PRS
Patton Rainey I
Stenson Limited
CWARTERED ACCOUNTANTS
& riEGISTETrED AUDITORS
REGISTERED COMPANY NUMBER= N1692476 (Northern Irel#ndl
REGISTERED C14ARITY NUMBER.. 1091)4
RLPOKT OF THE TRUSTEES AND
VNAUDITED FINANCIAL STATEMEIYTS FOR THE Y£4 AR INDED 31 DECEMBER 2025
FOR
MALLARD COMMUNITY CHARITABLF. HUB LIMITED
Patton Rainey Stenson Limiied
Chanered Accounianis
6 Easi Bridge Sii'eei
Enniskillen
Co. Fcmiaiia(Th
BT74 7BT
CHARTERED
ACCOUNTANTS
IRELAND
Chartered
Tax Advisers
R¢isi¥f$d locairyout3udit work aDd rtrwlateJ f¢r¥ r¥fig* ol Inv&¥m8M tw$ifhèS8
actKdt￿g In Ih& Umiied ￿￿d0M by Ihe Insiitukolchangred Accountan15 in treland

MALLARDCOMMUNITY CHARITABLE HUB LIMITED
CONTENTS OF TFIE FINANCIAL STATEMENTS
for the Year Elided 31 DECEMBER 2025
Pgge
Report of tlie Trustees
Indepeiident Examiiier'5 Report
Statement of Finarteial Aetivities
Balanee Sheet
Notes to the Financial Statements
8 10 13

MALLARD COMMUNITY CHARITABLE HUB LIMITED
REGISTERED NUMBER: N1692476
RF.POIIT OF THE TRUSTEES
(or the Year Ended 31 DCCC4 MBER 2025
The irusiees who are also director5 gf the charity foi the purposes of ihe Companie5 Act 2006. present their report with
tlie financial 5tateinents of ihe chariiy foi. tlic year ended i l December 2025. The trustees have adopted Ehe provision5
of Accoiiiiting and Reporting by Chariiies." Staieinent of Recotninended Practice applicable lo charitie5 preparing iheir
accouiits iii accordance witli the Financial Repoi1in¥ Staiidard applicable iii the UK and Republic of Ircland (FRS 1021
(effective l January 2019).
OBJECTIVES AND ACTIVITIES
Ohjectives and aims
The aim of the Mallard Community Charitable Hub Ltd is to improve the spiritual, einoiioiial, mental and pliy5ical
well-being of people who live in ihe Balliiiarnallard, TrTrllick and surrounding areas. It aitns io provide a coffee shop
aiid mccting rooms which will enable Ihe charity to spread the piinciples of the Christian faith and raise awareness and
understanding of Cliristian beliefs and practices. The provision of a inuch needed coffee shop aiid otTice space will
assist in generating a community spirit and reoeneraiion of community intercgnneciions.
Objectives..
The advanceinent of religion in accordanc£ with the ethos of the Methodist Church in Irel8nd, ils current manual of laws
aiid Christian values, including bui not limired to spreading the principles of ihe Christian faith and Taise awareness and
understanding of Christian beliefs and practice5.
The prevention 01 relief of poverty. provide money mana(pem¢nt and debt coun5¢11ing advice to those in poverty or at
risk of suffering poverty. Provide food io those wlio are in need by tneans of a food bank.
The advanceinent of education.
The advancenieni of health or ihe saviiig of lives.
The advanceinent of citizenship or coininunily developmenL proniote Urban regeneration and promote social inclusion.
The advancemeni of the arts. culture, heritage, or sciente.
The relief of those in need.
Significant activities
The Charity successfully secured sufficient funding through community participation fundraising initiatives and
successful appli￿li0￿S to funding agencies and grant-awarding bodies. This suppon ¢nabled the purchase and full
renovation of a previously deielicl property.
Phase l of the Projeci has now been completed, with the coffee shop fully operational, and the office spaces renovated
and fully occupied. The building is now actively serving as a vibTaiit and well-used hub for community evenis and
gatherings.
The coffee shop employs iwo members of staff oli near full-lirtle hours132.5 liours and 29.5 hour5 per weekl and four
part-tiine JiieTnbers of ltaff. This coniributes positively to local einploymeni. The office spaces are fully tsccupied and
accoininodate providers deliveiing educaiioiial and recreatioiial service5. The income generated sUPPOrts the ongoing
sustainability of tl)e project. Iii addition 10 Its cominercial fuiiclion, the preiiii5es includes a dedicated coininunity space
which has already been used by a range of groups, including PSNI Drop-ln sessions, hot de5kitLg, efdft aciiviiies, and
consultancy clinics.
Building on the success of Phase I, the Chariiy now hopes to proceed with plan5 for Phase 2 of the Project. This next
stage will focus on the development of a large, dedicdted community room designed to accommodate a wider range of
acrivitl¢s, ¢v¢nts and programmes. Tlie additional space will further enhance ihe Charity's capacity to SUPPOrt local
oroups. expand community engag¢m¢nt, and Sirenothen Ihe long-term itiipact and sustasnabiliiy of the ove1?11 project
Page I

