REGISTERED COMPANY NUMBER: N1045660
REGISTERED CHARITY NUMBER: 103789
Re
rt of the T 8tee
an
d Flnancial Statements for th& Year En
31M h2025
mowen P
Trust
om
Limited b Gu
ranteo
Dominic Rofferty & Co Ltd
2 b Cabragh Road
Dungannon
Co. Tyrone
BT70 3AH

Carnow
Partnershi
Trust
Contents of the Flnanclal Statements
for the Year Ended 31 March
Page
Report of the Trustees
Independant Examiner's Report
Statement of Flnancial Activities
Statem8nl of Financl81 Position
Notes to Ihe Flnanclal Statements
8 to 14
Delalled Statement of Financial Actlvltles
15 to 16

Camowen Partnershi
Trust
ReDOrt of the Trustees
for the Year Ended 31 Marc
20
The trustees who are also dSrectors of the charlty for the purposes of the Companies Act 2006.
present their report with the financial statements of the Gharity for the ygar ended 31 March 2025.
The trusl2es have adopted the provisions of AccounÉlng and Reporting by Chan'ties., Statement of
Recommended Practice epplicable to charities preparing their accounts In accordanc8 Wlth the
Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102> (effective 1
January 2019).
OBJECTIVES AND ACTIVITIES
The objectiv8 of the charitable company Is to benefit the inhabltants of tho Camijwen River
calchment area and its environs without distlnction of gender, sexual orlentation, age, disabllity,
race, ethnl¢lty, or polltlcal, rellglous or other oplnlon and In partlcular to:
Provldè affordab18 chlldcare and promote good health for chlldren and parents;
Advance education and training and raise awarenass of and interest In important issu68 by
organlsing andlor provldlng vocatlonal and non-vocatlonal courses, semlnars, lectur8S and
discussions;
Relieve those in need by reason of soclal and economic circumstances, dlsabilitles or speclal
needs or other d5sadvantages; add
Promote good communlty relatlons and cro88 communlty Int8grallon by organlsation activities
and events.
In order to meet it's objectlve8, th8 charity provides rnany $8rvices to the local community. Such
servlces Inclu(Je:
Work experiènce opportunilias.,
Intemet access and support
Photocopylng, printing and laminatlng faclllties:
Information regarding fundlng, grants and othgr Ioc81 interasts;
Slgnposllng servlces for grants, benollls and any other request a penson of our communlty may
have;
Out of school club, for school age chlldren 4-12 years old.,
Parentlng programmes. baby programmes and health and well-belng Informatlon sesslons,. and
Baslc compuier classes to a wlde range of the community.
ACHIEVEMENT AND PERFORMANCE
The Dlrectors are confldenl that the charltable company contlnues to rn8et It's Performance
objecllves to benefit the local community. The charitable company contlnues to recelve fundlng
from local bodi88.
Financlal P•rformance
The results for the year are set out in detail on pages 6 10 19. The charitable Gompany returned net
outgolng resources for the year of 2025 £6,087 (2024.. .£3,130)
At 31 March 2025, Ihe total funds ol the tharity amounted to £70,240 (2024: £64,153) comprising
of unrestrlcted funds of £70,240 {2024., £64,153) and restricted funds of £0 (2024: £0). Principal
sources of funding and how Éhis has supported the key objectives of the Gharitable Gompany are
disclosed in the notes to the financial statements.
Page 1

Camowen Partnershi
Trust
Re
ort of the Trustee
for the Ye8r Ended 31 March 2025
STRUCTURE, GOVERNANCE AND MANAGEMENT
Goveming document
The charlty is controlled by its governing document. a deed of trust, and Gonstitutes a limit8d
company, Ilmited by guarantee, as defined by the Companies Act 2006,
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Company number
N1045660 (Not specffiedlOtheT)
Reglstsred Charlty number
103789
Reglstered office
Camowen Partnershlp Trust
The Milestone Cenlre
Carrickmore
Co. Tyron8
BT79 9AL
Trustees
P Cush (Chairp8rson)
J H M8guir8
Mrs M B Mccormack
Ms C Conway.
Ms A QuSnn
Company Secretary
J H Maguira
Independent Examlner
C)ominic Raffety & Co Ltd
2 b Cabragh Road
Dungannon
Co. Tyrone
Brio 3AH
Approved by order of the board of trusteas on 14 October 2025 and slgned on Its behalf by.
P Cush - Trustee
Paga 2

