Registered Charity No: 1108113
Registered Company No.. 5242598 (England and Wales)
REPORT AND FINANCIAL STATEMENTS
for the
eriod ended
31st March 2025
for
Students and Refu
ees To
ether
START
(A Company Limited by Guarantee)

Students and Refu
ees To
ether
START
(A Company Limited by Guarantee)
INDEX TO THE FINANCIAL STATEMENTS
for the period ended 31st March, 2025
Page
Legal and Administrative Infonnation
Report of the Trustees
Auditorfs Report
Statement of Financial Activities
Balance Sheet
Notes Forming Part of the Financial Statements
7t011
Page 1

Students and Refu
ees T ether
STAR
(A Company Limtied by Guarantee)
Legal and Administrdtive Infonnation
The Company was incorporated on 27th September, 2004 as a Company
Limited by Guarantee.
Charity Name:
Students and Refugees Together (START)
Charity Registration Number".
1108113
Company Registralion Number:
5242598 (England and Wales)
Registered Office:
Unit 4
HQ Building
237 Union Street
Ptymouth PL13HQ
Directorsrrrustees:
Jason Plunkett
Daniel Steel
Paul Roach
Deirdre Ford
Emily Cannon
Phillipa Oavey
Kane Clements
Horton
Saed Assaf
Co-chair
Co-chair
Treasurer
Resigned April 24
Appointed September 24
Appoirrted and Resigned October 24
Secretary
Jean Curd
Independent Examiner:
St. Kew Accountancy Ltd.
Woodlands
Rosehill
Penzance
TR20 8TE
8ankers
The co-operab.ve Bank
PO Box 250
Skelmersdale
WN8 6M
TSB
TSB Bank PIC
PO Box 1000
BX4 7SB
SOLDO
119 Marylebone Road
London
NW15PU
Page 2

