LY 514
Company Numbgr 06666946
Buttorcup Childr•n'$ Trust
FINANCIAL STATEMENTS
FOR THE YEAR ENOED
31 August 202S

Buttercup Childron'¥ Trust
CONTENTS
Page
Directors and Trustees, Report
14
Independent Examiner's Report
Stslement of Financial Aclivilie8
Balance Sheet
Notes to the Finan¢ial Statements
Tho following aro not part of tho Statutory Accounts
Detsiled Statement ol Financial Activities
10

8UThERCUP CHILDREN'S TRUST
DIRECTORS AND TRUSTEES REPORT FOR THE YEAR ENDED 31 AUGUST 202S
LEGAL AND ADMINISTRA TIVE INFORMATION
LEGAL STATUS
A Company limited by guarantee not havin9 a share capital. The
governing instrument is the Company's Articles of Association.
The company was registered as a Charity on 12 February 2009.
DIRECTORS
AND TRUSTEES
Ronald Kenneth Coulter
Joseph Lionel Telema¢que
Tony Jack Thornton
REGISTERED OFFICE
Suite 11
AND PRINCIPAL ADDRESS Enterpnse Hub
62 Tong Street
Bradford
West Yorkshire
BD4 9LX
COMPANY REGISTRATION Registered in England No. 06666946
REGISTERED CHARITY NO. 1128027 (England and Wales)
SC042679 Iscouandl
ACCOUNTANT
Andrew S Parf(er
Chartered Accountant
16 Foundry Close
Lancaster
Lh2 6FE
BANKERS
HSBC
PO Box 45
47 Market Street
Bradford
B01 1LW

8UTTERCUP CHILDREN'S TRUST
DIRECTORS AND TRUSTEES REPORT FOR THE YEAR ENDED 31 AUGUST 2025
The Directors and Trustees present theii Report and Financial Slalements for the year ended 31
August 2025.
Legal and administrative information $el out tsn page 1 forms part of thi5 report. The financial
statements comply with current statutory requirement5, the memorandum and articles of
association and the Stslement of Recommended Practice
Accounting and Reporting by
Charities.
PRINCIPAL ACTIVITY AND REVIEW OF BUSINESS
The principal activities of the Company are lo make grants to individuals and organisations lo
promote any charitable purpose for the benefit ol children In the UK.
DIRECTORS AND TRUSTEES
The names of the Directors and Tru$lee$ vtho held office during the year are..
Ronald Kenneth Coulter
Joseph Lionel Telemacque
Tony Jack Thofnlon
ORGANISATION
The Charity's legal status is that ol a Company Limited by Guaianlee and is governed by the
Company's Article$ of Association. Company ￿gistered in England No. 06666946. Registered
Charity No. 1128027 (England and Waksl SC042679 Iscodandl.
The Chanty operates from its registered office.
DIRECTORS AND TRUSTEES RESPONSIBILITIES
Company law and law appIl￿ble lo charities in England and Wales require the Directors and
Trustees to prepare Financial Statements for each financial year which gwe a true and fair view of
the state of aftsirs of the Company s and Chanty's financial activits'es during the year and of the
financial posrtion at the erHI of the year.
In preparing the Financial Statements, the Dire¢tor8 and Trustees ¥hould follow best prath'ce and
are required to"_
Seleel suitable accounting policies and then apply them consiSten￿y,.
Make judgments and estimates that are reasonable and prudent..
Prepare the Financial Statements on the 90ing ¢¢n¢em basis unless it is inappropriate to
presume that the charity will Continue in busin&ss.
The Directors and Trustees are responsible for keeping proper accounting records which
disclose, with reasonable accuracy, at any time the financial position ol the charity and to enable
them to ensure that Ihe Financial Statements ¢omply with the Companies Act 2006, other
regulations and the trust deed. They are also responsible for safeguarding the assets of the
charity and hence for tsking reasonable steps for the prevention and detection of fraud and other
irregularities.