Inde
endent Examinerfs Re
Camowen Partn
hl Trust
I report on the accounts of the company for the year ended 31 March 2025, whlch are set out on
pages five to fourteen.
Drt to the Trustees of
Respective responslbllltles of charlty trustees and examlner
As the charity's Iru5tees (anLI also the directors for the purposes of company law) you are
responsible for the preparatlon of the accounts In accordance wlth the requirements of the
Companies Act 2006.
Having satlsfied myself that the Gharity is not subiecl to audit under company law and is eligible for
Independent examination, It Is my responsibility to..
examine the accounts undar Section 65 of the Charities Act
follow the procedures laid down in the g8n8ral Direcllons given by thg Charity Commisslon
for Northern Ireland under Sectlon 65(9Mb) of the Charltles Act
state whether partlcular matters have come to my attention.
Basls of the independent examiner's report
I hav8 8xamlned your charity accounts as requlr8d under Section 65 of the Charitles Act and my
examlnation was carrled out In Sccordance wllh the general Directions glven by the Charfty
Commisslon for Northern Ireland under Section 65(9)(b) of the Charities Act. The examination
included a review of the accounling records kept by the charity and a comp2rlson of the accounts
presented wlth those records. It also In¢ludad consider8tion of any unusual Items or di8closur8s in
the accounts, and seeking explanatlons from you as charity *rustees conceming any such malters.
My rol8 Is to state whether any m8t8rlal rnattgrs have come to my attention giving me cause to
belleve.,
That accountlng records ware not kept In accordance with Section 386 of the Companles Act
2006
That the a¢¢ounts do not 8Gcord wlth those accounttng records
That the accounts do not comply wlth the occounllng requlrements of Sactlon 396 of the
Companles Act 2006 and with the methods and principles of the Charitles Stslemént of
R8commended Practice applicable to chariti93 preparing their accounts In accordance with
lh8 Flnancial Repo.rting Standard appllcable In the UK and Rapublic of Ireland
That Ihere 13 further InfomiatEon needed for a proper understanding of thg accounts to ba
reached.
Independont examlner's statement
I have oomp18led my examinatlon and have no concerns in respect of the matters {1 ) to (4) lisled
abovg and. in connection wlth following the Direct(ons of Iho Charlly Commlssion for NDrthem
Ireland, I have found no matters that require drawing to your alt?nlion.
Dominic Raffèrty ACA
Dominic Raff&rty & Co Ltd
2 b Cabragh Road
Dungannon
Co. Tyrone
BT70 3AH
14 October 2025
Page 3

Page 4

Camowen Partnershi
Trust
Statement of Financial Aclivities
for tho Year Ended 31 March 2025
31.3.25
Total
ftjnds
31.3.24
Total
funds
Unrestricted Restricted
fund
fund
Notes
¢HILDCARE SERVICES FROM
Chantable actlvitios
Child¢8re recov6ry SUPPOrt fund
HSCB- Brights18rt Holiday Scheme
HSC&- Brightslart School Age Fund
Reglonal Fair Play Scheme
81ackbum Trus1
OFDC Summer Schem8
Creggen Whitehare
Littlestars
3,219
3,472
20,266
7,498
1,000
669
1.500
250
1,065
1,065
Other tradlng activitles
Investrnent Sncom6
90,199
172
90,199
172
115,480
89
Total
91,436
91,436
153,423
EXPENDITURE ON
Raising funds
9,761
9.761
11,817
Charltable actlvltles
Insurance
Toys and equipment
Food and consumables.
Light and heal
Telephone
Staff trav81 and expgnses
Accountancy
Admin costs
Bank charges
Wag8S
Charity Donation- Actlon Cancer
802
1,613
2,588
802
1,613
2,588
1,006
3,592
3,869
2,556
1,636
820
2,099
1,983
286
117,536
225
407
629
1,400
874
218
63,478
407
629
1,400
874
218
63,478
Olher
3,579
3,579
9,148
Total
85,349
85,349
156,553
NET INCOMEI{EXPENDITURE}
6,087
6,087
(3,1301
RECONCILIATION OF FUNDS
Total funds brought forward
64,153
64,153
67,283
TOTAL FUNDS CARRIED FORWARD
70,240
70,240
64,153
The notes form part of these financial statements
Page 5

