Page-1
Company no.. 03169578
Charlty no.. 1056508
POSTSCRIPT 360 LIMITED
TRUSTEES AND DIRECTORS REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
Charity no: 1056608
Company no: 03169578 (England and Wales)

P8ge-2
Company no.. 03169578
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
Contents
Page
Trustees, Report
3-14
Independent Examiners Report
15
statement of Financial Activities
16
Balance Sheet
17
statement of Cash Flows
18
Notes to the Financial Statements
19-24

Page-3
Company no.. 03169578
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 3q MARCH 2024
Trustees Re
ort 1st A rll 2023 to 31st March 2024
The Trustees present their annual report and financial statements for the year ended 31 March 2024
which are also prepared to meet the requirements for a directors, report and accounts for Companies
Act purposes. The financial statements have been prepared in accordance with the accounting policies
set out in note 1 to the accounts and comply with the Charities Act 2011, the Companies Act 2006, and
the Charities: Statement of Recommended Practice (applicable to charities preparing their accounts in
accordance with the Financial Reporting Standards applicable in the UK and Republic of Ireland. FRS
102) issued in October 2019.
Ob'ectives and Activities for the
ublic benefit
Aims and Pur
oses
PostS¢ript360 provides comprehensive support to people withdrawing safely from dependence on
prescription drugs, including benzodiazepines {tranquillisers), Z drugs, painkillers, and similar
substances, whether prescribed, misused, or purchased illicitly. We create a safe, supportive. and
nonjudgmental environment that empowers our clients to taper off drug dependence while addressing
the underlying causes and stigma associated with it. PostScript360 provides a wrap-around service
consisting of one-to-one support, group sessions, Therapy 300 and a telephone support service. We
share our knowledge with health professionals in our field, promote prevention awareness and support
people through advocacy.
Our purpose is:
To reach more people through our wraparound service of one-to-one support, telephone and
online service, group sessions, Therapy 300 and our volunteer led 360 Clubs. Our aim is to
support people to overcorne their prescription drug dependence of benzodiazepines, Z drugs,
Gabapentinoids and painkillers.
To grow our therapy groups in our communities, empowering participants to make better
choices around their mental health and overall well-being.
Reduce the number of people misusing and developing a dependency to prescription drugs
through prevention, awareness and education.
Advocacy Service-. liaise on behalf of clients, build bridges with their GPS and other health care
services to develop a better understanding of and improved outcomes for our clients, wellbeing.
To share our knowledge with health professionals who come into direct contact with those who
use prescription drug dependence.
Background and Need
Prescription drug dependence is a growing issue, impacting peoples, health, relationships, and overall
well-being. Dependence on benzodiazepines, Z drugs, and painkillers can lead to severe withdrawal
symptoms and even death, that requires specialised support for safe tapering (deprescribing). Many
people face stigma and barriers in accessing the help they need, resulting in prolonged dependency
and associated harms. On average, clients report ten GP visits and A&E visits within a period of
six months. Each GP appointment costs from £56 for 10 minutes, and more for longer, A&E visit costs
£418.00, with an additional £367.00 for an ambulance relating to falls and seizures occurrence due to

Page-4
Company no.. 03169578
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
a medication lapse, mixing other drugs and alcohol. PostScript360 saves healthcare services an
average of £3,526.00 annually. This does not include costs for falls and other conditions associated
with taking dependence-forming drugs.
PostScript360 aims to fill this critical gap by offering a holistic approach to recovery and filling in the
gaps that is lacking in health seNices and drug agencies,
Our objectives:
1. Safe Tapering Support:
Provide a structured, individualised tapering program for clients to safely reduce their
dependence on prescription drugs.
Ensure a nonjudgmental and empathetic environment to encourage client engagement
and trust.
2. Advocacy and Communlcation:
Facilitate effective communication belween clients, their GPS, and other healthcare
professionals to ensure coordinated care and support.
Advocate for clients in situations where communication has broken down, working to
rebuild trust and cooperation.
3. Exploration of Underlying Condltlons:
Conduct thorough assessments to understand the underlying conditions that contribute
to drug dependence.
Provide therapeutic Inte￿entIOnS and support to address these root causes, promoting
long-term recovery.
4. Breaking Down Barriers and Stigma:
Implement educational programs to reduce stigma and promote understanding of
prescription drug dependence within the community and health care services,
Advocate for policies and practices that support equality and reduce discrimination
against people with drug dependence,
5. Bullding Resilience:
Equip clients with the skills and strategies needed to manage their mental health and
prevent relapse.
Foster a sense of empowerment and control over their recovery journey.
Activlties
1. Comprehensive Assessment and Individualised Tapering Plans:
Conduct initial assessments to determine the appropriate tapering plan for each client.
Provide ongoing monitoring and adjustments to ensure safe and effective tapering.