MALLARD COMMUNITY CHARITABLE HUB LIMITED
REPORT
THE TRUSTEES
for the Year Ended 31 DECEMBER 202
OBJECTIVES AND ACTIVITIES
Public benefit
The Lharity seeks to ensure the Public benefit requirement is achieved by ensuring the Coffee Shop is open to all in the
community, the office space will be available to all io reni and the future services provided will be available to all the
ommunity. It further highlights that-
The project will be of significant benefit to the community. This r]rst neutral Cornmunity space in the area will provide
a strong focal point for the community to socialise ity access opportunities and services in a warni and positive
environment.
All profits generated will be ploughed back into Mallard Conununity Charttable Hub, creating additional opportunities
to run activities and events.
The project will contribute ¢0 8ddressing an imponant issue of derelic(ion in the area by transforrning empty buildings
into a vibrant community Hub wel¢oming to all. Empty properties have attraeted anti-social behaviour, this initiative
will ensure young people have a safe place to go with opportunities to participate in a range of wsitive a¢tivitie5,
reducing anti-social behaviour in the area.
The provision of a Café, meeting rooms and offjee units promotes social ¢ohesioty social inclusion and comrnunity
regeneration. The building facilitstes essential, accessible support activities and services for local people. Opportunities
to acces5 education. health¢are and COTJne¢t with family. friends and the local community improves community
cohesiveness, health outcomes. employm¢nt outcomes, reduce the of social setvices and impa¢t positively on
economi¢ growth in the area.
This project has created a social and Com￿unity f￿al point for the entire community. As well as improving the
aesthetic appearance of the village. it has increased community spiriL increased access io services and opportunities for
resid¢nts. It has also created employm¢nt and potentially will stimulate other investment in the village.
The trusiees have regard to the Charity Commiss*on's guidance on public benefit.
FINANCIAL REVIEW
Financial Pcrformance
During the year to ? 1st December 2025 the charity made an operating105s of £518,26? .(2024: £313.438 surplus)-
Re5¢1 ves policy
It is the Fglicy of ihe Charity that reserves that have not been designated for a specific purpose should be maitltained at
a level equivalent to b¥Nreen 1 2 months expenditure. The charity consider5 ihat r¢servra at this level will ensure ihaL
in the even& of a significant dTOP in ￿ndIn& they will be able to eontintie some activities but on a 50tne *ihat reduced
scale.
STRiJCTURE, GOVERJ4ANCE AND MANAGEMEf4T
Governing docurneTht
The charity is controlled * its goveming document. its Mernorandum and Arti¢lp.s of Assoc¥4tion and is constituted as a
limited company_ limited by guarantee, a5 def]ned by the Companies Act 2006.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Company number
N1692476 (North¢rn Ireland)
R*vistered Charity ￿uMber
109154
Registered office
67 Main Street
linatnalb.rd
Co. Fernjanagh
BT94 2FZ
Page 2

MALLARD COMMUNITY CHARITABLE HUB LIMITED
RECISTERED NUMBER.. N1692476
RF.PORT OF THE TRUSTEES
for thc Year Ended 31 DC4 CEMIIF.R Z025
Trustees
Mi'5 M Brunt (resigned 31.7.251
MrBRKeys
Mis J R Keys
Rev J Beacoin
MTS H Williams (resigned 31.7.251
Mrs L Noble
Mr C Martin Iresigiied 21.1.251
Mrs C Campbell
Company Secretary
Mr C Martin
liidependent Examiner
Tliomas S Patton FCA
Patton Rainey Sten50n Limited
Chartered Accountaiits
6 East Bridge Sireei
Co. Fermanagh
BT74 7BT
Approved by order of the board of truslees on 2 March 2026 and Signed on its behalf by..
Rev J Beacom - Trustee
Page i