Camowen Partnershi
Trust
Statement of Financial Position
31 MarGh 2025
31.3.25
Total
funds
31.3.24
Total
funds
Unrestricted Restricted
fund
fund
Notes
FIXED ASSETS
Tangible assets
4,198
4,198
4,602
CURRENT ASSETS
D8btors
Cash at bank
10
6.164
60.022
6.164
60,022
13,396
46,312
66,186
66,186
59,708
CREDITORS
Amounts falllng due wllhin one year
11
(144)
(144>
(157}
NET CURRENT ASSETS
66.042
66,042
59,551
TOTAL ASSETS LESS CURRENT
LIABILITIES
70.240
70,240
64,153
NET ASSETS
7D,240
70,240
64,153
FUNDS
Unrestrlcted funds
12
70,240
64,153
TOTAL FUNDS
70,240
64,153
The charltable Company is entitled to exempt5on from audll under Section 4TT of the Companles
Act 2006 for the year ended 31 March 2025.
The members have nol requlred the company to obtaln an audlt of its financial statements for the
year énded 31 March 2025 In accordance with Section 476 of thg Companles Act 2006.
The trustees acknow18dge th8lr responsibilfties for
{a) ensurlng that the charitable company keeps 8c¢ountlng records that comply wlth Sectlons
386 8né 387 01 the Companies Act 2006 and
{b) preparing fin8nGial statements whlch give a true and fair view of the siato of affalrs of the
charitable company as al the eniy of each financlal year and of Its surplus or deficit for each
financial year in accordance with the requirements of Sections 394 and 395 and whlch
otherwlse comply with th6 requirements of the Companles Act 2006 relating to financial
statements, so far as applicable to the charitable company.
The notes form part of these financial statements
Page 6
continued..,

Camowen Partnershi
Trust
Statement of Financial PoS￿10n - contlnued
31 March 2025
These financial statements have been prepared In accordanc8 wllh the provlslons applicable to
charitable compani8s subject to the small companies reglme.
The finanGlal stalem8nls wer8 approved by the Board of Tnjstees and authorlsed for Issue on
14 October 2025 and were signed on Its behalf by:
P Cush- Trustee
M B Mccormack - Trustee
The notes form part of Ihese financÈal statements
Page 7

Camowen Partnershi
Trust
Notes to the Flnancial Statements
for the Year Ended 31 March 2025
ACCOUNTING POLICIES
Basls of preparlng the finan¢lal statements
The flnanclal statements of the charitable company, which is a public benefit entlty under
FRS 102, have been prepared in acGtsrdance with the Ch8riti86 SORP (FRS 102)
'Accounting and Reportlng by Charitles: Statement of Recornmended Practlc6 appllcable to
charities preparlng their accounts in accordance with the Flnancial Reportlng Standard
applicable in the UK and Republic of Ireland {FRS 102) (effective 1 January 2019),, Flnancial
Reportlng Standard 102 'The Flnancial Reportlng Standard applicable in th8 UK and
Republic of Ireland, and the Companles Act 2006. The financial statements have been
prepared under the historical cost convenlion.
Income
All Income Is r8cognised In the Statement of Fin8nclal Actlvltles once the charity has
entillement to th8 funds. it is probable that the income will be recelved and the amount can
be measured rellably.
Expendlture
Llabilities are recognlsed 88 expenditure as soon as Ihere Is a legal or construGtiV8
obllgatlon commlttln9 tho charlty lo that expendltur6, It Is probable that a transfer of
economlc benefits wlll be requlred In settlement and th8 amount of the obllg8tion can be
m8asured reliably. Expenditure Is accounted for on an accruals basls and has been
classifled under headings that aggregate all cost related to the Gategory. Whera costs
cannot be dlreotty attrlbuled to partlcular headlngs they have been allocated to a¢tlvltles on a
basls consistent wlth the use of resources,
Tanglble flxed ass•ts
Depreclalion is provided at the followlng annual rates In order to write off each asset over its
astlmated useful Ilfe.
Taxatlon
The charlty is exempt from corporatlon tax on Its chsritable 8cllvities.
Fund acGountlng
Unrestricted funds can be used in accordance with tho Gharitable objectives at the dlscretion
of the trustees.
Restricted funds can only be used for particular restricted purposes Withln the objects of the
charily. Restrlctions aris8 when specified by the donor or when funds are ralsed for
particuler rosln'cted purposes.
Furthar explanatlon of the nature and purpose of each fund is included In the notes lo the
financial st8t8ments.
Hlre purchase and leaslng commttments
Rentals paid under operating IRases are charged to the Ststem6nl of Financlal Activitles i)n
a straighl line basis over the period of the lease.
Page 8
orltinued...