BUTTERCUP CHILDREN'S TRUST
DIRECTORS AND TRUSTEES REPORT FOR THE YEAR ENDED 31 AUGUST 2025
STRUCTURE, GOVERNANCE AND MANAGEMENT
The organisation is a charitable company limited by guarantee, Incorporated as a company on 07
August 2008 and registered as 8 charity on 12 February 2009. The company was established
under a Memorandum of Association which estsblished the obje¢l$ and powers of the charitable
company and is governed under rts Articles of Association.
OBJECTIVES AND ACTIVITIES
The charity's objectives are lo promote any charitable purpose for the benefit of children in the
UK as the trustee in their abgolule discretion think fit, in particular bul wthoul prejudice lo the
generalty ol the foregoing, for the benefit of those who are sick or disabled. by the provision of
financial assistance lo individuals. including holidays for themselves and their families, to support
the charitable work of other Institutions.
ACHIEVEMENTS AND PERFORMANCE
During the year the Charity has provided financial assistance to several charitsble organi$alions
and individuals.
REVIEW OF FINANCIALACTIVITIES AND AFFAIRS
Full details of the financial tran$aclions are cc*ntaine(l in the attached accounts. The total
incoming resources for the year were £52.501 and after deducting ￿SourceS expended of
£23,004 the net Incoming resources were £29,497.
The net assets of Buttercup Children's Trust al the 31 August 2024 were £36,233
Unfortunately due to the Y￿￿dwide Covid epidemic in 2020 the Charity, as so many olherg,
suffered financially. Five years later the Charrty is still struggling to survive from the aftermath,
combined with the Cost of living crisis. These events have mas31vety impaded the Charity's
ability to fvndraise and $upport children in need and their families.
Oue to the financial restrictions the Charity fa¢es, the Trustees undertook a complete review of
the Charity's po$ilion. It was decided by the Trustees al the latest AGM that moving forward the
Charity will ￿-prIOrI￿.se the core mission of Buttercup Children's Trust. The Charity will. in future,
prioritise those applications where the babylchild requires emotional and constru¢tive support
such as for therapy sessions. speech and language. hospital visit Support. The Trustees
recognise that this is a change from the Charity's position pre-covid. It is hoped that this new set
of mission statements wll enable Buttercup Children's Trust lo ¥urvive the finan¢ial crisis and
Cont￿nUe to help those families in most need with the available funding.
In order lo ensure al least th￿e clear months Of operation Should funding completely cease the
Trustees have Implemented a reserve policy. Sufficient funds i.e three months operats'onal fees,
will be held in reserve.
PLANS FOR THE FUTURE
Buttercup Children's Trust wll continue lo work lo promote any charitable purpose for the benefit
of children in the UK.

BurrERCUP CHILDREN'S TRUST
DIRECTORS AND TRUSTEES REPORT FOR THE YEAR ENDED 31 AUGUST 2025
DIRECTORS AND TRUSTEES RESPONSIBILITIES ICONTINUEDI
PUBL5C BENEFrr STATEMENT
The Trustees confirm they have complied with their duty in section 17151 of the 2011 Charities
Act to have due regard lo the guidance on public knefit published by the Charity
Commission In exercising their powers and duties.
This report has been prepared in accordance wrth the small comp8nies' regime of the
Companies Act 2006.
Signed on
11 of the board cf directors and trus188S'.
R K Coulter
29 October 2025

INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF
BUThERCUP CHILDREN'S TRUST
I ￿port on the accounts of the company for the year ended 31 Au9USt 2025. whi¢h are set out on pag￿ 610 10.
RESPECnVE RESPONSIBIUTES OF THE TRUSTEES AND EKAIIINER
The Iruslees I￿￿0 are also the directors of the fjompany lor thé purpo&es of company lawl are respon51ble for the
prep8raiion of ltrt accounts In accorda￿ ￿th accouniiw requKemenls of Ihe Companies Act 2tthS and Wih the
ierms of the Chanlies and Tr￿lee5 In¥eslmenl Iscotlandl Act 2005 and ItE Charities Accounts Iscoiiandl
Regulalioris 2006. The chanty's trustees cor¥gider thai an aL¥1il 18 not required for this year under sedion 14412} of
Ihe Charitie5 Act 2011 Ilhe 2011 Acll aThJ Co￿lder that the audit re￿i￿rement of Regulation 10 111 la-cl of the
Accounts Regulabons dc*s not appty and Ihal an Independent examination is reetted.
Hawng saiisfied mysew thai the chanty not Subj￿ to audit uThYer company law arvj ts ell￿ble for lThye￿TryenI
examinaiion. it 1$ my re$pon$ibility 10-.
Examine the attounl8 under section 145 of the Charities Acl 2011 and $ertion 4411llcl of th?
Charibe$ and Trustee Inve5Trni (Scotlat￿l Act 2(M)S and the Chanlies Accoun15 ISGollandl
Re9￿StIonS 20(￿103 8rnendedl'.
To follow the procedures laid down in General Direcbons given by Charity Commission under
seraion 14515}Ib) ol Ihe 2011 A¢1 and Ine Charitie$ and T￿1￿? Invesknienl IScoUaThJl Act 2005 and Ihe
Charities Accoun￿ Iscouandl Regulations 20(￿. and
To siaie vtheiher particulaf mamets have Gorne lo my attent￿
BASIS OF INDEPENDENT EXAMINER'S REPORT
hrty examination was ¢grned out In accordance with the Gener81 Oireclioryd given ty the Chanty Commiysion 8nd in
accordance wrth Regulation 11 of It* Charrties Account3 (Scollandl Regulations 2006. An examination In￿udeS a
review ol the 8ccounliffj records kept by the charity and a cornpanson of the accounls presenteil with Ihase record¥.
11 aL80 Includes consideration of any unusual Items of dk8closures In the accounts. 8nd the seekin9 of explanations
from you as Iruslees cO￿eming any such mallets. The pr¢￿edureS undertaken ¢0 not provide all the eVKIen￿ Ihal
would be required In an audit and. consequenlky, no opinion Is 9iven as lo wtslher the accol￿ts p￿sent a'lrue and
firview. and the report Is lirnileil to Ihose mallers sel out In the siatemeni below.
INDEPENDENT exAMINER'S STATEMENT
In cmnection ￿lIh my exa￿natIOn. no matter ha$ eorr* to my atten￿"￿..
¥¥hich gwe% TrÉ reasonablè tau5e to believe that. in any maienst re¥pect. the requremenis..
lo keep atto￿t￿0 records In 8¢cordance with section 386 of the Companies AGt 2￿ an¢ valh section
44111{ai Of1￿ 2LX15 Act and Regulation 4 01 the 20C*ry Accounts Regulaliws., and
10 prepare accounts thich accord wlh the a(xouniiNJ recoros. comply wlh the a¢couthW requirements
of Ihe Compan￿$ Aci 2006 and wlh Ihe methods and pnwityes of lh8 siaiemtrnt of Recornrnended
Placti￿. Accounting and Repthng by Chanlies (revised 20051 and ￿11Th Rey￿ation 8 01 the 2(lJry
Accoun15 Regulabons.
have Th)1 been rn￿,. or
lo which. In my owThon. attention ShO￿d b2 dra%¥n in order 10 enable a proper underslandiry of the ac¢othts
lo be reached.
Andrew S Parker
Chartered Accounianl
16 FouThJry Cbse
Haiion
Lancas￿[
LA2 SFE
29 October 2025

BUTTERCUP CHILDREN'S TRUST
INCOME AND EXPENDITURE ACCOUNT AND STATEhlENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 AUGUST 202S
Unrostricted
Funds
2025
Totsl
Total
Funds Funds
2025
2024
INCOMING RESOURCES
Incoming r880urces from generatsd fund$'.
Fundraising events
Gift aid
Investment Income
Bank Intere81 rec&wed
Grants received
Total incombng rg•ource¥
3,898
177
3.898
177
225
281
281
105
52
RESOURCES EXPENDED
ts of generating fund
Fundraisin9 Go¥ts
C08ts of Charitab￿ aetivf£ies
Gov8mance co$ts
Total ￿OUrceS oxpondgd
351
21,453
351
21,453
688
12.906
23 004
23 004
Not loutgolng1lin¢oming resources •nd
Net lexpenditurellln¢om• forthe y¢ar
29.497
29.497
16,9241
Total funds at I Septsmbor 2024
Total fund8 al 31 August 2025
The In¢ome and Expenditure Account has l)een prepared On the basis that all operations are continuing
operations.
There were no gains of1055es rewgnised in these Financial Statements other than through the Income and
Expenditu￿ Ac£ount.

