Registered Charity No.. 1108113
Registered Company No.. 5242598 (England and Wales)
REPORT AND FINANCIAL STATEMENTS
for the
eriod ended
31st March 2022
for
Students and Refu
ees To
ether
START
(A Company Limited by Guarantee)

Students and Refu
ees To
ether
STAR
(A Company Limited by Guarantee)
INDEX TO THE FINANCIAL STATEMENTS
for the period ended 31st March, 2022
Page
Legal and Administrative Infomiation
Report of the Trustees
Auditoff s Report
Statement of Financial Activities
Balance Sheet
Notes Forming Part of the Financial Statements
7t011
Page 1

Students and Refu
ether
START
IA Company Lunrted by Guarantee)
Legal and Administratlve Inforniation
The Company was incorporated on 27th Seplember. 2004 8$ a Company
Limited by Guarantee.
Charity Name:
Students and Refugees Tr•er {STARTI
Charity Registration Mumbor.
1108113
Company Rggistration Number.
5242598 (England and Wales)
Registernd Offi¢e:
Unit4
HQ Building
237 Union Street
Plymouth PL1 3HQ
DIrectorsrrn￿.
Avril Bellinger
Paul Roach
Viv Horton
Deirdre Ford
Emily Cannon
Sheona Grant
Rosy Goodmartwe
Phillipa Davey
Jason Plunkett
Chair
TreaSu￿r
Secretary
Jean Curd
Indepandent Examinor:
st. Kew Accounlancy Ltd.
Patto (knak
Allen Park
st Kew HNJhway
Bodmin
PL30 3AR
Banke
The C(Troperab"ve Bank
PO Box 250
Skelmersdale
WN8 6wr
TSB
TSB Bank PIC
PO Box 1000
BX4 7SB
Page 2

CTNES

114DEPENDENT EXAM114ER'S REP(hgT
TO THE TRUSTEES OF
Students and Refu
STAR
IA Company Limited by Guarant￿)
ON THE Accoupifs FOR THE PERIOD ENDED
31st
l ￿port on the accounls oftr* ctryany the annual end&1 31st Marth 2022. *thich
are set out on pages 2 to 11.
R￿peCtive Responslbilfties of Trustees aThd Examlnv.
The tharity's trustees (WI￿ are also directors ofthe company for the purposes of ecrfnpany
lawl are responwble for the prepaTatiM of the ￿￿nts. The charitys tFU5tees cowder
that an audit is not required fcy this year under secth)n 14412} of the Charities Acl 2011
{the 2011 Act} and that an independerrt exanMnatN)n is needed.
Having sab"sfied mJ3eWthat ts charity is not SLtyect to audit under c¢mnp￿Y law and is
eligible for Inde￿ndent examinab"on, rt is my restmjisibilty to..
' examine ￿ accounts ur#Yer section 145 of the 2011 Act,"
• to follow the prctedures ￿1￿ (J(wi in Ihe General ￿re￿lonS by Ihe
Cbanty Commissiorw ￿￿jer sec*ion 14515Mbl of the 2011 Actr. and
Basls of Ind8Pondent Examlmrfs Rewt
My eX8￿natIon was Camed in accordarte *Tth ts General Ditecticns gr4en by
the Chanty ComnNssioners. An examination includes a wew ol the accounbTrJ
r¥ords kept by the chanty and a cOmparisc￿ of the acccHJnts presented with those
records . It also indudes consideration of any unusual items or disclosures in the
accounts and seekFng explarHtions from ￿ 85 trustees conCeMw￿ such matters.
The prctedures ￿￿ertaI.en do not ￿de all the eviden￿ that vnjld be required in an
audtt and consequently no Opini¢￿ És given as to vhther the acwnts present a 'true
and f&'r arKI the rep(wt is lirrrt&Y to ttw)se mattets sd OLrt in Ihe Staleft￿ t4iMf.
Independont Examin•fs Slatom
requireFnents".
lal to keep acc￿n￿n9 rec{￿dS *rylh sectiw 130 of the 2011
Acl.. arwj
comply with reqLMfements of the 2011 Act have not been
mel., or
• to whicfi, in my opirit(MTr. attention 5hrAAd te dra¥￿) in orderto a KY<
underslarxling of the accounts to be reaclHI.
M. VKkery
Patto CAwak, Allen Par*
St. Kew Highway. Bc•Jmin
PL30 3AR
Date... 27th Septemter, 21Y22
Page 4

