Glenravel Communlty Flrst Responder¥
Charlty No: 109360
Tru8tO88' Report & Flnancial Statement¥
For th8 perlod 02104125- 01104128

Glenravel Community Flrst Responder8
Forthe year ended 01 Aprfl2026
Contontg
Paqo
Trustees Annual Report
34
Independent Examiner$ Report
Statem8nt of R8ceipts & Paym6nt8
Statem6ni of Assets & Liabilities
Page 1

Glenravel Communlty Flrst R88ponders
For the year ended 01 Aprll 2026
Trustees Report
Charlty Namo:
Glenr8vel Communlty First Responders
ChaTIty Addr•88:
1A Lisnamanny Road.
Martinstown.
Ballymena
Co Antrlm
BT43 6QH
Tru$tee8
The following served as trustees during the year and up to the date of this report:
Dominic Mackie
Brenda Kerr
Alex White
Patricia Heaney Slattery
Marlan Maguire
Denise Crossett
Patric8 Birt
Brenda O'Lo8n
Isabèl O'Nèill
Brenda Moore
Shauna Cr80
Bonk•r•:
D8nske Bank
POBox183
Donegalsquarewest
8eltast
BT16JS
Independ•nt Examlner
Nicola Marks
7 Wood¢roft Brae
Gaigorm
Ballymena
BT42 1 FY
Pago 2

Glenravel Communlty Flrst Responders
For the year ended 01 April 2026
Trustees Report
Purposes and Objectives of Glenravel Community First Responders
Glenr8vel Community First Responders will provide life-saving care in a range of medic81
emergencles. pending arrival ambulance seNice. Volunteers will preserve life, prevent
deterior8tion 8nd promote recovery. Volunteers wlll be trained and revalid8ted yearly in
emergency first aid for situations Such as choking and cardiac arrest. Comfort and support will
be provided to family members and community during medical 8mergencie8. The beneficiaries
of the charity, will be everyone with in the Glenravel 8rea. that need the servlces Ot a first
responder in a medic81 emergency.
In setting our objectives and planning our activitles forthe yearthe trustees have oven careful
consideration to the Charity Commi83ion NI'¥ guidance on public benefit to en8ure that tho
ectivities have hèlped to achieve the ch8dty's purposes and provide a benefit to the
beneficiaries.
The First Responders an8v￿red 3 to 4 c811 outs each month during the perlod. Prowding
supportto patients who have contacted the Nl Ambulance Service untilsuch times es
the NIAS arrive at the scene.
We have 11 fully trained First Responders.
This yearwe used a simplified rood map which hos worked well andwo have decidedto
keep using this going forward. We focused on 3 to 4 exlra training sessions for each First
Responder during the ye8r.
The First Responders also promoted Emergency CarelFirst Aid education for the local
community. We provided session8 for M8rtinstown and Clough Prim8ry Schools which
ware vèrywoll roc¢ivad.
We hav6 èndggvoured to keep equipment and unrform rep18cement eost5 to a minim81
durin8 the year.
We have taken on th8 upkeep of Ioc81 communities De-Flbs during this year with the
replacement of batteries and pads.
Next year we have agreed to hold fundr8isers. The local sheep dog trials have agreed
to give a donation which we are very grateful for and one more is yet to be confirmed.
Pago 3

During the year we secured funding from Mid & East Antrim Counclltotalling £300 and £300
from the Resus CouncilUK Grant. We also received £810 in donations. Our income torthe year
totalled £1.410. We made payments in total to the value of £2,751.21 leaving 8 b8nk balance at
theyear-end of£5,553.93.
This report was approved by the Trustees at a meeting on I￿ lLrtL ao
on its behalf by:
and signed
Tiustee
Mrs Marlan Maguire
Tru$t
Mrs Brend8 Kerr
Pago 4