PRS
Patton Rainey I
Stenson Limited
CFIAPTERED ACCOUNTANTS
S REGISTEREO AUOIYORS
INDEPEI NDENT EXAMINER'S REPORT TO THE TRUSTCI ES OF
MALLARD CO,MMUNITY CHARITABLE HUB LIMITED
I report on ihe accounts of ihe company for the yeai to J l Decetnber 2025, which are sei out on pages five to
Ihineen.
Respective responsibilities of charity trustees aAd examiner
As the charily's trustees (and also the direciors for the purposes of company lawl you are responsible for the preparaiion
of the accounts in accordance with Ihe requii"ements of the Compantes Act 2006.
l-lavijig satisfied tnyself that tlie chariry is not subjeci io audit under coinpany law and is eligible for independeni
exaniination, li is my responsibility 10-.
exainine the account5 under Section 65 of the Charities Act
follow the procedures laid down in the general Directions given by Ihe Chariry Comtnission for Northern Ireland under
Section 65{91(b) of the Chariiies Act
siaie whether particular tnallers have conie 10 my attention.
Basis ol tlie independ¢nt examiner's report
I have examiiied youi Lharity accounts as required under Section 65 of the Charities Aci and my examinaiion was
carried out in a¢¢ordance with the geiieral Directions Diven by the Charity Cotntn15sion for Northem Ireland under
Section 65{91{b) of the Charities Act. The exainination included a review ol Ihe accountiiig ie¢ord5 kept by Ilie chai'iiy
and a compai'ison of the accounts piesenied with tliose records. li also included Consideration of any unusual items or
disclosures in the accounis. and seeking explanaiions from you as charity Iiusiees conceming any such tnatLers.
My role is io state wheiher any tnaterial matiers have come to my aitention givino me cause to believe..
l. I'hai accounting records were Dot kept in accordance with Section J86 of the Cotnpanies Act 2006
2. That the accounis do not accord with Ih05e aecounling ie¢ords
3 That the accounis do not comply with the accounting requirements of Seciion 396 of the Companies Act 2006 and
witli tlie Inethods and principles of Ihe Charilies Siateinenl of Recominended Praciice applieable 10 charilies prepariii¥
their accounts in accordance with ihe Financial Reporting Standard applicable in ihe UK and Republic of Ireland
4. That there is further infomation needed for a proper undersiandins of the accounts to be reached.
Iiidependent examiner's statetnent
Since youi. charity's gTOSS ircome exceeded £250,000 your examiner musl be a member of a Iisred body. I can Confirm
Ihat l ani qualifjed to undertake the cxatninaiion because l am a membei. OF tlie Insiilute of Cliartered Accountants in
Ireland wliich is one of tlie lisied bodies.
I have completed iny exainination and have no concerns in respect of the mattel's {11 to 14) listed above and, in
connection with following the Directions of the Chariry CO￿￿niSsion for Northern Ireland, 5 have found iio tnatters Ihat
require drawing io your attention.
Thomas S Patton FCA
The 12.
Patton Rainey Stenson Limited
6 East Bridge Sireei
E[￿l$kIlle￿
Co. Fernianagh
BT74 7BT
2 Nlarch 2026
CHARTERED
ACCOUNTANTS
IRELAND
Chartered
Tax Advisors
Regi¥tered toc4rryoul audit work and k)r a rawe d investment bUS￿e$S
adivities In the Vniied Kiwdom tylh& Inslilule ol CharteredAccounlants in Ireland

