F'.egistered Charity No: 1108113
Registered Company No.. 5242598 (England aiid Wales)
REPORT AND FINANCIAL STATEMENTS
for the
eriod ended
31st March 2024
for
Students and Refu
ees To
ether
START
(A Cc,mpany Limited by Guarantee)

Students and Refu
ees To
ether
START
(A Company Limited by Guarantee}
INDEX I O THE FINANCIAL STATEMENTS
for the period ended 31st March, 2024
Page
Legal and Administ", gtive Information
Report of the TrustÈes
Auditor's Report
Statement of Finan¢'ial Activities
Balance Sheet
Notes Forming Par,1 )f the Financial Statements 7 to 11
Page 1

Students ?,nd Refu
ees To
ether
STAR
(A Company Limited by Guarantee)
Legal and Administrative Infonnation
The Company was incorporated on 27th September. 2004 as a Company
Limited by Guarantee.
Charity Name:
Students and Refugees Together (STARD
Charity Registration Number:
1108113
Company Registratlon Number:
5242598 (England and Wales)
Registered Office:
Unit4
HQ Building
237 Union Stref.:
Plymouth PL13qQ
Dlrector8rrru8tees:
Avril Bellinger
Paul Roach
Viv Horton
Daniel Steel
Deirdre Ford
Emily Cannon
Phillipa Davey
Jason Plunkett
Chair
Treasurer
Co-chair
Co£hair
Resigned 11104123
Secretary
Jean Curd
Inde￿ndent Examiner:
St. Kew Accounlancy Ltd.
Patto Owriak
Allen Park
St Kew Highwa
Bodmin
PL30 3AR
Bankers
The Co-operatii'e Bank
PO Box 250
Skelmersdale
WN8 6WT
TSB
TSB Bank PIC
PO Box 1000
BX4 7SB
Page 2

[￿EpoRT OF THE TRUSTEES
f•rth• p•rlod•nd*d 31stllarch, 2024
GOVERNING tMXUMENT
OBJECTIVES
Thoobpcthvq5 ofthe charty L￿￿er iav•¥iyy"
SWU5 thwrdependwtyin r￿f.1
ORGAN15ATtQN
ACHIEVEMENTSAP40 PEAFOR*ANce
*)th. ¢n an IndI￿d￿l be8b, m¥tyThJYkJL4¥1 ." h#faThhes W, r8••Mw "rtofvy m&k•l
IhB noAd$ mai w4re a t¢ 8fKJ tlmnwhs sook*rcaTriwy
S￿111￿158na R•fugeeJT¢)g•ip*rlSTARTI ¢1..
AISK MANAGEMÉPIT
bmn wt*bliihed •llblD r•gJw w£#￿¢*￿ to C•h b•￿7
RESERVES POLICY
siudoni$ RI￿91•$ TV￿risTART) rnib4 On grwts rer•v•d
roMry88 to •nswe th• coni1nLtyd￿ Wrvt: oel¥4ry stythmsind Togethw ISTARn w r•*￿0*£128 Lwon mè Ill
Awl. 2023 The wrjwd A WWLYI TfftISTARn'i
r•ed rI￿r¥• pol* L￿hr￿trO
TRUSTEES. REsP01481￿LrnE1
m8keiudg&TheMS 8ThYwts￿￿Ies
pos￿ d IhEthHrttySThJ lo eMblB thom thBitr*firt*￿ Ad2
INDEPENDENT EXAAIINER
Act21￿￿ r•kqbW tosmaN Inb￿¥
".-SwJ try tl'Jl*e
Apwo¥80 tytr*TrUSt￿S
2021