Page-5
Company no.. 03169578
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
2. Therapeutic Support:
Offer one-on-one support and group therapy sessions to address emotional and
psychological aspects of dependence.
Provide access to alternative therapies such as mindfulness and stress management
techniques.
3. Advocacy and Llaison Services:
Act as intermediaries between clients and healthcare providers to facilitate
communication and coordinated care.
Advocate for clients, needs and preferences in medical and social service settings.
4. Educational and Stigma Reductlon Initlatives:
Develop and deliver workshops, seminars, and outreach programmes to educate the
public and healthcare professionals about prescription drug dependence.
Promote stories of recovery and resilience to challenge stereotypes and reduce stigma.
5. Resilience Bullding Programmes:
Conduct workshops and training sessions on coping strategies, self-care, and relapse
prevention.
Create peer support nelworks to provide ongoing encouragement and mutual aid.
Expected Im pacts:
Improved Health and Well-being: Clients will experience improved physical and mental health
as they successfully taper off prescription drugs.
Enhanced Communlcation and Advocacy: Clients will benefit from better communication
with healthcare providers and effective advocacy support.
Reduced Stigma: Increased awareness and understanding within the community will lead to
reduced stigma and greater support for individuals in recovery.
Empowered Clients: Clients will gain resilience and skills to manage their mental health and
maintain their recovery long-term.

Page-6
Company no.. 03169578
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
From 1st April 2023 to 31st March 2024 PostScrlpt360's outcomes:
Telephone Support Service has been a vital service over the past year handling 13,491
inbound and outbound telephone calls combined. An average of 269 calls a week, 53 calls a
day. An increase of 240/0 from last year.
One-to-one Support: 490 people received personalised assistance, of which198 were
complex cases, 40 % increase compared to 202213.
Group Sessions: Service users progress from individual support to group sessions, sharing
experiences and learning from others. These sessions are hosted by our Recovery & Wellbeing
Practitioners empowering clients to complete their taper plan.
Therapy 300: Over 220 people from Bristol and surrounding areas, and 250 people participants
from other regions in England & Wales benefitted from group therapy sessions focusing on how
to live without prescription drug misuse and to live a healthier life hosted by our practitioners.
Advocacy: We bridge the communication gap between our service users and healthcare
providers, ensuring they receive necessary care to support their taper schedule and other
mental health conditions. Last year, we provided 1,400 hours to 325 people.
Knowledge Sharing: We share our knowledge and experience of 28 years supporting people
daily to taper safely from prescription drugs of dependence with healthcare professionals.
Covering prescription drug misuse, the effects they have on our community and the growing
concerns of people purchasing illicit medication online. This year we presented to 37
organisations.
Prevention Awareness: Through conferences, seminars, campaigns and social media. We
presented to 35 GP Practices, 144 probationary service staff in England, 186 local councillors
and mental health workers. We presented quarterly presentations where we invited former and
existing clients to share their personal experiences of becoming dependence free with health
professionals.
Ran 14 campalgns on social media platforms, using anonymised examples from clients, life
experiences, these highlighted the harms of benzodiazepines, prevention awareness,
warnings of mixing other drugs with benzodiazepines, plus keeping abreast of bad batches
and alerting people on social media platforms. We reached approximately 62.000 people last
year, promoting and participating in awareness and educational campaigns.
360 Clubs: After clients complete our support programmes, over 105 people joined our peer-
to-peer 360 Clubs across England and Wales to continue with friendships made and to support
each other,
950/0 of people who were supported by PostScript360 from April 2023 to March 2024 are
dependence free or have reduced by a least 80 %.