MALLARD COMMUNITY CHARITABLE HUB LIMITED
STATF.MCNT OF FINANCIAL ACTIVITIES
ror the Year Eiide(131 DECEMBER 2025
31.12.25
Total
funds
31.12.24
Total
funds
Unrestricted
fund
Restricted
fund
Notes
INCOME AND ENDOWMENTS FROM
Donatioiis and legaci¢s
68,136
7,694
75,830
314,874
Charitable activities
Chariiable dctiviiies
5,431
5.431
Other Irading activities
Otlier income
78,656
3,829
3,829
8.102
Total
156,052
7.694
163,746
322,976
EXPF.NDITURE ON
Raisiiig fund5
I IS,882
I IS,882
Charitable activities
Charitable activities
17,347
548,779
566,126
9,538
Total
133,229
548,779
682,008
9,538
NET INCOMEI{EXPENDITURE}
22,823
(S41,085)
(Sl 8,2621
313.4i8
RECONCILIATION OF FUNDS
Total funds brought forward
3S,356
582,335
617,691
304,253
TOTAL FUNDS CARRIED FORWARD
58,179
41,250
99,429
617,691
The notes form part of these financial statejnents
Page 5

MALLARD COMMUNITY CHARITABLE HUB LIMITED
REGISTERED NUMBER.. N1692476
BALANCE SHEET
31 DECEMBER 2025
31.12.2S
Total
funds
31.12.24
Tothl
funds
Unrestricted
fund
Restricted
lund
Notes
FIXED ASSF.TS
Tangible assets
141,124
141,124
58i.982
CURRENT ASSETS
Stocks
Cash at bank
1,230
59,224
1,230
59.224
112,409
60,454
60.454
112.409
CREDITORS
Ainounts falling due withiii one year
(2,2751
(41.5111
(43,786)
113,122)
NET CURRENT ASSETS
S8,179
(41,511)
16,668
99,287
TOTAL ASSETS LESS CURRENT
LIABILITIES
58,179
99,613
157.792
683,269
CRF.DITORS
Amoutlts fallints due after more rhan one year
(58,363)
(58,363)
(65.578)
NET ASSETS
58.179
41,250
99,429
617,691
FUNDS
Unrestricted funds
Restiictrd funds
58,179
41,250
35,356
582,335
TOTAL FUNDS
99,429
617.691
The cliaritable coinpany is entitled to exemption from audit under Section 477 of the Companies Act 2006 for th¢ year
ended 31 December 2025.
The members liave not required the company to obtain an audit of its financial statements for the ye8r ended
31 Decemb¢r 2025 in accordance with Section 476 of the Conipanie5 Act 2006.
The trustees acknowledge theTr responsibilities for
(a)
ensuriiig that the chai'itable cofflpany keeps accounting records that comply with Sections 386 and 387 of th¢
Companies Act 2006 and
preparing financial s¢atemetits which gtve a true and fair view of the state of affasrs of the charitable company as
ai the end of each financial year and of its suiplus or deficii for ea¢h financial year in accordance with the
requirenients of Sections 394 and i95 and which otherwise comply wilh the requirements of the Compaiiies Act
2006 relating to financial stateinents, so Far as applicable lo the charitable company.
{b)
The noteg fomi part of ihese financial staiements
Page 6
¢oniinued...

MALLARD COMMUNITY CHARITABLE HUB LIMITED
REGISTERED NUMBER: N1692476
riALANCV. 8HEET- continued
31 DCCEMIIER 2025
These financial statements have beeii prepared in accordance with tlie provisions applicable to charitable companies
subjeci to the small companies regiine.
The financial statements were approved by ihe Board of Trustees and authori5ed for issue on 2 Marth 2026 and were
signed on it5 behalf by..
Mrs L Noble- Trusree
Rev J Beacom- Trustee
The notes forni part of these financial statements
Page 7

