds, inrJud8d in the above are as k)IIN8:
In¢¢)mlng
rnsources
Rosour¢•s Movement
expendod
In fund8
Unrnstrlcted fund8
Gener81 fund
281,947
(294,797>
(12,850)
Restrlcted lund8
Building Fund
Sensory R*)om
Healthy Eating & Physical Activlty
(2,351)
{30)
(206)
{2,351)
(30)
{205)
(2,58e)
(2,586)
TOTAL FUNDS
281.947
1297.383)
(16,436)
A Cuffent year 12 months and prlor year 12 month8 comblned posllon Is as fdlm:
movomont
In fvnd8
At 1.922
31.8.24
Unmtrl¢t•d fvnd•
General fund
45,971
(12,615}
33,3S6
Restrkted fund8
Buildlng Fund
Sensory Room
Hèallhy Eatlng & Phy8kal Acti¥lty
156,642
118
(4,702)
(52>
{359)
151,940
68
483
157,582
(5.113)
162,469
TOTAL FUNDS
203.553
(17.728)
185,826
A Current year 12 months prbr yew 12 monlh6 combined net m¢Mment In fund8, in￿ded In the
8bove are as follM:
Incomlffj Ro8ourco8 fiiovement
rosources
oxpendod
In fund$
Unre8trlctad fund8
General fijnd
613,395
(626.010)
(12,615)
R08tr1ctod fund8
Bulldlng Fund
Sensory Room
Healthy Ealing & Physical Actmty
(4,702)
(52)
(359)
{4,702)
{52)
(359)
(5,113)
(5.113)
TOTAL FUNDS
613,395
(631,123)
(17.728)
Page 13
continued...

Ferry Road Nursery
Notes to the Flnanclal Statements - ¢ontlnued
for the Year Ended 318t August 2024
14. MOVEMENT IN FUNDS - contlnued
Buildlng Fund
The Buildlng Fund r&presents a long lease glven by Rye Town Coundl plus grants and monies ralsed
for Improvements to the propety which have yet to be deprecl8led.
Sen80ry Room Fund
A donation was recelved to fund the development of a Sensory Room In 2013 and subsequent year8.
The fund carried forniard repreBenls cepital Ilelns whtch hav6 yet to be depreclated.
Hfralthy Eallng & Phy81cal Actlvlty Fund
A grant was recelved In 2017 and 2018 from the East Sussex County Councll for Healthy Eating and
PhyslGal Acdvlty. The fund carried fonvard repr&8ents capital Items whtch have yet to be depreciated.
15. RELATED PARTY DISCLOSURES
Thare V￿re no related paty tran8actFon8 for the year ended 318t August 2024.
16. ULTIMATE CONTROLLING PARTY
The Charlty Is controlled by Its Board ol Trustees.
Page 14