Page-7
Company no.. 03169578
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
How PostScript360 monitors and evaluates client progress
We implement a comprehensive evaluation framework to measure the success of our programme,
including..
Regular client feedback and satisfaction sunieys.
Monitoring of tapering progress and health outcomes through National Drug Treatment
Monitoring System, part of The Office for Health Improvement and Disparities.
Assessments of changes in stigma and community attitudes through pre- and post-programme
surveys.
Documentation of advocacy interventions and their outcomes.
Mood Tracker that monitors our clients, anxiety, happiness and social inclusion.
Monitor client's wellbeing, diet, sleep hygiene and housing.
Long-term use of Benzodiazepine, Z Drugs, pain killers and other similar prescription drugs of
dependence has caused adverse physiological and neurological effects to over 3.9 million people in
England. This is a serious health problem. The average time people are supported by PostScript360
ranges from 9-24 months, depending on the length of time taking the drug, the quantity and the type
of drug.
We continue with an in depth inhouse monitoring system of clients because many of our clients do not
want to give their consent for PostScript360 to share infomiation with other parties, such as National
Drug Treatment Monitoring System (NDTMS), Early Intervention Services, Adult SeNices, Mental
Health Services, GP Practices and Housing Providers. To overcome this, our practitioners explain to
the clients the importance of being a part of collecting data that helps monitor the current landscape of
prescription dependency which has improved from last year.
Comparisons bebmeen client consent over years:
321 Clients April 2022 to March 2023
NHS and other Health SeNices
Early Intèrvention Servlces
io
'.% Adult Services
Education Support Services
Voluntary Sector Organisatlons
National Drug Treatment
Monitoring System INDTMSI
GP & Surgery
Social Care

Page-8
Company no.. 03169578
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
490 Clients April 2023 to March 2024
NHS and other Health Servlces
Early Interventlon se￿ICe$
30
Adult Services
23
Education Support Services
24
Voluntary Sector Organisatlons
National Drug Treatment Monltorlng
System INDTMSI
GP & Surgery
Social Care
Dependence and other health illnesses.
Most people on our caseload reported they have anxiety disorders (95 % ) and depression (61 % ).
People presented to PostScript360 with more than one health illness, and several had a combination
of several illnesses.
350/0 ADHD
28 % menopause
28 % people waiting for a diagnosis
26 % post-traumatic stress disorder (PTSD)
24 % sexual abuse and trauma
220/0 back injury
14 % bipolar disorder
120/0 Neurological Disorder
9 % borderline personality disorder
80/0 eating disorders
Additionally, life events such as bereavement, divorce, work-related stress, and financial crises can
drive people to seek solace in these medications. We are also seeing a rise in older adults
purchasing illegal prescription drugs online. This often occurs when their GP or psychiatrist has
stopped their prescription, or when patients believe they need more medication and resort to illegally
sourcing it, often without their docto¢s knowledge.

Page-9
Company no.. 03169578
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
In 2023124 we supported more females, and the average age group was 31-54 years of age
Gender
rvlale w FeinalE m Non-blnary people
Age
18%
27Yo
18- 30 year5
31- 54 years
55+ plus years
550A
Fundin
Primary care and the NHS service direct people to PostScript360 however the ICB (Integrated care
board) has not commissioned our service. Many grants giving charitable trusts and the National Lottery
Community Fund will not fund our us because they believe PostScript360 should fall under statutory
services provided by the NHS or Government. The CEO and the Trustees are actively looking at
different avenues for income from hosting a large fundraising event annually, income from the private
sector and the CEO spending more time on grant applications.
challen
es

