ANNUAL REPORT
FOR THE YEAR ENDED 15 ocfoBER 2025
FOR
THE RAINBOW OF HOPEIPARADISE RUN
Charlty Number 1088856

THE RAINBOW OF HOPEIPARADISE RUN
CONTENTS OF ANNUAL REPORT
FOR THE YEAR ENDED 15 OCTOBER 2025
Contents
Page
Chairman's Report
Report of the Independent Examiner
Details of the Independent Examiner
Statement of Financial Activities
Balancesheet
Notes to the Financial Statements

THERAINBOWOF HOPE/PARADISERUN
CHARITY INFORMATION
TrUSTEES
Miss E112abeth Perret-Atkins
Mr Anthony William Jeremy
Mrs Freda Salway
Mr William Oliver
Mrs Maureen Davles
Mr Paul short (Resigned 28th October 20251
Mrs Llinos Rainer (Reslgned 30th July 20251
Mr Paul Thomas (Appointed 17th October 20251
REGISTERED ADDRESS
23-25 Broadway
Cardiff
CF24 IQE

THE RAINBOW OF HOPE/pARADISE RUN
ANNUAL REPORT
FOR THE YEAR ENDED 15 OCTOBER 2025
CHAIRMAN'S REPORT
It has been a very hard year. Due to significant delays wlth our old building at 23-25 Broadway and its
ongoing restoration, we have lost some of our valuable contacts.
With no one to work in the office and a lack of dedicated volunteers willing to oversee all the different
parts of the work, the Situation has been difficult.
We were very aware that we needed more younger people to carry on the work of the charity, as we,
the Trustees, are getting older now and, with some health i55ue5, are finding the work heavy. This
being the case, we were 50 very grateful that, in God's mercy, he brought us Paul Thomas, who
consented to be a Trustee in our next financial year and, with his vast experience in IT & Business and
faith, 15 an enormous a55et to the Charity. Also, Heather Lewis has joined us, another very gifted and
efficient worker. who has already made a big impact.
As our help base increases, we need to get back into speaking at churches, as we did beftire, to make
people aware of the needs. We are finding so many people coming into Rainbow of Hope now to
take drugs, which is an increasing probletn. That being the case, we are very aware that much more
dedicated intercessory prayer is needed. It Is very easy to be busy, but without real, heartfelt, Spirit-
led prayer, nothing changes. We need a breakthrough I Some years ago, 4 people came to faith here
at Rainbow and were actually baptised in our old building. God has not changed. The gospel is still as
powerful. We need to seek God. The onus is on us.
A few months ago, we started a meeting with all the volunteers together, where there was freedom
to speak from the heart about all aspects of the work at Rainbow. This was followed by a lovely
buffet meal. We will continue with these meedngs every 3 months.
We are most grateful to Veronica Camilleri for all her dedicated financial work for the charity over
many years, and Paul has now found someone to take on this vital work. We are living in hard times
in the world today, and we need God more than we have ever needed Him.
RESULTS FOR 2025
Income- Overall decrease over previous year.
Expendlture- Overdll increase over previous year, thi5 was mainly due to the ￿ntaI costs between
the two buildings, at 23-25 Broadway and 30-33 Broadway.
The Rainbow of Hope Centre 15 currently located at 30-33 B￿adWay1 Roath, Cardiff CF24 IQE.

INDEPENDENT EXAMINER'S REPORTTO THE TRUSTEES
OF THE RAINBOW OF HOPE/PARADISE RUN
I report on the accounts of the Rainbow of Hope (charity number 1088856} for the year ended 15
October 2025 which are Set out in page 4.
Respettive Responsibilities of Trustees and Examiner
The charity's trustees are responsible for the preparation of the accounts. The charity's trustees
consider that an audit 15 not required for thi5 year under Section 144121 of the Charities Act 2011,
and that an independent examination 15 needed.
It is my responsibility to:
examine the accounts under 145 of the 2011 Charities Act:
to follow the procedure laid down in the general Directions given by the Charlty Commission
under the section 145151 Ibl of the 2011 Charities Act- and
to state whether particular matters have come to my attention.
Basis of Independent Examlner's Report
My examination was carried out in accordance with general Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the charity and a
comparison of accounts presented with those records, and seeking explanation from trustees
concerning any such matters. The procedures undertaken do not provide all the evidence 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.
Independent Examiner's Statement
In connectlon with my examination, no matter has come to my attention:
which gives me reasonable cause to believe that, in any material respect, the requirements
to keep accounting records in accordance with section 130 of the 2011 Charities Act- and
to prepare accounts which accord with the accounting records and to comply with the
account requirements of the Charitres Act have not been met,. or
2. to which in my opinion, attentfon should be drawn to enable a proper understanding of the
Financial Statements to be reached.

THERAINBOWOF HOPE/pARADISE RUN
ANNUAL REPORTFOR THEYEAR ENDED 15 OCTOBER2025
DETAILSOFTHE INDEPENDENTEXAMINER
Slgnature:
Name:
Mr Emyr-wyn Francis
Quallfication:
FCA
Address:
Unit 3, Nant y caf￿ Busiess Park, Seveii Ststers, Ne&tli, SAI 0 9ET
Dated:
13th May 2026

THERAINBOW OF HOPEIPARADISERUN
RECEIPTS AND PAYMENTS ACCOUNT
FOR THEYEAR ENDED 15 OCTOBER2025
2025
2024
Receipts
Income
42,502
2,500
45,002
37,952
8000
Grant Income
Total Recelpts
45,952
Payments
Food
PrintinE, Stationery and Postage
Travel and motor running
Telephone and Website
Office/Shop Costs
Charity Insurance
Sundry Expenses
Repairs and Mai ntenance
8,325
268
5,579
32
2,658
452
2,872
1,025
20,654
768
24,609
739
1,743
14,795
53,590
877
27,245
59,052
other income
1,002
(Deficit) / Surplus of Receipts over Payment
17,5861
113,1001
Accumulated Balance at start of year
95,088
108,188
Accumulated Balance at End of Year
87,502
95,088
Represented by:
Cash in Hand
112
112
Cash at bank
86,939
87,051
94,976
95,088

THE RAINBOWOF HOPVPARADISERUN
BALANCE SHEET ASAT 15 OCTOBER 2025
Approved by the Board of Trustees and si8ned on thelr behalf by..
Elizabeth Pefret-Atkir15
Chairman
NOTES
2025
2024
FIXED ASsgrs
Tangible assets
Cash in hand
112
112
Bank Balance
86,939
87,051
94,976
95,088
CURRENTLIABILITIES
TOTAL NEfA55Ers
87,051
95,088

THERAINBOWOF HOPVPARADISE RUN
NOTES TOTHE FINANCIAL ACCOUNTS
FOR THE YEAR ENDED 15 ocfoBER 2025
l. Tangible Fixed Assets
Fixtures and Fittings
COST
At 15 October 2023
Additions
At 15 Ociober 2024
14.471
14,471
DEPRECIATION
Accumulated depre¢iation bvought forward
Charge for th¢ pei'iod
At 15 october 2024
14,471
14,471
NEfBOOKVALUE
At 15 O¢tobeK 2023
Al 15 (ktober 2024
2. Accounting
Convention
The Finaiicial Statements are prepared under the historical cost convention and in
accoi'dance witl) die best practice guidelines as laid dowii in the statement of
Recommended Practice "Accounting and Reporting by Charili¢s". The Financial
3. Fund Accountlng
All funds held by tli¢ Charity are unrestricted. The trustees ar¢ free to use these in
accordance witl) the ¢I￿rItable objectives.