Reglstration Number: NIC102553
THE JILL TODD TRUST
ACCOUNTS
PERIOD ENDED 7 MARCH 2025

THE JILL TODD TRUST
Accounts
Period ended 7 March 2
25
CONTENTS
Page
Trustees, Annual Report
Independent Examinerfs Report
34
Statement of Receipts and Paymants
Statement of Assets and Liabilities
Notes to the Accounts

THE JILL TODD TRUST
L REPORT
ended 7 March 2025
Reference & Admlnlstratlve Detalls
The Charity's principal address is:
1 Park Street
Hillsborough
County Down
8T26 6AL
The Charity's Trustee Board is:
Mr B Todd MBE BSC HONS {r8sign8d 14 June 2024)
Mrs P Todd BSC
Dr M Todd BSC PHD
Dr C Todd BSC HONS PHD
Ms S Ingram- Sills BA HONS
Mf S Hall
Mr l Todd MA HONS
Ms T Reilly MA HONS
Organlsatlonal Structur•
The registered name of the organisation is The Jill Todd Trust (The JTT), It was created by TNSt Deed and
came into existence on 24 January 2011. The trust was subsequently registered with the charity ¢ommis$i¢n
on 8 June 2015 under charity number NIC102553.
Mr B Todd was appointed by tha Board of Trustees to supeNise the day to day operations of the charity. There
was no remuneration paid to Mr B Todd by the Trust in relation to this role.
The charity ceased to 0￿rat6 on 7 March 2025 and all funds have been donated foi charitable purposes.
A¢tlvltles
Due to the unsustainable dependen¢e on volunte•ring-input from many generous contributors, including
photographic galleries over th8 past eleven years. a deci61on was reluctantly taken by the Trustees to cease
the activities of the Jill Todd Photographic Award.
However, th8 Ulster University award for Ihe best end-of-course photography student. initiated and activated
by the Jill Todd Trust. continued throughout tho period.
During the period to charity donated ils remaining funds for charitable purposes and ceased operating on 7
March 2025.
Recrultment and Appolntmont of Trustees
The power of appointing new tnjstees was exercisable by Mrs P Todd and Mr S Hall.

THE JILL TODD TRU8T
.Ji
Ch•rftl•s Commlsslon•r lor Nl (8tthm•nt d Compllan¢•)
The Jlll Todd Trust has gfvon Careful conslderallon to Chartty Commls8ion for Norlhem Ireland's guidance
on publlc benefit to ensure thal the acbvltles entered Into durir¥J the year have helped to achieve the charlty's
obJecd¥e8 and acifvhl8s, as w81183 provldlng publk benefiL
FOn*nolal R•vl•w
At 7 March 2025 the tharfty had lotal Unl88tr￿ Funds of £nll (21Y23 - £7,708) and Restrkted Fund6 01 £nil
(2023 - £nll).
The charfty rthsed ¢)n 7 March 2025.
These accounts weTe approved and slgned by the TTuslees and authorised for issue on ..
MRS PTODD
Trusteo