Page-10
Company no.. 03169578
Charity no: 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
Flnancial Review
PostScript360 ended this financial year with a shorlfall. We have grown and improved our service
delivery with a 94 % success rate. The charity has demonstrated model solutions: innovation, problem
solving for our clients, creating, capturing data and evidencing practical solutions that support clients.
Our advocacy efforts have successfully influenced many health professionals to get the best outcome
for our clients, their patients, and at the same time educated them of the harms of these drugs and the
benefits of safe taper schedules. The legacy of the pandemic has affected our financial performance
and strategic position and we are still playing catch up. We have already gained more support from
charitable trusts in 2024, we still have more to do and want to be more sustainable in the future.
We have grown our contributions income., this is where clients pay a small percentage towards their
treatment and the charity subsidies the rest. We ask clients who are employed to pay more.
PostScript360 employed an additional trainee Recovery & Wellbeing Practitioner with the increased
demand of the need for our service.
Investment Polic
The charity has no long-term investments, its primary asset is cash in the bank. The Trustees are being
prudent with the charity's free reserves until economic stability returns. Time and effort have been
spent over several years to have our service commissioned which has never materialised. The
landscape of funding and fundraising has changed. This may result in opportunities for the charity to
work in partnership with other services. Other avenues of income need to be addressed. The CEO and
the trustees are exploring other avenues such as offering for our services to the private sector and
companies, as well as improving our digital presences allowing us to provide our services throughout
England & Wales. The Trustees, through their connection with the music industry are aiming to have
an annual event to raise PostScript360's profile and income.
Goin
Fordvard
The main aims for the Board of Trustees for the next financial year are to recruit more trustees and to
seek professional advi￿ for more insight and perspective in the business side of the charity's
sustainability. We aim to offer our service into the private sector, bringing in extra income that will
support more vulnerable people in need of support.
The Board of Trustees and staff team aim to continue the services offered by the charity and to help
more individuals who are harder to reach. The priorities are..
To host our seniices in GP practices through the Southwest by the end of 2025.
To grow our 360 Clubs, peer to peer groups,
To increase our contribution donations towards their therapy for those who are employed.
To introduce a private seNice for those who can pay the going rate of our service.
To introduce our services to sports clubs, universities and companies.
To engage and promote prevention awareness to younger people, and to support those who
need help now at universities, colleges and in the wider community through music events.
To grow our income through applications to charitable trusts, local council grants and
company charity of the year support.

Page- 11
Company no: 03169578
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
To promote awareness to larger audiences of the dangers of buying benzodiazepines and
other similar prescription drugs online, through short information videos via social media,
presentations, and events.
To be known as the 'go-to' organisation for support and expert knowledge of the effects of
benzodiazepines and other similar drugs by the health professionals and practitioners through
conferences. partnerships and collaborations.
Reserves Polic
PostScript360 recognises the importance of maintaining an appropriate level of reseNes to allow for
contingency planning or action. The Charity's reserves policy is to hold from three to six months,
operating costs. This is in the event of the charity having to wind down meeting all its financial
obligations.
The trustees are aware of the importance for the charity to have enough funds to grow its capacity and
to be able to weather the storm if we have another pandemic. During this time, whilst the charity adjusts
to the economic changes, we intend to build up our reserves, to expand our seniices by securing
different income streams to have more sustainability certainty for the future.
Princi
al Fundin
Sources
PostScript360 drew down on its reserves in 2023 - 2024. The charity re￿iVed grants from The John
James Bristol Foundation, Cost of Living grant from South Gloucestershire, Celtic Connection Fund
and Douglas Family Charitable Fund administered by the Quartet and contribution donations from
clients and their families.
Risk Mana
ement
The Board of Trustees will annually review the major risks to which PostScript360 is exposed. Vthere
deemed appropriate, systems andlor procedures have been established to mitigate the risks the charity
faces, Control risks are minimised by the implementation of financial controls which are regularly
monitored and updated. A Risk Management Policy, Financial Policy and Health and Safety Policy are
in place and followed to ensure compliance, for the protection of staff, volunteers and charity.
Structure Governance and Mana
ement
Governin
The organisation is a charitable company limited by guarantee incorporated on 08 March 1996 and
registered as a charity on 01 July 1996. The company was established under a Memorandum of
Association which established the objectives and powers of the charitable company and is governed
under its Articles of Association. In the event of the company being wound up members are required
Document

Page- 12
Company no.. 03169678
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
to contribute an amount not exceeding £1.00. In 2020 the Memorandum of Association of the charity
was updated and reviewed by the Board of Trustees this was replaced with Articles of Association.
Recruitment and A
ointment of Trustees
The number of trustees shall be not less than three but shall not be subject to any maximum. At each
annual general meeting, one third of the trustees who are subject to retirement or reappointment by
rotation. If their number is not three or a multiple of three, the number nearest to one third shall retire
from office or reappointment. The Charity Governance Code recommends a maximum period of 9
years but if there is only one trustee who is subject to retirement by rotation, helshe shall retire. The
trustees to retire by rotation shall be those who have been longest in office.
Trustee Induction and Trainin
New trustees are provided with a full induction to the organisation, covering the roles and
responsibilities of Board members, operational, financial and health and safety policies, services and
activities, and the Strategic Plans of the Charity.
Reference and Administrative Details of the Chari
PostScript360 is a company limited by guarantee and a registered Charity.
Registered office: 1st Floor, East Wing, The Kingswood Estate, Britannia Road, Kingswood, Bristol
BS15 8DB
Registered Company No.. 03169578
Registered Charity No.. 1056508
Trustees and Directors on March 31 2024
Ms Sophia Knight
Ms Michelle Wynne
Ms Dionne Smart
Ann Deamer
Bankers
Charities Aid Foundation (CAF) Bank
25 Kings Hill Ave,
Kings Hill,
West Malling
ME19 4JQ