BurrERCUP CHILDREN'S TRUST
BALANCE SHEET AT 31 AUGUST 2025
Regl8t•r•d In England No. 06688946
2025
2024
Not
FIXED ASSETS
CURRENT ASSETS
Cash at Bank and in hand
37,533
8,736
CURRENT LIABILITIES
Creditors: ¥mount8 du• wlthin on• yoar
NET Assgrs
FUNDS
Unrèslricled Funds
Total Funds
233
The company 19 vAempl frc*r the requirements re￿Ing to preparing audited xcounls in
accordance with section 477 of the Cunpanies Act 2006.
The members havè not required the cc¥npany to obtain an audit ol the a¢counts lor the year
ended 31 August 2020, in accordance wllh s￿tion 476 of the Companies Act 2006.
The directors aGknowledge their re$ponsiblllties for ccfflplying with the requirern¢nts of the
Companies kt 2006 with resFecl10 8ccounling records and the preparation of accounts.
The accounts have been prepared in atcordance with the promsions epplicable to ¢c*npanie$
suth'ect to the Small con7panies' regime.
The accoLTrnts were approvell by the b)ard of directrys on 29 Octcter 2025 and were signed Dn
its behalf by:
R K Coulter
D1￿ctOr
The notes on page$ 6 to 10 fomi part of these Financi81 Statements.

BUTTERCUP CHILDREN'S TRUST
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 AUGUST 2025
ACCOUNTING POLICIES
1.1 BASIS OF PREPARATION
The Financial Slalements have been prepared in accordance with the Accounting and
Reporting by Charities.. Statement of Recommended Practice applicable lo eh8rilies
preparing their financial stslements in 8¢cordan¢e with the Financial Reporting Standard
applicable in the UK and Republic of Ireland IFRS 1021 leffeclive 1 January 20151
(Charities SORP IFRS 10211, the Financial Reporting Standard applicable in the UK and
Republic of Ireland IFRS 1021 and the Companies Act 2006.
1.2 INCOMING RESOURCES
Income from donations and events 1$ included in incoming resources when receivable.
1.3 RESOURCES EXPENDED
Resources expended are recognised in the period in which they are incurred. Resources
expended include attributable VAT.
1.4 INTEREST RECEIVABLE
Interest is included when receivable by the charity.
1.5 FUND ACCOUNTING
Funds held by the charity are either..
Unrestricted general funds
these are funds which can be used in accordance wrth the
charitable objectives at the disc￿li0n of the truslees.
Restricted funds these are funds that can only be used for particular restricted purposes
within the objects of the charity Reslriclions arise when specified by the donor or when
funds are raised for particular restricted purposes.
NET INCOMING RESOURCES
2025
2024
The nel incominglloulgoingl resources are stated after charging..
Independent Examiner's Fees
Depreciation
1,200
1.200
STAFF COSTS ANO TRUSTEE'S REMUNERATION
2025
2024
Wages and Salaries
Soci81 Security Costs
Pension Costs
10,778
7,950
No employee earned more than £60.000 per annum.
Expenses paid to the trustees in the year.
J Telemacque
T J Thornton
170
185

Bu￿ERCUP CHILDREN'S TRUST
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 AUGUST 2025
NUMBER OF EMPLOYEES
The average number of fUl￿tIMe equivalent employees (including casual and part-time
stsffj during the year was made up as follows..
2025
2024
Administration
TANGIBLE FIXED ASSETS
Motor
Vehicl¢
Total
COSTS
At I September 2024
Additions
Disp05a15
At 31 August 2025
1.119
1,119
DEPRECIATION
At 1 September 2024
Charge for period
At 31 August 2025
1,119
1.119
NET BOOK VALUES
At 31 August 2025
At 1 September 2024
2025
2024
CREDITORS.. amounls due within one year
Accrued expenses
2000

8UTTERCUP CHILDREN'S TRUST
DETAILEO STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 August 2025
INCOMING RESOURCES
2025
2024
Donations
Grants receNed
Gift aid
Bank interest received
3,898
48,145
177
281
3,540
4,000
225
105
OUTGOING RESOURCES
Accountancy
Admin sUPPOrt
Profes$i¢nal l¢e$
Motor and travel expenses
¢)ffice equipment
Advert15ing
Postage and stslionery
SO￿are and subscriptions
Telephone
Staff salaries
Grants paid
Bank charges
1,200
1,200
1,500
300
45
956
180
94
455
1.129
7,950
840
145
317
185
57
160
1,602
1,386
10.778
6,346
130
NET INCOMINGIIOUTGOINGI RESOURCES
202S
Supportl
W8llaro
Admin
Fundraising
Total
Vvages and salaries
Advertising
Telephone
Posta9e and Stationery
2,346
57
324
8,108
10,778
57
1,386
160
1,386
120
27
2024
Supportl
W•lfaro
Admin Fundralslng
Totsl
Wages and salarse$
Advertising
Admin support
Telephone
Postage and stationery
2,160
500
180
5.290
7.950
180
1.500
1,129
94
1.500
1,129
43
688
10