MALLARD COMMUNITY CHARITABLE HUII LIMITED
NOTES TO THF. FINANCIAL STATEMENTS
for the I'e3r Ended 31 DECEM BER 2025
ACCOUNTING POLICIES
Basis of preparing the finan¢i21 st21ements
Tlie fiiiaTicial statements of the chariiable ¢oinpany, which is a public benefit cntiti, under FRS 102, have been
prepared in accordance with the Cliaritie5 SORP (FRS 10?) 'AcLounling and Reporting by Charities.. Stateinent
of Recomiiieiided Practice applicable to cliarilies preparin8 their accounts in aLcordan¢e wilh rhe Financial
Reporiing Standard applicable in the UK and Republic of Ireland {FRS 1021 (effective l January 20191,,
Financial Reporting Stsndard 10? 'The Financial Reporiiiig Standard applicable in the UK aiid Republic of
Irelaiid, and the Companie5 Act 2006. The ftnancial statements have been prepared under the hisiorical cost
onveiitioii.
Incom¢
All incoine is recognised in ihe Statement of Financial Activitie5 OTice the charity has entitlement to the funds. li
is probable ihat the income will be received and the amount can be measured reliably.
Expcnditure
Liabilities are recognised as expenditure as soon as ihere is a legal or constructive obligation committing the
charity to that expenditllr¢, it is probable tliat a transfer of economic benefits will be required in setilemenl and
the amouni of the obligaiion can be measured rcliably. Expenditure 55 accounted for on an accruals basis and has
been classified under heading5 that aggregaie all cos¢ relaied to the ¢at¢gory. Where costs cannot be directly
attributed to particular heading5 they have been allocated 10 activities on a basis consistent with the Use of
reSOu￿e$.
Tangible fixed a55ets
Depreciation is provided at the following annual rates iii ordei. to write off each a5sei over its estiinated useful
Leasehold Property
Plani and Equipmei)t
Fixtures and Fiiiings
Straight line over 23 years
2￿/0 on r¢du¢ing balaiice
200/0 on reducing balance
Stocks
Stocks are valued at the lower of Cost and net realisable value. after making due allowance for tsbsolete and slow
oving items.
Taxatio
The charity is exempt from corporation tax on it5 chaTltable aetiyities.
Fund aceoumting
Unrestricted funds can be used in accordance with the cliaritable objectives at the discreiion of the trustees.
Restricted funds can only be used for particular resiricted purposes within the objects of the charity. Restrictions
alj5e when specified by the doiioi 01 when funds are i"aised for particular restricied purposes.
Furtlier explanation of the nature and purpose of each fund is included in the thotes to the financial s￿(einentS.
Pension eosls and other post-retiretnent benefits
The charitable company operates a defined contribution pension scheme. Contribuiions payable io the
charitable company's pension scheme are charged io tlie Statement of Financial Activities in the ￿[lod to which
they relate.
Page 8
continued...

MALLARD COMMUNITY CHARITABLE HUB LIMITED
NOTES TO THE FINANCIAL STATEMENTS- continued
for the Year Ended 31 DECLMBER 2025
OTHER TRADING ACTIVITIES
31.12.25
31.12.24
Café Sales
78,656
NET INCOME/{EXPENDITURE)
Net incoine/{expenditllre) is slated after charsingl(creditingl'.
31.12.25
31.12.24
Depreciation - owned assets
15,630
TRUSTEES, REMUNERATION AND BENEFITS
There were no tTUStee5' remuneration or other benefits for the year ended i l December 2025 nor for the year
ended 31 December 2024.
Trustees, expense5
TheTe were no
trustees, expeiises paid for the year ended 31 December 2025 nor for the year ended
31 Decembei. 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
UnTe5tiicted
fund
Res¢ricied
fund
1.otal
funds
INCOME AND ENDOWMENTS FROM
Donations and legacies
22,376
292.498
314,874
Other income
8.102
8,102
Total
30.478
292,498
i22,976
EXPENDITURE ON
Charitable activities
Chariiable aciivities
7,616
1,922
9.538
NET INCOME
Tr8nsfers between funds
22,862
(80,000)
290.576
80.000
313,438
Net movement in funds
(57.138)
370,576
313.438
RECONCILIATION OF FUNDS
Total funds brought forward
92.494
211.759
304,253
TOTAL FUIYDS CARRIED FORWARD
35,356
582.335
617.691
Page 9
continued...

MALLARD COMMUNITY CHARITABLE HUB LIMITED
NOTES TO THF. FINANCIAL STATEMENTS- conlhnued
for tlie Year Elided 31 DECEM BF.R 2025
TANGIBLE FIXED ASSETS
Fixiures
and
Long
leasehold
Equipineiii
Totals
At l January 2025
Additions
Grant Receipts
580,477
64,81)0
(544,837)
3,SOS
15J21
13,942)
583,982
121,551
(548.779)
41,430
At ) l December 2025
IIN),440
41.430
14,884
156,754
DEPRECIATION
e for year
4,367
8,286
2,977
IS,630
NET BOOK VALUE
Ai ) l Decetnber 2025
96.073
33,144
11,907
141,124
At 31 December 2024
580,477
3,505
583,982
STOCKS
31.12.25
31.12.24
Stocks
,230
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.12.25
31.12.24
Bank 108ns and overdrafts (see noie l O}
Trade Creditors
Accrued expenses
41,511
1.200
1,075
11,922
1.200
43,786
Page 10
continued...