INDEPENDENT LXAMINER'S REPORT
TO THE TRUSTEES OF
Students and RefL
ees To
ether
START
(A Company Limited by Guarantee)
ON THE ACCOUNTS FOR THE PERIOD ENDED
31st March 2024
l Tr)port on the accounts of the company for the annual period ended 31 st fvl.arch 2024,
wl iich are set out on pages 2 to 11.
'.spective Responsibllltles of Trustees and Examiner.
T*e charity's trustees (who are also directors of the company for the purposes of company
la¥￿) are responsible for the prepar¥ iion of the accounts. The charity's trustees consider
that an audit is not required for this vear under section 144(2) of the Charities Act 2011
{t!1tyTr 2011 Act) and that an indepen(ient examination is needed
Hi¢ ving satisfied myself that the charity is not subject to audit under company law and is
eligible for independent examinatior, it is my responsibility to:
examine the accounts .Inder section 145 of the 2011 Act;
to follow the procedure .' laid down in the General Directions given by the
Charity Commissioner L 'ider section 14515)Ibl of the 2011 Act. lind
. to state vthether partiCL ,ar matters have come to my attention.
Bas18 of Independent Examlnefs Report
s. examination was carried OLrt in iir cordance with the General Directions given by
th.. Charity Commissioners. An exa liination includes a review of the accounting
rGI'.i)rds kept by the charity and a cc I 11parison of the accounts presented with those
rÉin.ords . It also includes consideralion of any unusual items or disclosures in the
ai.=ounts and seeking explanation".. 'rom you as trustees concerning such niatters.
Tf.L procedures undertaken do not ." rovide all the evidence that would be required in an
aLilit and consequently no opinion
given as to whether the accounts preoent a 'true
aiid fair view, and the report is limiti?d to those matters set out in the statement below.
,.Jependent Examlnefs ststem6.lt
In connection wilh my examination, io matter has come to my attention..
ihich gives me reasonable cause io believe that, in any material respect, the
re(4uirements'.
(a) to keep accounting records in accordance wth s￿tion 130 of the 2011
Act; and
(b) to prepare accounts which accord with the accounting records and to
comply with the account ng requirements of the 2011 Act have rot been
met, or
ro which, in my opinion, attention linould be drawn in order to enable a proper
Uf derstanding of the accounts to b:. reached.
SIHned:.........
M. Vickery
St. Kew Accountancy Ltij.
Patto Owriak, Allen Park
St. Kew Highway, Bodmi.I
PL30 3AR
D. Ite.'_ 27th June, 2024
Page 4

dènts and Refu
STAR
IA Crynpary ￿rnrted ty Guarartsel
Consolld
ment of FlnancSal Actlvrtlos
Includin
an Income and Ex
nditure Account
fortho pwlcd ended 31st IA•r¢h. 2024
Total
Fundg
2024
Ti)tsl
Fund
2023
Unresln¢twl
Incomlrtr
FuThJs
In¢omlng RésourG•S from G•ner•t•d Fu*d¥'.
Oonatsons
L￿1 dU￿￿ofy orgnts. tru8twts
PCC- RIS and VPR Scheme
PCC- H¢m8$ for Ukra
DCC. Synan VPR Sch8n
studetrt Fees
I":r*nd8 of Sbjdents and RtypMYwotsrlSTAR"I i
f8L8inG
VPR Refunds
'IIHR RouteE toWeln•
Inmlm•ntlneom•
Incoffllnq R•sOUr￿ fr(￿ c￿1￿*bI• Aclfvth..
Olher MlsGelLqn•ous
675
3ffi76
99ATO
127.J92
34.000
3.470
127.392
123.390
39.274
TT4
19,7C
1.1Th)
2.1WJ
1,100
2,193
1,419
206
1.7
Totsl Incomlng Ro$our¢
174261
102.470
276,731
308,$6P
F'jiidro￿l
Ctmmunty Aets¥￿e¥
184
12.011
727
218
12,011
218
13,251
0,116
Vduntear ENwtses
Oth•r'.
1,011
57.949
14.862
172.329
67,68S
17,692
15,752
168,408
55.881
15,71Q
33.498
420
1.053
1.437
42.793
13.169
14.$12
Pentsbns
1.210
E. olual
5,053
1,217
J,028
728
1,302
SWI Trll¥•l
HR Surwrt
P•':oll Co8
1.287
828
478
735
M'i'fibqrnhi
Motik* Tdepho
Int.)motlL8ndlhWSupport
Pdnl
Trnining
175
237
4.784
5.120
8,784
6.054
3.272
8.272
23.873
2.720
1.23S
1.720
8.181
17
2.810
12.877
1.522
3.758
18.488
1.972
1,6JS
1.613
4.757
In*urarK*
(i•n8r￿ Ralèi
iarwng
351
1.428
Kli$cdlaneoJ$
41iik Chory
1Tr)
2A23
"g￿rnI￿ce CoBts'.
Prrrtession81 Fees
B20
TJ241 RtsOur￿ exwnded
243
102.470
348M66
359,SBO
Net Out9olng Resou￿•8..
I.￿ movement In Funds
.125
49.12S
lotal Fund• 8rought Forward
240.2&1
203.295
Totsl Funds C8rrle(l Fomnl
171.IS8
171.1S8
240.283
P&Je 5