Camowen Partnarshi
Trust
Notes to the Fln8ncial Statements - continued
for the Year E ded 31 March 2025
OTHER TRADING ACTIVITIES
31.3.25
31.3.24
Fundraising events
Childcare Services
90.199
115,459
90,199
115,460
INVESTMENT INCOME
31.3.25
31.3.24
Interest receivable - trading
172
89
INCOME FROM CHARITABLE ACTIVITIES
31.3.25
31.3.24
Activity
Childcare recovery support fund
HS¢B- Brlghtstart Hdiday Scheme
HSCB - B.rlghtstart S¢hool Agè Fund
Reglonal Falr Play Scheme
Blackbum Trust
OFE)C Summer Scherne
Creggen Whitehare
Lllllestars
Grants
Grants
Grants
Grants
Grants
Granls
Granls
Grants
3,219
3,472
20,266
7,498
1,000
669
1,500
250
1,065
1,065
37,874
Grants received, InGlu(le(J In the above, 8re as follows:
31.3.25
31.3.24
HSCB - Brlghtstart Holiday Scheme
HSCB- Brightstart School Age Fund
Blackburn Trusl
Halrfax Foundatlon
Regional Fair Play Scheme
OFDC Summer Schem8 Funding
Creggen Whitehare
Little Stars
3,471
20,266
1,000
3,220
7,498
669
1,500
250
1,065
1,065
37,874
Page 9
continued.

Camowen Partnershi
Trust
Notes to Ihe Financlal Statements - continued
for the Year Ended 31 MarGh 2025
RAISING FUNDS
Investment management Gosts
31.3.25
31.3.24
Propgrty repairs
948
NET INCOMEI(EXPENDITURE)
Net Incomel(expenditure) Is stated after chargingl(creditlng):
31.3.25
31.3.24
DepTeciation - ownad assets
Rent
Food & consumables
440
10,869
3,869
9,707
2,588
TRUSTEES. REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for the year ended 31 March 2025
nor for th9 year ended 31 March 2024.
Trustees. expenses
There were no trustees, expensgs P8id for th8 year ended 31 MarGh 2025 nor for Ihe y88r
end8d 31 March 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestrlcted Restrlcted
nd
fund
Total
funds
CHILDCARE SERVIGES FROM
Charltable aGtivitles
Childcare recovery support fund
HSCB- Brightstart Holiday Scheme
HSCB - Brightstart School Age Fund
Reglonal Fair Play Scheme
Blackburn Trust
OFDC Summer Sch8rne
Creggen Whitehare
Llttlestars
3.219
3,472
20,266
7,498
1,000
669
1,500
250
3,219
3,472
20,266
7.498
1.OOQ
669
1,500
250
Other tradlng activities
Investment income
115,460
89
115,460
89
Tolal
153.423
153.423
EXPENDITURE ON
Raising funds
11,817
11,817
Page 10
continued...

Camowen Partnershi
Trust
Notes to the Flnanclal Statements - conffnued
for Ihe Year Ended 31 March 2025
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTivrriES - contlnued
UnrestriGt8d Restricted
Total
fund
fund
funds
Charitable activltl¢s
Insurance
Toys and equipment
Food and consumables
Llght and heat
Telephone
Staff travel and expenses
Accountancy
Admln costs
Bank charges
Wages
Charity Donatlon - Action Cancer
1,006
3.592
3,869
2,556
1,636
820
2,099
1,963
286
117.536
225
1,006
3,592
3,869
2,556
1,638
820
2,099
1,963
286
117,536
225
other
9,148
9,148
Total
156,553
156,553
NET INCOMEI(EXPENDITURE)
(3,130)
(3,130)
RECONCILIATION OF FUND5
Total funds broughl forward
67.283
67,283
TOTAL FUNDS CARRIED
FORWARD
64,153
64,153
TANGIBLE FIXED ASSETS
Short
Computer
leasehold equlpm6nt
Totals
COST
At 1 April 2024 and 31 March 2025
6,488
4,436
10,924
DEPRECIATION
At 1 April 2024
Charge for year
2,607
260
3,715
144
6,322
404
At 31 March 2025
2,867
3.859
6,726
NET BOOK VALUE
At 31 Marth 2025
3.621
577
4,198
At 31 March 2024
3,881
721
4.6Q2
Page11
continued...