uderts and Rel
et
STAR
(A C&Ynwxny by Guaranw)
REPORTOF TIIE TRUSTEES
ttsrtts perlod endtd 31st 2tr>J
The pmsèntthè*annual roFryt ak*vJw*h the￿￿￿1￿1 sl¥*h￿l0rthVI￿rn￿l erth1 31st March.
GOVERNING IX¢UklEtIT
Thè ¢harty kn a company by Guamntse Anll va5 ￿￿at￿Y on 2nh Swember. The tt￿pany w4stabl*hgd under i
140m￿ar￿1￿M ofNJsrKMtrn yJh¢h e*aNLgW the objects and pws ¢hart8blett￿P&nY undertts*Jtsl•s of
oc*th)n In tt*e¥*nt ofthe company ￿jnd up, rnembpr5 requiwj an aMountnotEK￿kng £10
OBJECTNÉ$
oflhe¢h¥rly y••i urthr rthYWv￿w.
To relW¢ IinaThcMI ha￿hIpam￿g b*k¥nd myhirty ethnr gw seekn¥ 1￿M ar￿ grath tBfvy80
gtstus, partKuiarty In the pKv6bJn Lrf ano other atrKe.
and tminkng wup5. ￿clud￿¢ gr•nted ￿8•
*iatuS ATh# thèlrd•wndam¥ n nqe¢ *0 # to kn•rK•thOrn n IU• •nO •wtth*M tyJ wJ*Ptwl*41 • fiWl¢OmrnUn
TM prtrknbn ofts¢lhkn foi r*m*￿1 ty<xnor bbaCk*nd •thnr grwps ￿￿udIng Ults•b
ettkkng 48ylum ond grantsd refug* and mw d¢p•thntswth V* ObJ#ttA c•nd**JnS r Ite
To •dVAne• th••duc•tsn d *Jdotyts Dy •nd kntr* ol
libuto to Imii p6wai ana ptrAesthwl dvldopmw
QRGANISATIQM
The dlrectors of the comp8ny 8re*so chatytnsstees Iw•nd urthrthg ctry•DYs*rtth8 •r• knwi
mèmDers oftha eoard ol Tru*•e8. Thè irugt•eS**O hava duw ￿Tr$•I ￿lUd￿ any In
dunng and th• p•i*>d, •0 ¥•¢¢Ytw po9• 2.
HIEVEMENT8 MID PERFORIAAIICE
stu¢•nts •rA R•tyg•MTog•th•i ISTART)c¢nlknutra t4 lupwi Mh4vw •nd Wlum ¥••w ￿ Plymwth th hava
dNI*U1tlr•nithn frc¢n'wekkng *•ylum' tO'rfuw•' eonthu•d to ch•mpbn ¢ommuhty x¢4lvuk *thiti•*
th• n••d* IhHli4*r• I dir•rt t•tsrw8• w ¥r￿ • 01th•W￿•[ atyum ￿kore0￿M￿n￿
StyJd•nt8 *nd Relugms Towh•r{sT>RDee¢ithi￿a y￿LI and c4Jith*ntsto •nd M*•gtulty
prtrlklad 12 ￿*¢1￿8￿* Yw •vJll•nty cn dulhw
RISK MANAGEMENr
o•n •tsbl¥Jhtr# th* •nioi• b• p[¢￿￿0￿ ¥0 thx•*••ry b•tsknn to kryMDn th• ￿￿•.
AESERVES POLICY
•nd Rdu9••ts Try•iMr[STARn r•tl•swsgrnnth •n t•*to frjnd ¥J •nO f•AU¥
reje￿t0 enJui•th• ¢onbnvty ot d•ikny 5YLtt#•Dts Ir￿ R•fv9￿ TwtswisTArn held cI£1%.rx#) w th• 1
2024 Thg A w*yd*uomontW In &L¥1•ft• R•lugooJ ToothrlSTJJITyI
aoived r•8•iw th￿￿9h01htlhkn y*1
TRU$TEE8' RESPOIIS181LITIE8
Liwappltabknto ¢h•ilkns In Engla￿ andWa￿ kY•p•r•rm￿￿ *atementyfOT••thth•ht•l y••r*thl*
trne ond oflh• chaiw5 61•1• ot¥ftah during th• fininc￿ wrbj Ind d i¥ fvrKi•l kwlbn *lth• •nd crfthe
n pr•p4rrt thov• accounts, th•tru#••B •m T•quhd to.
ry¥•*t *urt•b* lccountrs •nd •PF4y Ih•m eorffjWAnty.
. Ihe ￿￿￿0￿1 Anll pffncwes kn thtrCfy•ithS ￿ftP'
ak•iudwrnènts *nd **tinatss th4t grn rwwn•tye •hd FYu¢
.*tats7whothei tho Appitats• accounkng •¢¥nd*nl* *l*t¢n*ntsd p*dt• wjtsj￿tto •ny
•y￿rtur•S and ¢YplaIn￿ kn th• fvancrdl *at•rnents •rrtl
poki￿n otme chaity and to •n¥b* thatth• compty**h Ctynwn*¥ A¢t 2(
Th•y arn il¥0 t•$wi$￿10 for the oflm h1￿ k¢takkng m•r*2n•bknstepsf¢rthè •rrtl d•tx
Ir•ud •hd ¢th•r ￿149U1*r*
INDepENDENT EXAMINER
A rejolu￿￿ to IMpF<4nt st Lbj ye•r*￿ bv •nnu•l
nèT41 m•thg
and R¢poth9 * Chatth5 MAf¢h 2Ct61 ènd i? LY P4rt 15 OfthèC¥mp•n*¥
£t 2rK6 rektkng to ¥rna15 •nbb
>￿Id4< h
Eil)ft£ foAb
Name

INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF
Students and Re
STAR
(A Company Limited by Guarantee)
ON THE ACCOUNTS FOR THE PERIOD ENDED
31 st March 2025
I report on the accounts of the company for the annual period ended 31 st March 2025,
which are set out on pages 2 to 11.
Respective Responsibilities of Trustees and Examiner.
The charty's trustees (who are also directors of the company for the purposes of company
law) are responsible for the preparation of the accounts. The charity's trustees consider
that an audit is not required for this year under section 144(2) of the Charities Act 2011
(the 2011 Act) and that an independent examination needed.
Having satisfied myself that the charty is not subject to audit under company law and is
eligible for independent examination. it is my responsibilty to..
examine the accounts under secb'on 145 of the 2011 Act;
. to follow the procedures laid down in the General Directions given by the
Charty Commissioner under section 145(5)(b) of the 2011 Act; and
. to state whether particular matters have come to my attention.
Basis of Independent Examinerfs Report
My examination was carried out in accordan¢e with the General Directions gNen by
the Charty Commissioners. An examination includes a review of the accounting
records kept by the charty and a comparison of the accounts presented with those
records . It also includes consideration of any unusual rtems or di8¢losures in the
accounts and seeking explanations from you as trustees conceming such matter8.
The procedures undertaken do not prowde all the evidence that would be required in an
audit and consequenly no opinion is given as to whether the accounts present a 'true
and fair view, and the report is limtted to those matters set out in the statement below.
Independent Examiner's Statement
In connection wth my examination, no matter has come to my attention..
which gives me reasonable cause to believe that, in any material respect, the
requirements..
(a) to keep accounting records in accordance wrth section 130 of the 2011
Act. and
(b) to prepare accounts Nthich accord ￿ryth the accounting records and to
comply wth the accounting requirements of the 2011 Act have not been
to which, in my opinion, attention should be drawn in order to enable a proper
understanding of the accounts to be reached.
Signed:.....
M. Vickery
st. Kew Accountancy Ltd.
Woodlands, Rosehill
Penzance, Comwall
TR20 8TE
Date:_ 3rd October, 2025
Page 4

studen
nd Refu
ther
STAR
(A corn￿￿ LIM￿ tyGuaranleel
Consolida
d Statément of F'nancial Activiti
includin
anln
eandEx
nditure Account
for the perh￿ en￿ 31st Mar¢h, 2028
Totsl
Funds
2025
Total
Funds
2024
Uthrestrict
FurK
Restrict*
Fund$
Incomln
Resources
Incomino R•wUr￿$1rfjrn GÈnÈrnted FuTrds'.
Donations
Loral authority9rants, twstgrants ond suNJry
Dire¢tto S•Nice U5erGrants
PCC. Resettlement Funds
Hom• OffLCÉ •Visa Scherne
PCC- Homes for Ukrwne
Student Fg
F￿9ndS orstudents and RefwJees Tooothw ISTARn
Fundrnising
VPR R•funds
MIHR Routes lo Wdlnes6
Inv•stm¢Dt Incom•
Incomlng R•50ure•s ftom Ch8ritabl•A¢dvlll•s:
Qitrer Mhscellanwus
524
524
93A37
3.675
,470
38,679
247 749
11,469
247.749
11A69
127,392
2.193
2.13D
1lYJ
1.733
1.788
Total Incomlng Resourtts
27S.248
132.116
407.W2
276.731
eso
harftabl•
251
9.218
Z481
216
Comrnunity Actiwtkns
C8sework Support
Volunteer £¥pen5eS
PCC Support Fund
PCC R8setN8ment
Oth•v'.
801ori
T•x ortd N•tbMI Insurance
Pen51on$
Con5ultoney Fw$ 8n¢ Awithd C<
Int•rpr•t•fS
off TrAv•l
HR Support
P8yioII Costs
Office Cosis
tmb8rshik
Ilobile Tolephon85
Int8rn$tlLandli￿Supp%l
PrlnliTrg
Tr•lnlnG
9.218
14.539
12,058
46.016
46M6
129.212
35,887
165
45m2
17.148
17210
4.723
1.341
1n,329
37,655
17.692
15.752
50538
1.287
3.028 a
13.681
15,
1.7
10)
683
4,308
321
1,31r2 4
241 0
5,784
6,054
2,e06
3,756 8
18.486 1
1.9728
1.635 a
1.613
4.757
2.246
1474
12.¥2
3161
2A24
In$urJn¢•
Qonoral Riibs
Clèaning
2,J7T
1.199
Miscellaneous
Bgnk Charges
Dep￿I*l0n
870
870
1.*7
2￿97
Z823 a
Professionèl Fees
820a
Dlr•ctto Servl¢È us•rZxp•ndl￿[•'.
Nothcott
VIc8rs Relief Fund
Oiher D2SU
15.1Ce
1S,101
22.027
Total Resources Expended
2,tr27
130.617
421642
345,856
Net Outgolng Re$ources'.
Net movement In Funds
-16.781
.16281
49.125
Total Funds Brought FopAfaTd
171,1$3
171.158
240.283
Total Funds Garrled Forward
154,377
155.8TI
171,156
Page S