Page- 13
Company no.. 03169578
Charity no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
Examiners
Harwood, Lane & Co
Chartered Accountants and Registered Auditors
Units 1-4 Crossley Farm Business Centre
Swan Lane, Winterbourne
Bristol, BS36 1 RH
Statement of Trustees, res
onsibilities
The charity trustees are responsible for preparing a trustees, annual report and financial statements in
accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Accepted
Accounting Practices).
The law applicable to charities in England and Wales requires the charity trustees to prepare financial
statements for each year which give a true and fair view of the state of affairs of the charity and of the
incoming resources and application of resources, of the charity for that period. In preparing the
financial statements, the trustees are required to:
Select suitable accounting policies and then apply them consistently.
Observe the methods and principles in the applicable Charities SORP,
Make judgements and estimates that are reasonable and prudent.
State whether applicable accounting standards have been followed, subject to any material
departures that must be disclosed and explained in the financial statements.
Prepare the financial statements on the going concern basis unless it is inappropriate to
presume that the charity will continue in business.
The trustees are responsible for keeping proper accounting records that disclose with reasonable
accuracy at any time the financial position of the charity and to enable them to ensure that the financial
statements comply with the Charities Act 2011 and the applicable Charities (Accounts and Reports)
Regulations. They are also responsible for safeguarding the assets of the charity and taking
reasonable steps for the prevention and detection of fraud and other irregularities.
Members of the Board
Members of the Board of Trustees, who are directors for the purpose of company law and trustees for
the purpose of charity law, who served during the year and up to the date of this report.
In accordance with company law, as the company's directors, we certify that..
so far as we are aware. there is no relevant accounts information of which the independent
examiners are unaware.

Page- 14
Company no= 03169578
Charily no.. 1056508
POSTSCRIPT 360 LIMITED
ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2024
as the directors of the company we have laken all the steps that we ought to have taken to
make ourselves aware of any relevant accounts information and to establish that the charily's
examiners are aware of that information.
Inde
endent Examiners
Harwood Lane & Co were the charitable company's independent examiners for the year and have
expressed their willingness to continue in that capacity.
Approval
This report was approved by the Board of Trustees on
and signed on its behalf.
Name., Sophia Knight
Chair of Trustees

Co Reg.. 3169578
CC Reg.. 1056508
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE
Page- 15
POSTSCRIPT 360 LIMITED
I report on the accounts of the Company for the year ended 31 March 2024, which are set out on pages 16
to 24.
Respectlvo re$pon8lblllties of trustees and examlner8
The trustees (who are also the directors of the company for the purposes of company lawl are responsible
for the preparation of the accounts. The trustees consider that an audit is not required for this year under
section 144{21 of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed. I
am qualified to undertake the ex8mination by being a qualified member of the Institute of Chartered
Accountants in England and Wales.
Having satisfied myself that the charity is nol subject to audit under company law and is eligible for
independent examination, It is my responsibility to..
examine the accounts under section 145 of the 2011 Act.,
to follow the procedures laid down in the General Directlons given by the Charity
Commission under sectlon 145{5)(b) of the 2011 Act- and
to state whether particular matters have come to my attention.
Basis of Independent examlners, report
My examination was carried out in accordance with the General Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the charity and
a comparison of the accounts presented with those re￿rds. It also includes consideration of
any unusual items or dlsclosures in the accounts, and seeklng explanations from you as truslees
conceming any such matters. The procedures undertaken do not provide all the evldence that would
be required in an audit and, consequently, no opinion is given as to whether the accounts present a
true and fair view, and the report is limited to those matters set out in the statement below.
Indopendent examlnor's statement
In connection with my examination, no matter has come to my attention..
which give me reasonable cause to believe that. in any material respect, the requirements..
to keep accounting records in accordance with s386 of the Companies Act 2006., and
to prepare accounls which accord with the accounting records and to comply with the
accounting requirements of section 396 of the Companies Act 2006 and with the methods
and principles of the Statement of Recommended Practlce.. Accounting and Reporting by
Charities
have not been mel., or
to which, in my opinion, attention should be drawn in order lo enable a proper understanding
of Ihe accounts to be reached.
d Io(w
Davld Cox F.C.A.
For and on behalf of Harwood Lane & Co
Chartered A¢countants and Statutory Auditors
Unils 1 4
Crossley Fann Business Centre
Swan Lane
Wlnterbourne
BRISTOL
8S36 1RH
Date: 21 d()wJwsf42 Ipi