ClIAlT￿REts hCCOVNTAinJ
INDEPENDENT EXAMINER'S REPORT
FOR THE PERIOD ENDED 7 MARCH 2026
INDEPENDENT EXAMINER'S REPORT TO THE CHARITY TRUSTEES OF THE JILL TODD TRUST
We report on the accounts of the Trust for the period ended 7 March 2025 which are set out on pages 4 to 6.
RESPECTIVE RESPONSIBILITIES OF CHARITY TRUSTEES AND EXAMINER
As the charity's trustees you are responsible for the preparats'on ofth• accounts in accordance with the Charities
Act (Northem Ireland) 2008.
It is our responsibility to..
Examine thè accounts under Section 65 of the Charities Act (Northern Ireland) 2008,.
Foll¢)W the procedures laid down in the 98neral Dir8ctions given by the Comrnission under section
65(9)(b) of the Charities Act (Northem Ireland) 2008,, and
State whether particular matters have come to our attention.
BASIS OF INDEPENDENT EXAMINER'S REPORT
We have examined your charlty accoun18 as required under section 65 of the Charities Act and our examination
vrds carried out in accordance with the general Directions given by the Charity Commis8ion for Northem Ireland
under section 65(9)(b) of tha Charitias Act.
Our examination included a reviaw of the accounting records kept by the charity and a comparison of th&
accounls presenled with those records. It 8180 included consideration of any unusual items or disclosures in
the a¢¢ounts, and seeking explanations from you 8$ ¢harily trusta6s coneArning any such matters.
Our role is to state whether any material mattels have come to our attention giving us cause to believe:
That accounting records w8r8 not kept in accordance with section 63 of the Charities Act.
That the accounts do not accord with those accounting records.
That the accounts do not compty with the accounting requirements of the Charities Act.
Thal there 18 further information needed for a proper understanding of the accounts to be reached.
Alfred Howe
19 Alfred Slrtet
BWlkSTFT* 8liQ
￿x39￿ NR￿E1￿￿50
C4ntury Houue
I7M•ndthlle8trtt1
PORTADOWN
USBURN
r282GN
Ff62 3PB
Tel: +44(oh8903111
Fax: +44(0)*8 90310
Tel: +44(oh8 9260 73SS
+44(ok89260 1656
Ttl: +44(ob83833 2801
Fu: +44(oM38&5 OWJ
www.Bm4¢aAx

CIIAAT¥RID ￿C<0￿¥T ANYI
INDEPENDENT EXAMINER'S REPORT
We have completed our examination and have no concems in respect of the matters (1) to {4) listed above and.
in connection with following the Directions of the Charity Commission for Northern Ireland, we have found no
matters that require drawing to your attention.
Mr Nigel Moore FCA
GMCG Belfast
Chartered Accountants
Alfred House
19 Alfred Street
Belfast
BT2 8EQ
Date,. 13 FEBRUARY 2026
Alfr8J House
19 Alfrnl Stre*t
BEiJikqf 8￿Q
DX3910 NR BE￿A$r50
17 MaDdEvilleSlreet
PORTAtK)WN
40 (yefjeenl Bu8lnw8 Park
USBURN
BT28 2CN
FT6%E 3PB
Tel: +44(ok89031 1113
Ilax: +44(0)28 9ffj1 ￿T￿
Tr1: +44(oh8 9260 T355
Vu: +44(0)28 9260 1656
Td.. +44(0)28 28¢Ji
FqA'. 444(ob8 S8￿0292

THE JILL TODD TRUST
STATEMENT OF RECEIPTS AND PAYMENTS
Period ended 7 March 2025
7 March
2025
7 March
2025
7 March
2025
31
December
2023
Total
Funds
Unrestrlcted Restrlcted
Funds
Funds
Total
Funds
Rocelpts
t)onations received
7,692
7,692
6,105
Total recelptS
Payment•
Cosls of charitable activitl8S:.
Prize costs
Charitable donations
Sundries
500
14,700
500
14,700
200
10,525
Total payments
Net paymonl8 for the year

tsTATE￿NT OF A88ET8 AND LIABILITIE8
7 Maroh 2026 31 D•e•mb•r 2023
Llal
N•t funds
Funds
Unrestsidod I￿oMe fund8
Tol•l lunds
The8e ac%ounts were approved and slgned by the Tru8tee6 arHI authofw for Issue on
MRS P TODD
Tni*tp

THE
DTR
NOTES TO THE ACCOUNTS
7Mar
h 2025
Accountlng Pollcleg
84s1$ of Accountlng
The accounts have been prepared on a receipt and payments basis and in accordance with Charities
Act (Northern Ireland) 2008.
These accounts represent the period from 1 January 2024 to 7 March 2025. The charity ceased to
operate on 7 March 2025.
Analys18 of Net Assets Betwegn Funds
7 March 2023
7 March 2023
31 D•c•mb•r
2023
Total
Cash at Bank
Total
Unrestrlcted InGomfj Funds
7,708
Restrlcted Inoome Funds
Total Funds
Unr•gtrlcled Income Funds
Balance at
1 January
2024
Balance at
7 March 2025
Recelpts
Paym•nts
General Fund8
Trustees, Transactlons
No transactions with trustees were undertaken such 8$ are required to be dlsclosed In accordance
with Charities Act {Northem Ireland) 2008.