students and Refu
ees To
ether
START
(A Company ￿MIted by Guaranlee)
BALANCE SHEET AS AT 31ST MARCH, 2025
Notes
3110312S
31J03r24
FIXED ASSETS
Tangible Assets
10
1,227
3,530
CURRENT ASSETS
Debtors & Prepayments
Cash at Bank & in Hand
11
17.632
187,861
129
228,657
205,492
228,786
CREDITORS:
Amounts falling due within one year
12
50.841
61,157
NET CURRENT ASSETS
154,651
167,629
TOTAL ASSETS LESS CURRENT UABIUTIES
155,877
171.158
CAPITAL AND RESERVES
Unrestrlcted Funds
Designated Funds
General Funds
RestrlGted Funds
14
14
14
136.000
18,377
1,500
136,000
35,158
Totsl Funds
155.877
171,158
For the period ending 3110312025 the charitable company was entsded to exemption from audit
under sects'on 477of the Companies Act 2006 relating to small companies.
The members have not required the company to obtain an audit of its accounts for the year in
question in accordance wtth Section 476.
The trustees acknowledge their responsibiltties for Comp￿.ng wtth the requirements of the Act wtth
respect to accounting records and the preparats'on of accounts.
These accounts have been prepared in accordance wrth the prowsions applicable to companies
subject to the small companies, regime.,
ON BEHALF OF THE TRUSTEES..
-signed by Trustee
-Print Name
Approved by the Tnjstees on:
13
October, 2025.
Page 6

Students and Refu
ees To
ether
START
IA Company Limited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
for the period ended 31st March, 2025
1. ACCOUNTING POLICIES:
Ac¢ountlng convention
The financk41 staternents have prepgr8J under the h￿(¥￿01 cost COnv￿n and on an
Accruals tBsB. in acccidance the 2C#J8 RegulatKsns the Stslement of RecommeNlaJ
Practice. as required by the Charty Commission for EnglaThd and Wales.
Voluntary Incorne
Negligible amounts of voluntary incom8 is receNaJ by of donalKJns and is included in full
in the Statement of Financial Actmties when r￿e1Vable. The ￿41￿e of prowded by
volunteers has not b88n included.
Expendtture
Resources expended are recCgn￿ed in the pen.cd in *thtch they are irK¥rred. Resources
expended include attributable VAT which can not be r￿vered.
Unre5trl¢ted Funds
Unrestricted funds are donations, th'ngs income and other ir￿A)MIr￿J r8sources receivablg or
generated for the objects of the charity wrthout further s￿rf1ed purpose and are avaiLgble as
general funds.
Deslgnated Funds
Designated fund¥ are unrestncted funds 8annarked by the management commrttee for particuL4r
Restrlcted Fund$
Restricted fund$ are lo be used for $F¢￿r￿ purFo8es as by Ihe don￿. Expenditure
vthich m8éts these critena is Charg￿ to the fuThJ. Ic￿r a fair a1kncat￿n of management
•nd ¥upport CO818.
Tanglble Flxed A$$•ts
For valuation pUrP￿e$. deprectatKJn is cathkted at the folkn•n'ng annual rnte8, in order lo y￿1¢e
off each asset ovw rts eslimated useful lrfe..
Equipment.
25% on a Stra￿h1 line basis.
2. DONATIONS
311031202S 31￿3r2024
Total
Tclal
Unrestrlcted Restrlcled
General donations
524
624
3,675
524
524
3.675
3. CURRENT AS8ETS: Cash and Bank
3110312025 31AJ3r2024
The C¢x4)eratNe Bank
TSB
SOLDO
Pety Cash
107,435
78A56
1,939
30
11A.Z35
118.767
187,861
228.657
Page 7