Studen's and Refu
ees To
ether
START
(.y Company Limited by Guarantee)
BALIINCE SHEET AS AT 31ST MARCH. 2024
Notes
31103124
31103r23
FIXED ASSETS
Tangible Assets
10
3,530
4,255
CURRENT ASSETS
Debtors & Prepayments
Cash at Bank & in Hand
11
129
228,657
129
280,416
228yi 86
280,545
CREDITORS:
Amounts falling due wthin one yea..
12
61,157
44,516
NET CURRENT ASSETS
167,629
236.029
TOTAL ASSETS LESS CURRENT LIABILITIES
171,158
240,283
CAPITAL ANO RESERVES
Unre8trlcted Funds
Designated Funds
General Funds
R08tricted Funds
14
14
14
136,OIXI
35,158
136.0
104,283
Totsl Funds
171,158
240,283
For the period ending 31103120* * the chantable company was entitled to exemption from audit
under section 477of the Companies Act 2006 relating to small companies.
The members have not requireo the company to obtain an audit of its acLounts for the year in
question in accordance with s￿.{lon 476.
The trustees acknowledge their responsibilities for complying with the requirements of the Act with
respect to accounting records a ,.d the preparation of accounts
These accounts have been prer,;ired in accordance with the provisions ,irJplicable to companies
subject to the small companies, "egime.
011 BEHALF OF THE TIIJI STEES.
-signed by Trustee
V N kloot)ki
-Print Name
Approved by the Trustees on..
June, 2024.
Page 6

Students and Refu
ees To
ether
START
(A n4ompany ￿MIted by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
for the period ended 31st March, 2024
1. ACCOUNTING POLICIES:
Accounting convention
The financial statements ha.'e been prepared under the historical cost convenb.on and on an
Acuuals basis. in accordan￿ with the 2008 Regulab"ons and the Slatement of Recommended
Practi￿, as required by the -. harity Commission for England and Wales.
Voluntary Income
Negligible amounts of volun+ary income ts ra￿1Ved by way of donatsons ir lid is included in full
in the Statement of Finanry.-i AclNibes when re￿Iv8b1e. The value of seThI..￿S provided by
volunteers has not been inc'uded.
Expgnditure
Resources expended a￿ rr.J)gnised in the period in which they are InrJJrTed. Resources
expgnded indude attn"butsL"le VAT which can not be re￿Vered.
Unrestrlctsd Fund•
Unreslricled fvnds are don¢41ions, letting$ income and other incoming resources R¢eivable or
generated for the objècts ol th• chanty wthout fvrther speufied purpose and are available as
general fvnds.
Do$lgnated Funds
Designated funds are un￿$s1cted funds eamiarked by the management i?Jmmltt8e for particular
purposes.
Restrl¢ted Funds
Reslricled funds are lo bo .' .'ed for specific purposes 85 laid down by the donor. Exp8ndilure
which meets these criteria i charged to the fund, together vith a fair allocation of management
and $upport costs.
Tanglblo Fixed Assets
For valuation purposes. deyi'écialion ts calculated at Ihe followng annual rates. in order to write
off each assel over its esliiyialed useful lrfe..
Equipm8nl-.
21 % on a $tra¥Jhl line basis.
2. DONATIONS
3110&'<024 3110312023
Total
Total
Unrg3trlcted Restrictgd
General donaty'ons
675
3,675
2,803
675
3,675
2.803
3. CURRENT ASSETS: &-i.-.h and Bank
3110312024 31102Q.023
The C￿operatiVe Bank
106,235
118,767
3,625
30
1LIS,135
1 i 5.230
Pi lty Cash
228,657
280.416
Page 7

