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DePaul INTERNATIONAL TRUSTEES\' REPORT AND CONSOLIDATED FINANCIAL STATEMENTS2020COMPANY NUMBER: 5245818 CHARITY NUMBER: 1107385Content Statement of the Chair and Group Chief Executive1Trustees\' report
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01
Gather all relevant financial information for the reporting period.
02
Calculate the trustees report using the financial information collected.
03
Include information about the trustees and their responsibilities in the report.
04
Consolidate the financial information from all relevant entities.
05
Prepare the consolidated financial statements including balance sheet, income statement, and cash flow statement.
06
Review and ensure accuracy of the trustees report and consolidated financial statements.
07
Submit the trustees report and consolidated financial statements to the appropriate stakeholders.

Who needs trustees report and consolidated?

01
Companies with multiple entities that need to present a complete financial picture.
02
Investors and shareholders who want to understand the overall financial health and performance of a group of companies.
03
Regulatory bodies that require consolidated financial statements for compliance purposes.
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The trustees report is a formal document that outlines the financial activities and status of a trust or organization. The consolidated report combines multiple reports from affiliated entities to present a unified financial position.
Typically, trustees of trusts, non-profit organizations, and other entities that manage funds are required to file the trustees report and consolidated reports.
To fill out the trustees report and consolidated, gather all relevant financial documents, fill in the required financial details accurately, and ensure compliance with applicable legal standards and reporting requirements.
The purpose of the trustees report and consolidated is to provide transparency regarding the financial status and operations of the trust or organization, ensuring accountability to stakeholders.
The information that must be reported includes income, expenditures, assets, liabilities, and other financial metrics that reflect the organization's financial health.
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