Co RÈU.. 3169578
CC Reg.. 1056508
Page-16
POSTSCRIPT 360 LIMITED
BALANCE SHEET AS AT 31 MARCH 2024
Notes
2024
2023
FIXED ASSET INVESTMENTS
CURRENT ASSETS
Deblors
Cash al Bank
159
191,949
123,772
123,772
192.108
CREDITORS: amounts falllng due wlthln
one year
-2,922
-3,094
Net Current Assets
120,850
189,014
Total Assets Less Current Llabllltles
£120.850
£189,014
CAPITAL AND RESERVES
General Reserve
Reslricled Reserve
10
10
120,850
189.014
CharSty Funds
£120,850
£189,014
The Directors considers that the company is entitled lo exemptlon from the fequiremenl lo have an audll under Ihe
provisions of s.477 01 the Companies Act 2006. Members have not required the company under s.476 of the
Companies Act 2006, to oblaln an audit for the period ended 31 March 2024. The Directors acknowledge their
responslbililies for ensuring that the Company keeps accounting records which comply with s.386 and s.387 of the
Companies Act 2006, and for preparing accounts which glve a Irue and falT view of the stale of affairs of the company
as al 31 March 2024 and of ils surpluslldeliclll for the period then ended in accordance with the requirements of s.396,
and which otherwise comply wilh thè requirements of the Act relating lo the accounts so far as appllcable lo the
The financial slalemenls whlch have been prepared in accordance with the special provislons relating lo companies
subject lo the small Companies regime wilhln Part 15 of the Companies Act 2006 weie approved by the board on 24
2024 and are signed on Ils
half.
Trustee
Name.. S Knloht
The notes on page 19 to 24 form part ofthese accounts

Co RÈg.' 3169S78
CC Reo.. 1056508
POSTSCRIPT 360 LIMITED
Page- 17
STATEMENT OF FINANCIAL ACTIVITIES FOR THE PERIOD ENDED 31 MARCH 2024
SUMMARY INCOME AND EXPENDITURE ACCOUNT
Notes
2024
2023
INCOMING RESOURCES
Reslrlcted Unrestrlcted
Funds
Fund
Total
Total
Incomo from Charltable Activltlos
13
20,000
20,000
23,000
Donatlons and Lega¢loS
14,299
14,299
9,385
Incomo from other tradlng
activitles
14
Investment Income
15
314
314
616
Total Incomlng Resourcos
34,613
34,613
33,001
RESOURCES EXPENDED
Cost of Generatlng Funds
Fundraising Costs
16
Charitsble Activities
17
102,777
102,777 129,421
Totsl Expendlture
102,777
102,777 129,421
Transfer be￿een funds
102,777
102,777 129,421
Net Incomlngl(Outgolng)
Resources for the year
-68,164
-88,164 -96,420
Re81ised {Ios8es)Igaln8 on Investments
Unrealised (1088es)Igalns on Investments
Balance brought forward
10
189,014
189,014 285,434
Total Funds Carrfod Forward
10
£0
£120,850
£120,850
£189 014
The notos on page 19 to 24 form part of these a¢¢ounts

Co Reg.. 3189578
CC R8g.' IOS6S08
POSTSCRIPT 360 LIMITED
Page- 18
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 MARCH 2024
Notes
Total Funds
2024
Prlor Year
2023
Net Cash used In oporatlng activitles
18
8,491
-97,619
Cash Flow from Investlng activitles..
Interest and dividend5
Purchase of investments
Proceeds from sale of investments
314
618
Not cash provlded by Investlng actlvlties
314
616
Cash Flow from flnancing a¢tlvltles."
Repayment of borrowing
Receipt of expendable endowment
Net cash provlded by flnanclng actlvitles
Change In cash and cash equlvalents In tho year
-68,177
-97,003
Cash and cash equivalent brought forward
191,949
288,952
Ca8h and cash equivalent carrled forward
£123 772
£191,949