Students and Refu
ees T ether
STAR
IA Company Limited by Glrdranteel
NOTES TO THE FINANCIAL STATEMENTS
for the period ended 31st March. 2025
4. INCOMING RESOURCES FROM ACTivmES TO FURTHER THE CHARtTYS OBJECTS
31103r2025 3110Y2024
Total
TLrtal
Unrestricted Regtrieted
Grant- T￿￿tsr Trust
Grant- Big Lottery Awdrdsfor Ml
Grant- 29th May 1961 Chaiitsble Tn
GT8nt. Home Support FuThS PCC
Grant- Swan Mtsuntain Trust
Grant- William Allon YOUNJ CT
Grant- Anonomous
Grant- Southall Tnjst
Grant- Leigh Tn]st
Grant. Refug88 88tt8rtknomès Partnership
Grant- Nomian Fami
Grant. GarfEeld Weston
Grant- WaktrfielLI Tntst
Home Q)ffi¢e ewtsa 8¢hwne
PCC- Resetuement Funds
PCC- Homes for Ukraine
Sbjdent P￿cement Fees
Donations- Other
Friends of Stsrt
Just Giving
NIHR Routes to Wdlness
Miscellaneous
Bank Interest
Direct to Service User Income:
Northcott Davon Foundation
Vicarfs Relief Fund
Other
30.000
11NOS
5.000
10.000
2.050
1.000
5.000
27,C#XI
10.COJ
11.4C6
10,(tt)
1250
4S,720
3982
3882
20.(
20,000
1.000
11A65
247,749
11,469
247,749
t27￿2
9.872
524
12lX)
9.872
524
1200
3,675
1.1DJ
2.1¥3
205
2.130
2.130
1.733
15,108
22.ff27
15,108
22.027
. } Prevkwstyextra¢WandslK)wn in Not• 15
275246
1>2,116
407,362
276,n1
6. STAFF COSTS AND NUMBERS
staff Costs￿re asfolluws..
31103r2025 31JW024
Salayles and wagès
Social security costs
Pensions
165,099
45022
17,146
228.067
f72,329
57,655
17,692
247,676
No •mpl¢)y88 roceNed emoluments of more than £60,1
Tha avorage wee￿Y numbèr ofemployee% durinll the year. Galwlated onlh¢ of fvll lirn•
oquivalents, wa5 as follobv5".
31+11312025 3110312024
CoWAnagér
Casewcrker
Student SupeNisor
. TAXATION
The ¢harity is exernptfrom corporalion tax on ib chaiitable xfNtbos.
Page 8

IAComrony Limited byGuaTantoèl
NOTES TOTHE FINANCIAL STATEMEMrs
7. DIRECT CHARrrA2LE EXPENDITURE
Fufid
Fufid T¥Jl Furtd• Funth
Fundrapjng
muntyALI
251
9.218
1481
261
1211
216
1101t
14JJg
PCL SupwtFuTrJ
46.M6
4101•
S*1•
and Nthl Inwrnnc•
129212
>5.867 I￿.0￿$
1T2.329
s7.￿5
17.W2
16,752
13,681
15.8
17.
4rn
InteipMt•rx
*ff Trw
HR 8upwt
1.287
1,7
rnh*•
Mobl• Tèknph
IntsiwJLanoiwT
321
4.1
5.784
2,240
1,474
Z.W7
Tt*b)
R•nt
14•WI
137T
1.19•
1,114
&81•
16,485
G•n•rai R•t••
1.314
1.613
4.757
Owk￿lI F•••
•II*MOL
B•nkchlF
870
Nothcott
Vk•t• Fu
cth•i 028U
10.11X
.027 a027
. } In 10
642
345 898
WITH TH5 TRiISTEES
N8Y INCOkllNa REaouRCE8 FOR ThE YE
Fund
Fund
Tot¥ Fund• T￿1 Fu
2823
Ith T*JIGIBLE FIXEDA8￿8..
Equlprn•Tht T4ts1
BfOUOM Pornva
Lts* Fully t*pm¢w•d
dth
A# *t311t Math, Z)25
L*pr•¥￿1
erougm Fofv•td
cD*rgg r¢rth9 wr*4J
L•M Fully
B at 31st Match.
N•1 BOOK ￿Ul..
Asat 1gIWd, 3Tr4
3.SJ)