Glenravel Community First Respond•r8
For the year ended 01 Aprll 2026
Ind8P8ndent Examlner8 Report
I have carried out an independentexamin8tion of the accounts of GleniaveLCommunity
First Responders for the year ended 01 April 2026.
Respective r0sponsibllitie8 Ot Trustees and Examln8r
As the charity's trustees you are responsible for the preparation of the accounts in
accordance with the Charitles Act (Nl) 2008.
It is my responsibility to:
examine the accounts under section 65 of the Charities Act
to follow the procedures laid down in the general direction8 gp4en bythe Charity
Commission under section 65 {9)(b) ofthe CharitiesAct
state whether particular matters have come to my attention.
Ba818 of Indopendent Ex8mlner's statement
I have examined your ch8rityaccounts as required under section 65 ofthe Charltie5 Act
and an ex8mln8tion was carried out in accordance wlth the gener81 directions given by
the CharityCommi88ion Nl under section 65 (9}{b) otthe Charlties Act.
The examination included a revlewof the accounting records kept bythe charity and a
comparison of the accounts presented with those records. It also included
consideration of any unusual Items or disclogures in the accounts and seeking
explanations from you as charity trustees concerning any such matters.
As the Independent Examiner my role is to state whetherany material matters have
come to my attention giving Gau8e to believe
That accounting recordswere not kept in accordance with section 63 of the
Charitie3 Act
Th8tthe accounts do not accord with those accountlng records
Thatthe accounts do not compiywith the accounting requirements ofthe
Charities Act
Thatthere is further informetlon needed for a proper understsndlngof the
accounts to be reached
Page 5

Glenravel Communlty Flrst Responders
Forthe year ended 01 Aprll 2026
Independent Examiners Report
Indepondent Examlner8 St8tem6nt
I have completed my examination and have no concerns in respect of the matters listed
1 to 4 above and in connection with followingthe directions of the Charitycommission
Nl have no matters that require drawing your attention too.
Name:
Date:
Nicola Marks
Independent Examiner
7 Woodcroft Brae
Gaigorm
8aLlymena
BT42 1 FY
Page 8

Gienravel Communlty Flrst Responders
Charlty No: 109380
Recelpts & PaymentsAccounts forth• perlod
0￿0￿25- OVOW26
Restrlcted
Funds
Unrestrfcted
Funds
2026
Total
Funds
2025
Total
Funds
Mid & EastAntrfm Councll
Clear Small Grants IDeveLoplng Health)
Resus Council UK Grant
Donations
Fundraising
TOTAL
300.00
0.00
300.00
0,00
0.00
0.00
0.00
300.00
0.00
300.00
810.00
0.00
1,410.00
300.00
200.00
0.00
1,240.50
5,889.70
7,830.20
0.00
810.00
0.00
810.00
Bank Fees
Communlty Hub Hire
Insurance
0.00
0.00
0.00
300.00
0.00
0.00
0.00
0.00
0.00
73.92
240.00
1,266.29
122.00
0.00
150.00
0.00
199.00
loo.00
0.00
2.151.21
73.92
240.00
1.266.29
422.00
0.00
150.00
0.00
82.99
115.00
1.240.62
4,140.32
Equipment
Refreshments
Accounts
MarketlngiEducatlon
Uniforms
150.00
702.00
199.00
loo.00
300.00
2.751.21
0.00
Glfts
Training
TOTAL
0.00
300.00
600.00
7.127.92
SurplusllDeflchl forthe year
11341.21) (1,341.21)
502.28
C•sh b•i4nc• at 02 Aprfl2025 (CuTr¢nt Account)
0.895.14
Cayh balance al 01 Aprfl 2026 {Curr•nt A¢¢ount)
5.553.93
Page7

Gienravel Communfty Flrst Responders
Charfty No: 109360
Statement of Assets & Llabllltles
forthe perloed ended OIAprfl 2026
Restrlcted
Fund$
Unrestrfcted
Funds
2026
Tolal
Funds
Funds Recon¢lllatlon
Cash at bank & in hand 02 Aprll 2025
SurpluslDeficlt this year end
Cash at bank & ID hand 01 Aprfl 2026
52.9)
0.00
52.90
6,842.24
11.341.21}
5.501.03
6,895.14
11,341.211
5,553.93
Bank & Cash 8alance$
Bank Current Account
Cash In Hand
5,553.93
5.553.93
Other Awts (Unrestrfcted Funds)
Flrst Ald Kits x 12
Pop UpStandsx2
Pltch Side Banner x I
Unlforms
Cablnet
Defibrillators x 12 &Tralner Deflbrillatorsx 2
Resuscitatlon Training Manikins x 13
Uabllltl•$ (Unre￿11¢ted Fund)
These re¢elpts and payments acGounts have been appi¢)ved bythe trustees and $18ned on their
behalf by..
Mrs Marfan Magulr•
Trustee
6td21
Mrs Brenda K•rr
Twstee
Page 8