Co Reg.. 3189578
CC Reg: 10S6508
POSTSCRIPT 360 LIMITED
Page- 19
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
Accountlng policies
The principal accounting policies are summarised below. The accounting policies have been applied
conslstently throughout the year and in the preceding year.
(a)
Basls of Accountlng
The financial statements have been prepared In accordance with Ihe Charities.. Statement of
Recommended Practice (applicable to charities preparing their accounts in accordance with Ihe Financial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 10211 (issued in October 20191
{Charitles SORP IFRS 102)), the Financial Reporting Standard applicable in the UK and Republic of
Ireland IFRS 1021 and the Companies Act 2006.
Post Script 360 Limited meets the definition of a public benefit entity under FRS102. Assets and liabilitles
are initlally recognised at historical cost or transaction value unless otherwise slaled in the relevant
accounting policy notes.
(b)
Preparation of the accounts on a golng concern basls
The charity reported a deficit and cash outftow for Ihe year of £68,000. The charity has sufficient reserves
to continue operating in the immediate fvture, for a period of 12 10 24 months and, on this basis, the charity
is a going concern.
As the trustees have acknowledged in Iheir report, income needs lo increase and is increasing, in tsThs of
contributions, grants and different income streams. The charity is also aiming to have its sefwces
commissioned which would significantly increase income.
(c)
Income Rocognltlon
All incoming resources are included in the statement of financial activities when the charity is entitled lo the
income and the amount can be quantified with reasonable accuracy. The following Specific policies are
applied to particular categories of income..
Voluntary income is received by way of grants, donations and gifts and is included in full in Ihe Statement
of Financial Activities when receivable. Grants, where entitlement is not conditional on the delivery of a
specific performance by the charity, are recognised when the charity becomes unconditionally entitled lo
Investment income is included when receivable.
Incoming resources from charitable trading aclivity are accounted for when earned.
Incoming resources from grants, where related lo performance and specific deliverables, are accounted
for as the charity eams the right to consideralion by its performance.

Co Reg.. 3169578
QC Reg.. 1056508
POSTSCRIPT 360 LIMITED
Page - 20
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
{d)
Expendlture Recognitlon
Expenditure is recognised on a accrual basis as a liablllty is incuffed. Expenditure includes any VAT which
cannot be fully recovered, and is reported as part of the expenditure lo which it relate5.'
Costs of generatlng funds comprise the costs associated with attracling voluntary income and the costs of
trading for fundraising purposes.
Charitable expenditure comprises those cosls inCUr￿d by the charity in the delivery of its activities and
services for its beneficiaries. It includes both costs that Can be allocated dlreclly to such activities and
those costs of an indirect nature necessary lo support them.
All costs are allocated betsveen the expenditure categories of the SOFA on a basis designed to reflect the
use of the resource. Costs relating to a partlcular activity are allocated directly, others are apportioned on
an appropriate basis.
(e)
Fund Ac¢ountlng
Unrestricted fijnds are available for use at Ihe discretion of the trustees in furtherance of the general
objectlves of the charity.
Designated fvnds are unreslricted fiJnd8 ea￿alked by the Truslees for particular purposes.
Restricted funds are subject to restrictions on their expenditure imposed by the donor or through the terms
of an appeal.
io
Flxed Assot Investrnents
Investments are stated at market value as at the balance sheet date. The Income and Expenditure
account includes the net gains and losses arising on revaluation and disposals throughout the year.
(g)
Roallsed Galns and Losses
All gains and losses are taken to the Income and Expendilure account as thèy arise. Realised gains and
losses in investments are calculated as tho difference between sales proceeds and opening rna￿et value
(purchase date if18terl. Unrealised gains and losses are calculated as the difference between the market
value at the year end and opening market value (or purchase date if later). Realised and unrealised gains
are not separate in the Income and Expenditure account.
Flxed Asset Investments
2024
2023
Quoted Shares and Corporate Bonds - histoflcal cost
£0
£0
Quoted Shares and Corporate Bonds - market Value
£0
£0