Students and Refu
ees To
ether
STAR
IA Company ￿Mited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
for th£ pgriod ended 315t March. 2024
4. INCOMING RESOURCES FRJM ACTMTIES TO FURTHER THE CHARI￿8 OBJECTS
3110312024 31103r2023
Total
Totsl
Grant- R8fv9ee Better Outcomes Partnership
Granl- Tudor Trust
Granl- Big Lottery Awards for Al..
Grant- 29th May 1￿1 Chantabl.J Tntst
Grant- Home Support Fund PCC
Grant- Garfiel¢J We51on
Grant- William Alen Young CT
Grant - The Leigh Trust
Grant- Wakefield Trust
Grant- Charrties Aid Foundation fhase 2
Grant - Charllies Foundaliori. ResI1￿n¢t
Grant. Leigh Trust
Grant - Ashworth Charlty TnJ81
Gr8nl - Vicarfs Relief FurKI
Grant - Northcott D9von Founda'4t)n
PCC- RIS and VPR Scheme
PCC- Hom&8 lor Ukrainè
DCC SVPR Sch8me
Student Placernenl Fees
Donations - Cultural Krtd*n
Donalbons Other
Friends of Start
Enthuse
Just Giving
NIHR Routes lo Wellness
Miscellaneous
Bank Interest
45,720
27.lJOO
10.000
5.000
5.000
2.500
2.000
1,250
1,OCry
46,720
60.￿3
21.472
5.610
10,000
12,500
1,250
79.059
15,000
2.000
2.000
1.000
400
123.390
39.274
774
19,706
189
2.814
1,200
768
1,419
1.925
121.3W2
127,392
675
1.100
3,6714
1.100
2.193
205
1,788
2.193
206
1.788
174.261
102,470
276.731
396.S69
S. STAFF COSTS AND NUM8E',S
Slaff costs were as follo￿..
3110312023 3110312023
Salaries and wages
Social securrty ￿sts
Pensions
172.324
$7,660
17.697
247.61 S
168.4f
55.881
15.710
239.997
No employge retxived emoluments of more than £60.0fy)
The average weekty number of r iiploye8$ during the year. ca￿19ted on the b86￿ of full time
equivalents, was as lollows..
3110312024 3110312023
No
No
Co-manager
Caseworker
StL*Jent SupeNisor
6. TAXATION
The charbty is exempt from corp(.tation tsx on ils chariiable aclivittes.
Page 8

dents and Refu
ST
IA Company Limrted by Guarantee)
NO"fES TO ThE FINANCW STATEMENTS
foi the end•d 31st Mareh. 2024
7. DIRecT¢HARITABLE EXPENfiTVRE
G8neral R•thtsd 31103rd024 31hW2023
Fund
Fund
Toi*l Funds Tow
164
12.011
727
216
12.011
6,$1•
2t8
13,251
9.116
COmffl￿mtyA¢IMtW i
Vdunle8r Eyr
Sa*5
114.3KI
42.793
13.189
14.512
$7.
172.329
57,656
17.692
15,752
1￿.1(
&fj,881
15,710
33.496
420
1.240
E¥aluat
Staff Tra¥
HR Suppryl
PffjTdl Costs
Onlc8 C￿1
1.287
628
479
1.￿)2
1,287
3,028
728
1,302
1,437
735
175
237
5,362
4.784
5.120
1.199
2.618
12.8n
1.522
5,7
6,054
2.107
3,758
18,48S
1,972
1,6JS
1.613
4,757
Inl¢rr•llL8ndlhèllT
1.￿7
1.140
3.272
5,272
fJ,873
2.720
1.235
1.720
8.161
Renl
Ckar
1.282
3.329
Prof88sloftl F￿1
112
f7
334
8*k Ch
1C¢)
2,823
243.3B8
102.470
345,188
359,5B1
8.TRANSACT¢ONS IlITh THE TRUSTEES
g. NET INCOMING RI.'SOURCES FOR THE YEAR
81 R•strKitrJ 31WJ12024 31t0312023
Fwwj
Total Fund• Tol*
Tl¥s k* stated 4ftwth. ."iJty.'
112
120
2,123
2.823
3.531
10. TANGIBLE FixeD AsseTS:
Equlpm•nt
Total
Co•t
8￿9m Ftw
Le56 D￿r￿th,.
9.195
9.195
s at 3151 202"
11,21)
DeprnciatloF)
8rou9hl FotThd
Charge for the PWKXJ
Less F￿ty DewKJ*"
As 4t 315t March, 2￿￿1
7.763
7.763
N•t Book V*luo=
As ai 31st March, 2024
Bookvaluo:
As al 1st W, 3J23
4,255
{288