Co￿￿[da￿d S
m•rt ￿FIna￿la1 A¢llvlti8#
an I1￿M*a￿l Ex
Account
F￿￿5
2Q21
4,7Y3
11WS
PCC.RlS *idVPR SttvnE
Cce. SbfianVFR
DCC. 5yr*nVPR
SPJJertFeo%
F￿￿￿s01S￿l5¥4￿&￿T*y•l￿(srNRTJ
137805
13.497
VPR Refu￿5
10.581
1*216
117 105
3,221
339.781
Al￿M
FLvykny
thre￿1¥￿*$1￿ gj
228È1
22061
23.0
6.924
24.941
11W6
i#s.n7
4¢.491
7.479
172JD
17 2BO
213
EV￿ua￿l
7.831
HR
P*ttAl¢r*t6
2.3ro
1.2
511
3.347
1.874
1.541
akn*5
1.n1
Tran
2.781
17
247
12.534
1.438
&918
17.756
%.147
412
￿￿￿chargES
owrqaa1￿1
217
349
1352
?S2
193.1
116,455
310.251
Netmoveiiierrt kn Funts
Tutsl Furth BrWF(wwnl
1WL
Trtsl Funds¢wrknJ Fonwd
201.749
299529

Students and Refu
STAR
Company ￿M[ted by Guarantee)
BALANCE SHEET AS AT 31ST IAARCH. 2022
31101122
31103121
FIXED ASSETS
Tangible A55
10
4.750
2.88S
CURRENT ASSETS
Debtts￿ & Prepaynwnts
Cash at Bank & in Hand
11
129
291779
266,7
2Y2.908
266,895
CREDITORS..
Amounts fal￿1￿ due within yegr
12
94.363
60,2
NET CURRENT ASSET$
198.555
2￿.645
TOTALASSETS LESS CURRENT UABILrriES
203.295
209.529
CAp￿AL AND RESERVES
Unr￿ric1*d FuTrJs
Oesignated Funds
General Fun(ts
Restricted Funts
14
14
14
136.OLXI
65,749
136,0
72,633
Totsl Funds
203,296
209.529
For the wod ending 31103r2022 the thartratAe (xmnpany was enbtled to exempts.on from aLKlit
undèr section 477of ihe Companies Act 2[￿￿ relating to S￿11 companies.
The members have not required the company lo obtain an audit of rts accounts for the year In
question in accofdance wtth seciion 476.
The truste8s acknowleilge their responsibilittes for Cofrotying wrfh the requirenEnts of the Act with
respect to accounting records aThJ the prepaiation of a(wunts.
These accounts have been prepared in accordan￿ with the provisions appli(xble lo corT¥)anies
subject to the small CoMpan￿s, Wi￿..
ON BEHALF OF THE IftLL8YEES..
.'-Signed by Trustee
..-Print Name
Approved by the Twstees on." la (ktobeT. 2022
Page 6

Students and Refu
ether
START
IA Company Limited by Guarantee)
NOTES TO THE FIMANCIAL STATEMENTS
forthe perityj ended 31st Marth. 2022
1. ACCOUNIING POLICIE3'.
o￿n￿n9 convention
finana& stalemwls ha¥e teen wepared urxlwtlE hislrxiGIl (*rflvenb￿ atyj on an
ruals basi8. in aCWr¢J￿￿ vAth 2LNJ8 Regu￿1￿￿￿ atKI trE stat￿nI OfRwA)mm￿ded
Practi￿. as r￿Uired ty Ihe Chanty COMMI￿1￿ for ETrJl*J 8rKI Waks.
Voluntary Incom8
Negligible arrwrrt5 of v£quNary inc￿￿e is tyvoy of donat*Ms is incljded in fvll
In the Stateftknt ofFU￿n￿al rer*ivth. value of 8ervicts by
volwleers has Mttjeen
Exponditui•
ftesw￿ eypeThled are re¢ognised in perioj in vkni¢* Irw a￿ Il¥)J￿ed. Resour
experxled indLkYe attribulatle VAT (*n rM)I be reL))wed.
UnrnstrkW Funds
Unresirided fiJrKJs a￿ d(XWtiL￿. ktiings srKcfj* aTh1 ￿cOm￿¥j r8%)wrM rec•vatAe or
generated for oflhe dotty speow pwx)se ar¥J are avaiLable as
ger*rai funds.
Des69t￿ted Fundts
Designated are ￿restri￿￿ fuThls eatrnarked ty for partiwlar
Resirthd Funds
Re$irKAe(l fvnds are to be S[￿r￿ pwptws as tylhe dw. Exkvxjthjre
meets uitwia i* to Ihe fiJAI. t(vJthrv4m a ts¥allLKaticn of m*agemen*
aTrY support costs.
TanglNe FI￿￿ A$￿ts
For valuation puy. depre(aaIN￿ i% I￿(X￿a￿l al ihe fc4hMw amual raie6. In (thr to vite
¢)ff eath a55et ovet its e5b"maled &fe'.
Eq￿p￿￿t
25% on a SWM basis.
2. DONATIONS
31M312022 31ft)3r2021
Ile¥tslcted T(rtal
Total
4,793
1.250
1,7
4.793
3. CUftREKfASSEfs: ¢dsh and Bank
3110Y2022 311)Y2021
IOA935
102.n5
49.704
114,293
&ntsrthr. a05ed 12110
TS8
IM781
62
292.779
266.796
Page 7