MALLARD COMMUNITY CHARITABLE HUB LIMITED
NOTF.S TO THE FINANCIAL STATEMENTS- Continued
for the Year Fndcd 31 DECEMBF.R 2025
CREDITORS: AMOUNTS FALLIIYG DUE AFTER MORE THAN ONE YEAR
31.12.25
31.12.24
Bai)k loans (see noie 10)
58J63
65,578
LOANS
An analysis of the maturity of loans is given below..
31.12.25
31.12.24
Almounts falling due within one year on deTnand".
Baiik overdraft5
Bank loans
29,589
11,922
11,922
41,511
11.922
Ainounts falling between one and two years..
Bank loans- 1-2 years
1,922
11,922
Amounts falling due between two and fiY¢ years..
Bank loans - 2-5 year5
46.441
53,656
MOVEMENT IN FUNDS
Net
moveinenl
iii funds
At
31.12.25
At 1.1.25
UTrre$tricted lunds
General fund
35,356
22,823
58,179
Restrieted funds
Resiricied Funds
582J35
{541,085)
41,250
TOTAL FUNDS
617,691
(518.262)
99,429
Pagell
continued...

MALLARD COMMUNITY CHARITABLE HUB LIMITED
NOTES TO THE FINANCIAL STATEMENTS- continued
for the Ye￿r Elided 31 DECEMBER 2025
MOVEMENT IN FUNDS- eontlnued
Net movemeni in funds. included in the above aTe as follows..
Incoming
resouices
Resources
expended
Moveinenr
in funds
UJire5tri¢ted funds
General flliid
156,052
{133.229)
22,823
Restricted funds
Restricted Fuiids
7,694
(548,779)
(541,0851
TOTAL FUNDS
163,746
(682,008)
1518,262)
Comparatives for movement in fund5
N¢t
moveinent
in funds
Transfers
between
fijnds
At
31.12.24
At 1.1.24
Vnrestricted funds
General fund
92.494
22,862
(80,000}
35,356
Restricted fund$
Restricted Fund5
211.759
290,576
80,000
582,335
TOTAL FUNDS
i04,253
313,438
617,691
Coinparative net movement in fund5, included in the above ar¢ as follows-.
Incoming
resources
Resources
expeiided
Movement
in funds
Unrestricted funds
General fund
{7,6161
22.862
Restricted fund5
Restricted Funds
292,498
(1.922)
290,576
TOTAL FUNDS
322.976
(9,538)
313,438
Page 12
gntinued...

MALLARD COMMUNITY CHARITABLE HUB LIMITED
NOTES TO THE FIIYANCIALSTATEMENTS- eontirtued
lor the Year Ended 31 DECF.MBF.R 2025
MOVEMENT IN FUNDS- continued
A current year 12 months and prior year 12 Inonths Combined posiiion is as follow%'.
Nei
moveineni
in fuiids
Transfers
beiwee
fund5
Ai 1.1.24
31.12.25
Unrestricted funds
Geneial fui)d
92.494
45.685
180.000)
58.179
Restricted funds
Rcstricted Funds
211,759
(250.5091
80,000
41,250
TOTAL FUNDS
304,253
(204,824)
99,429
A current yeaT 12 illonths and prior year 12 months combined nec moveinent in funds, included in the above are
as follows..
Incoming
resources
Resources
expended
Movemenl
in fund5
Uiir¢stri¢ted funds
General fund
186.530
(140,845)
45.685
Restricted funds
Resiricied Funds
300.192
{550,701)
1250,5091
TOTAL FUNDS
486,722
{691,546)
(204,8241
12.
RELATED PARTY DISCLOSURES
There are tho related party transactions in tlie year ended 3 I De¢einber 2025.
In 2024 thei'e was a related party relationsliip between two of the trustees and the supplier listed below. Servi¢es
to the value stated were purchased frotn this supplier at market rate5.
Byothers Studio Ltd
£16,956
Page l?