Co Rao.. 3169578
CC Reg.. IOS6508
POSTSCRIPT 360 LIMITED
Pag8- 21
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
Debtors
2024
2023
Grants Receivable
Prepayments
Other Debtors
159
£0
£159
Credltors: amounts falllng due
wlthln one year
2024
2023
Accruals
other Taxes and Social Security Costs
870
2,052
870
2,224
£2.922
£3,094
Employee costs
2024
2023
Wages and Salaries
Social Security Costs
Pension Contribulions
84,119
3,412
1,974
106,002
6.212
2,452
£89,505
£114 666
No employees received emolument5 of more than £60,000.
Average number of employees
Trustees remuneratlon and related party transactlons
No members of the board of trustees received any remuneration during the year.
No trustees or other person related to the charity had any personal interest in any contract
or transaction entered into by the charity during the year (2023 - Nil).
Net Incomlng resources
2024
2023
Net Incoming Resources is stated
after charging:
Depreaalion
Independent Examiners Fee (inc VAT)
870
870

Co R89: 3169578
CC Reg". 1056S08
POSTSCRIPT 360 LIMITED
Page- 22
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
Capltal comrnltments
2024
2023
Authorised but not contracled
Contracted but not spent
£nll
£nil
£nll
£ nll
Analysls of net a88ets betwaon funds
General
Funds
Rostrlcted
Funds
Total
Fixed Asset Investments
Current Assets
Current Liabillties
123.772
-2,922
123,772
-2,922
£120 850
£0
£120,850
10
Reserves
At 01.04.23 Transfers
Income
Expendlture At 31.03.24
General ReseThes
- general funds
- designated funds
159,949
29,065
34,613
-102,777
91,785
29,065
189,014
34,613
-102.777
120,850
Gainsl{lossesl
Total Reserves
£189,014
£0
£34,613
£102.777
£120,850
11
Deslgnated reselves
2024
2023
Designated Reserves consist of..
Development Reserv8
29,065
29,065
£29 065
£29.065
Pur
ose of Restrlcled Funds
There were no restricted fvnds during th8 year.
Pur
ose of Desl
nated Funds
Development Reserve
A Development Resetve has been estsblished to set aside funds for the purpose of the
on-going development of the charity.

Co Reg.. J169578
CC Reg.. 10S6508
POSTSCRIPT 360 LIMITED
Page - 23
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
12
Tgxatlon
As a charity, Post Scrfpt 360 Limited is exempt from tax on income and galns falling
within current tax legislation to the extent that these are applied lo its Charitable oblectives.
No lax charges have arisen in the Charity.
13
Income frorn charltable
a¢tlvltles
2024
Total
2023
Total
Reslrlcted Unrestrlcted
South Gloucestershire Council
John James Foundation
Jack Lane Charitable Trust
Quartet Community
Souter Charitable Trust
The Foyle Foundation
5,000
10,000
5,000
10,000
4,000
10.000
1,000
5,000
5,000
3,000
5,000
£0
£20,000
£20 000
£23,000
14
Income from other tradlng
actlvltles
2024
Total
2023
Totsl
Restrlcted Unrestrlcted
Group Work
£0
£0
£0
£0
15
Investment Income
All of the charilles investment income of £314 {2023 £616) arises from money held in interest
bearing accounts and inveslmenls.
16
Dlrect charltable
expendlture
2024
Total
2023
Total
Restrlcted Unrestrlcted
Fundraising Costs
£0
£0
£0
£0

Co Reo.. 3169578
CC Reg.. 1056508
POSTSCRIPT 360 LIMITED
Page - 24
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
2024
Total
2023
Total
17
Charltable acllvltles
Restricted Unre8trlcled
Salaries
Postage
Photocopylng and Printing
IT Costs
Training
Subscriptlons and Publications
AdvertisinglPromolion
Telephone
Bank Charges
Rent and Rates
Insurance
Repairs and Renewals
Payroll Bureau
Miscellaneous Expenses
Book-Keeping
Independent Examination
89,505
89.505
114,666
218
360
2,328
395
490
435
3,184
226
4.288
727
51
421
266
496
870
217
420
217
420
482
815
3,263
294
5,054
751
84
316
201
498
870
482
815
3,263
294
5,054
751
84
316
201
498
870
£0
£102,777
£102.777
£129 421
18
Reconciliatlon of net movements In funds to net cash
flow from operatlng actlvltles
2024
2023
Net Movement in funds
Deduct interest income
Decrease (increase) in debtors
Decrease {Increa8e) in stocks
Increase (decrease) in creditors
48,164
-314
159
-96,420
-616
-159
-172
424
Net cash usod In operating actlvltles
£68,491
£97,619