SbJdeT
ethef
IA Company Limit8d byGuararrt￿I
STAR
NOTES TO THE FINAIICIAL STATEMENrs
for the period eTrded 31st March, 2025
11. DEBTOR8.. *th￿m*fallIng d￿￿￿1th1n onvJ*•t
31A)Yrn 31nYJJ24
17.•32
17.0>2
129
12 CRÉCITORS". *JMuntsf*lllty du•wlthlfi oThiJ*•r.
31WJJ24
t>￿ T￿Tn#
27,SCffj 27.
¢yrfi*JWe•t
Tr￿1
N(th¥n Fth
FAg LotsryAY•th 4 P•
Vk&trsReiqf FWKJ
SQ841
58 547
11 ANALY*8OF NET A88ETS 8ETWfftN FUNDS
$•n•r•l O•*1gr￿t•d R•*trkt•d
Itur
Fund•
T￿*1
154.851
154.851
¢Xrnrt L1*4M•B
NetA55etsas 113111 KiircN 2025
I￿.876
riovEMENT81N FVNDS
ec4r4r4 (hrt9olnq
01h)U2024 R•*ourt•• R••ovr¢•* Tr•fidv• 3110
R••lFl¢tsd FuTrd•
Irt. T￿ Tn¥l
>)r
114CIJ
11
¢>1rt. 2knMoy 1961 cmniatlo TnKt
10.Lro
ort. L¢W TIL￿1
.rK¥) 20.LX))
Dlr•ci 1¢8•Nk• U*•i'.
1$ 1Cé
15.1Cé
22.027 2Z027
tknrt. tY2SU OV
TOT￿$
D4•19n•t￿ Fund•'.
10A0
VnrMtrfd•d fund•'.
PCG. Ri*￿VpR Sth
12.
12.
279465
275246
f437T
Totsi Unr•*lrictsd Fund*
35.158
Z15246 292027
3TT
Total Fun
171.159
407J62 42Z613
1548TT
P￿10

students and Refu
STAR
IA Cornpany Limtted by Guarantee}
NOTES TO THE FINANCIAL STATEMENTS
for the period ended 31st March, 2025
15. GRA￿[S PROCESSED FOR QTHER SERVICE USERS
Thls bifomiatton was previoLsty exduded from the accwiis. For clarity, the gtants managed at arms.
length for other seThioe have been separated fm theothw ￿e1Ved by Start axi shovm
sparatéty.
Source of Fund5
Income Expenditure
Accrnal to 24rA5
Northcott Dèvon Foundation
Vlcafs Reltef Fund
Tal￿Smar¢ + Ptyrnoulh Diynsary
15,10B
.IT27
15.108
22,027
750
918
1,668
16. CAPITAL COMMITMENTS
The ¢haTity has no capital L￿MMi￿rts as al 31st March 202S or 31st Varch 2024.
17. PURPOSES OF RESTRIGTED FUNDS
GRnt. RefLigee Better Outcomes Partnersh￿ For of goc*J housing outcotr￿ for a Plymouth wkte
refwee Fwtswshp. {Hfm* Office fwtho.)
Grant- GarfRld Weston
Grant- Big Lottery Awards ForAH
Contrfbutlon to core org8nlsational costs. spe¢rNcallytO 8uppori
orpgoing casewDrk 5eNices at START.
Grarit- 29th May 1961 Charttth Tnjst
Grant- Home Support Fund
- Plymouth City GounGil
otthe causes tw poverty K h)w-In￿ households.
Gr8nt- Wlllom Al￿n Youno Charitable Trust Contststhn to cfft orgaThsatio￿￿ costs.
Grant- Wakefield Trust
Grant- The LeffJh T[L￿t
Grant- Swan Mountain Trust
Grant. Anonomw$
Grant- Norn￿￿ Fami