tudonts and Il•fu
STA
IA Company Jmrte<l by Guarantee)
NOTES TO Tr'.'_: FINANCIAL STATEMENTS
for the pgril d ended 31st ktsr¢h, 2024
11. De8TORS.. l*iikng dw'withth on•y•ar
)lh)￿￿ts 31N)Yd023
12#
129
129
12. cRED￿OR8." AM0￿￿1￿11* *Ithkn•n•￿•r.
31mFx*24 310)Y2023
Gr3rts' T￿￿rTr￿st
GarfiÈlJ Wi..
The Ltygh TtUSI
The wa*8￿
8kJ LOt*ry*4iw¢• 4
27,IOD
24.5[
1.250
io.fy))
Wllwmwkn. Yc4wCharflA* Tn4t
Third Ptyty i*¥l. Seo Ncd• 15
Urmwtrthd.. NIHR ￿.,.:
2.810
1.720
61.IS7
44.516
1$. ANALYSL8 OF NET IMETS 8E'WEEN FUNDS
T￿gIble FiY•d A68818
Cuffeni AassEts
&6$0
187,629
167.629
NelA8sets 8S * 3111 M•r¢h, 2024
171.158
171.161
14. MOVEMENTS IN FUNDS
Grotht. Refvg•• Bett¥0￿£0￿ Pii i-ml
•M- Tudor Irust
Grani. Big LoiwryAw*rds
Gr8M. 29lh May 1961 Chorftable T￿t
Granl. Home Suppm P￿U￿1 L'ty
ani. Garr￿￿1 Weston
Ènl. WIII￿rn ￿knnY(x￿ Cl￿bI& Tnjst
ani- Leigh T￿￿t
èni. Wokefl•ll Twl
45.720
27.￿)
10
45.7YJ
27.ex(J
10.IX
2XL)
12$)
12YJ
Olher
TOTALS
102.470
Rosém. Runrfng Costs
1L*.
100.000
30.¢MO
126.IMI
136,th)
Unrn•trlGt•d fvThl¥'.
PCC. RIS and VPR Schem8
PCC- Homesfor Ukr*ne
1S.ffiI
139,954
142.473
64.913
Total Unrt&trictsd FI￿
104283
174261
243.
3S,1SI
Tot•1 FuthJ•
276.731
171.1
Pape 10

Students 4nd Refu
ees To
ether
STA
IA Ccimpany Limited by Guarantee)
NOTES 10 THE FINANCIAL STATEMENTS
for the period ended 31st March. 2024
15. GRANTS PROCESSED FaR OTHER SERVICE USERS
This informats.on was previou<",y induded in Ihe accounts. For ctarity. thè grants managed at am)S•
length for other Servi￿ users ":ave been separated from the other funds ￿£*,1￿d by Start and shown
below.
Source of Fun(ts
Incom8 Expendftur•
Accrual to 24125
PCC VPR
Northcott Dèvon Foundation
Vicaf s Relief Fund
Other
11.0
18.104
17.542
5.202
11,(J)o
15,994
17,042
5.202
2.110
500
51.848
49.238
2,610
16. CAPITAL COMMITMENT f
The charty has no caprtal cor Imrtmènts as at 31st March 2024 or 31st March é.023.
17. PURPOSES OF RESTRI(.'fED FUNDS
Grant- Refugee Better Outco i)•s Parinership For delivery of good housing outcomes for a Ptymoulh wd8
refugee partnership. IH¢)me Office funding.}
Grant- Garfield Weston
Contribution lo ￿re organNalional costs.
Grant- Big Lottery Awards FG.. All
Contrfbution to core org8nisalional costs, 8p8crficalty lo support
orb-going casewort Servi￿.5 al START.
Grant- 29th May 1961 Charitsiole Trust
Contribution lo core organitsational ￿sts.
Gi8nt-Tudor Trust
Support for established refugee communil*s in P￿OUth.
Grant- Homè Support Fund
- Ptymoulh Cil. ￿oun￿l
Funds di$lribuled in 0￿er lo alkviaie f¢)od and energy povety
or the causes that poverty in low-inr#)me househokts.
Gr8nl- William Allen Young iliaritabk Twst
Contribution lo core oryanisalitinal eosts.
Grant- Wakefiekl Twsl
Contribution lo eort organi¥olronal costs.
Grant- The Leigh Trust
Conlribulion lo core organisalional ¢4)sts.
Anonymised GranVDonation
Contribution lo 0)￿ organi'.'.'.lional costs.
These n¢y. Is fom) part ofthe finonual stslements
Page 11