Students and Refu
IA CIKnparry Linyted G￿rant￿l
ST
MOTES TO FIFW4eL•L STATEMEPITS
forthe period 31st March. a122
31ffj312th2? 31n)¥2021
.Tuth¥Tn
24.113
13920
13.672
9.167
82CO
7.97S
7ts78
6ffj75
5.474
¥113
l3.*X
13.612
•.IB7
13.915
Grnni.G*￿ WEsknn
2.7
Grtnl.LWs Four
Grnni.vt*5 R*fFw
7.•7S
7￿7&
¢A7S
SA74
17.TTS
Grdnl.Ftank
Grdnl-
4.*8t
4QllD
1.422
1&162
ant. Tnjsi
1.022
(4r4nt-Thtr L•ghTw
rarrt. PCC D$4yei*Y
GrJnt.Thg Fow. RaftFufvJ
Grnnt. WC OJFS
¢>•nt. 29th Ch*ilthTntst
1orm
4,237
2.974
7M
PCC. ￿lS￿￿J￿sckn
CCC SVPR
OCC SVPR
169,9B2
137h
17.135
13.497
io.sryi
5AB4
sw¢Dtp*enwtFees
Frwrtolstal
1950
Jv$l Gw
1N74
IE6215
303.321
.781
S STAFF ¢Ck8TSAND W¥BeR5
3IKJ312022 ?1￿3￿2021
119.686
64
11AIO
174.169
135.737
44.491
13.078
l¥J.
311Wft022 31￿y2021
6. TAXATk

IAComwyLmW by1￿￿￿e1
ESTOTHE ￿NAPKi&LSTATE1l￿s
lorthe j1￿41￿h. 2022
Furts FL•
Y2.891
24023
24.¥1
82.718 %.e&8 11W6
31.443
11221
IX737
44.4DI
13.078
17J
213
143
7.831
7.47$
Ev•AI
1353
615
ifjio
TA$
1323
345
1317
1.541
1.761
17Bi
247
125Y
11.
S.918
17.1¥
1.147
641
217
Tr￿ TrA• Fwvl%
757
1352
4145
Takl
118JS
4.217
4217
.124
ia124
1352
AS*31StL1￿2cQ?
2.641
7¥
IStA￿A.2￿21

1JJ
IJFD
2Ja¢
24.113
13
24.113
13fjPè
9.1
9.10T
7J75
TJ75
6fi35
*474
S474
TOTALS
l(¢X
113
145
in4
i(t216
1931
Pwio

Students and Refu
ther
IA Corryany ty Guarantee)
NOTES TO THE FINANCtAL STATEMENTS
forthe wiod etrKled 31st March. 2021
15. CAPFTAL COMMITIIENTS
1& PUAPOSES OF RESThCTED FUNDS
Grant. CaJ
Gratrt. Chathes Aky FOwTrja￿
Gram. FrarlE UK
GrBnl- &iutro1 TILSI
Grant. Refvgee Beiier OJI￿¥￿$ Pair￿st4p F￿{thery of 9￿xI IxxBrs tXrtcor￿S ft*a Ptym(xJthw¢e
¥efiy (Hune 0￿e ftjnding.)
Grant. Garw Weaon
Gram- Lbyds F¢yl￿at￿jn
refiye5 INry F) Ptym¢¥Jth *KI a contnmw to ctfe *JndirKJ
Granl-Awards ForAI
Gram. LNaYel
Grani.AAtstii & HLW Fllktym Tr￿t
Gr8nt-TLthr T￿1
Grant. Ch¥tyTiust
Giart. T￿￿t
Grant. W8kefre*J TtL
Gr*)t.VK¥s' R￿￿fF￿￿ts
fviTrJ In Wesl De￿ tyts)rmuteto PFrfmuth trj. to aitend
PCC. SVPR &*
Pl￿Nuth Cty C(¥JrKylfiNKtiw us&1 tDfvrn￿h and setup
nes ty fam&s mvJratKJn route".
ATh￿￿￿1$*d Gtarit
PwJell