Camowen Partnershi
Trust
Notes to the Financlal Ststements - continued
for the Year Ended 31 March 202
10. DEBTORS- AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3,25
31.3.24
Trade debtors
6.164
13,396
11. CREDITORS: AMOUNTS FALLING DUE MTrIIN ONE YEAR
31.3.25
31.3.24
Trade creditors
157
12. MOVEMENT IN FUNDS
Net
movemant
in funds
Al
31.3.25
At 1,4.24
Unrestr5cted funds
General fund
64,153
6,087
70,240
TOTAL FUNDS
64,153
6,087
70,240
Net movement In funds, induded In the above are as follows:
Incoming Resources Mov8ment
resources
expended
in funds
UnrestrlGt8d funds
Genoral fund
91,436
(85.349)
6,087
TOTAL FUNDS
91,436
(85,349)
6.087
Comparatlv8s for movement In fund$
Net
movement
in funds
At 1.4.23
31.3.24
Unrestricted funds
General fund
67,283
{3,130)
64,153
TOTAL FUNDS
67,283
(3,130)
64,153
Page 12
continuod...

Camow8n Partnershl T
Notes to the Financial Stataments - continued
for the Year Ended 31 March 2025
12. MOVEMENT IN FUNDS • contlnued
Comparative net movement In funds, included In the above are as follows..
Incoming Resources Movement
resourc6S
exp8nded
in funds
Unrestrlcted fund$
General fund
153,423
(156,553)
(3,130)
TOTAL FUNDS
153,423
(156,553)
(3,130)
A current year 12 months and prior year12 months comblned posltlon Is as follows:
Not
movernent
in fundg
At
31.3.25
At 1.4.23
Unrestricted funds
General fund
67.283
2,957
70,240
TOTAL FUNDS
67,283
2,957
70,240
A current ygar 12 months and prior y6ar 12 months combln8d net movement in funds,
included in the above are as follows:
Incomlng Resources Movement
resources
expended
in funds
Unrestrlcted funds
General fund
244,859
(241,902)
2,957
TOTAL FUNDS
244,859 (241,902)
2,957
Paga 13
continued...

Camowen Partnershi
Trust
Notes to the Financial Statements - continued
for the Year Ended 31 March 2025
13. RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 31 March 2025.
Page 14

Camow
n Partn
Trust
Detailed Statement of Financial Activities
for Ihe Year Ended 31 March 2025
31.3.25
31.3.24
CHILDCARE SERVICES
Other trading a¢tlvltlÈ8
Fundraising evenls
Chlldcare Servlces
90.199
115.45g
90.199
115,460
Investment Income
Interest recelvable tradiThg
172
89
Charltabla activitiès
Granls
1,065
37,874
Total Incom5ng reBources
91,436
153,423
EXPENDITURE
Other tradlng actlvltles
Rent
9,707
10,869
Investment iiianagement Gosts
Property repalrs
Charltable actlvltles
Wages.
Food and consumabS&s
Light and heat
Toys and equipmenl
Exc8Ptlon81 Items
63,478
2.588
117.538
3,869
2,556
3,592
2.188
1,613
874
88,553
129,741
other
Trips and special activitles
Transportation costs
Computerlsoftware costs
Depreciation of tangible flxed assets
1,707
2,036
5,305
1,367
440
1.468
404
3,579
9,148
Support costs
Management
Insurance
Carried forward
802
802
1,006
1,006
This page does not form part of the statutory financial statements
Page 15

Camowen Partnershi
Trust
Detailed Statement of Financial Activiti
for the Year Ended 31 March 2025
31.3.25
31.3.24
Management
Brought fO￿ard
Telephone
802
407
1,006
1,636
1,209
2,642
Finance
Bank charges
218
286
Governance costs
Staff travel and expenses
Accountancy and legal fees
629
1,400
820.
2,099
2,029
2.919
Total resources expended
85,349
156,553
Net Incomel<expendlture}
6,087
{3,130)
This page does rKJt fonn part of the statutory financial slatements
Page 16