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2025-03-31-accounts

Third Text Ltd.

Charity No. 1108974

Company No. 05051134

Trustees' Report and Unaudited Accounts

31 March 2025

Third Text Ltd. Contents

Pages
Trustees' Annual Report 2
Independent Examiner's Report 3
Statement of Financial Activities 4
Balance Sheet 5
Notes to the Accounts 6 to 13
Detailed Statement of Financial Activities 14 to 15

Page 1

Third Text Ltd. Trustees Annual Report

The trustees, who are also directors of the charity for the purposes of the Companies Act 2006, present their report with the unaudited financial statements of the charity for the year ended 31 March 2025.

REFERENCE AND ADMINISTRATIVE DETAILS

Company No. 05051134

Charity No. 1108974

Registered Office

Enclave Studios Unit 6 50 Resolution Way Deptford London SE8 4AL

Directors and Trustees

The Directors of the charitable company are its Trustees for the purposes of charity law. The following Directors and Trustees served during the year:

V.P. Bartlett (Resigned 25 January 2025) A. Correia E. Robles S. Tegala P. Gladston (Appointed 01 April 2024) Company Secretary

R. Dyer

Accountants

AFE Accountants Limited Building 3, North London Business Park, New Southgate, London N11 1GN

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 Companies Act 2006. The Trustees are also responsible for safeguarding the assets of the charity and hence taking reasonable steps for the prevention and detection of fraud and other irregularities.

Page 2

Third Text Ltd. Trustees Annual Report

The above report has been prepared in accordance with the provisions applicable to companies subject to the small companies regime as set out in Part 15 of the Companies Act 2006 and in accordance with the Charities SORP (FRS 102).

Signed on behalf of the board

A. Correia

Trustee 09 December 2025

Page 3

Third Text Ltd. Independent Examiners Report

Independent Examiner's Report to the trustees of Third Text Ltd.

I report to the charity trustees on my examination of the financial statements of Third Text Ltd. for the year ended 31 March 2025.

Responsibilities and basis of report

As the charity's trustees of the company (and also its directors for the purposes of company law) you are responsible for the preparation of the financial statements in accordance with the requirements of the Companies Act 2006 ('the 2006 Act.

Having satisfied myself that the financial statements of the Charity are not required to be audited under Part 16 of the 2006 Act and are eligible for independent examination, I report in respect of my examination of your charity's financial statements as carried out under section 145 of the Charities Act 2011 ('the 2011 Act'). In carrying out my examination I have followed the Directions given by the Charity Commission under section 145(5) (b) of the 2011 Act.

Independent examiner's statement

I have completed my examination. I can confirm that no material matters have come to my attention in connection with the examination giving me cause to believe:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the financial statements to be reached.

Adam Feyzi FCCA AFE Accountants Limited Building 3, North London Business Park, New Southgate, London N11 1GN 09 December 2025

Page 4

Third Text Ltd. Statement of Financial Activities

for the year ended 31 March 2025

Notes
Income and endowments
from:
Donations and legacies
4
Investments
5
Total
Expenditure on:
Other
6
Total
Net gains on investments
Net income/(expenditure)
7
Transfers between funds
Net income/(expenditure)
before other gains/(losses)
Other gains and losses
Net movement in funds
Reconciliation of funds:
Total funds brought forward
Total funds carried forward
Unrestricted
funds
2025
£
105,878
582
Restricted
funds
2025
£
-
-
Total funds
2025
£
105,878
582
Total funds
2024
£
91,706
243
106,460
82,499
-
-
106,460
82,499
91,949
96,878
82,499
-
-
-
82,499
-
96,878
-
23,961
-
-
-
23,961
-
(4,929)
-
23,961 - 23,961 (4,929)
23,961
46,429
-
6,001
23,961
52,430
(4,929)
57,359
70,390 6,001 76,391 52,430

Page 5

Third Text Ltd. Summary Income and Expenditure Account

for the year ended 31 March 2025

Income
Interest and investment income
Gross income for the year
Expenditure
Interest payable
Depreciation and charges for
impairment of fixed assets
Total expenditure for the year
Net income/(expenditure) before tax
for the year
Net income /(expenditure )for the year
2025
£
105,878
582
106,460
81,568
-
931
82,499
23,961
23,961
2024
£
91,706
243
91,949
95,422
57
1,399
96,878
(4,929)
(4,929)

Page 6

Third Text Ltd. Balance Sheet

at 31 March 2025

Company No.
05051134
Notes
2025
£
Fixed assets
Tangible assets
9
336
336
Current assets
Debtors
10
1,400
Cash at bank and in hand
78,747
80,147
Creditors:Amount falling due within one year
11
(4,092)
Net current assets
76,055
Total assets less current liabilities
76,391
Net assets excluding pension asset or liability
76,391
Total net assets
76,391
The funds of the charity
Restricted funds
12
Restricted income funds
6,001
6,001
Unrestricted funds
12
General funds
70,390
70,390
Reserves
12
Total funds
76,391
2024
£
1,267
1,267
1,400
52,247
53,647
(2,484)
51,163
52,430
52,430
52,430
6,001
6,001
46,429
46,429
52,430

These accounts have been prepared in accordance with the special provisions of Part 15 of the Companies Act 2006 relating to small companies.

For the year ended 31 March 2025 the company was entitled to exemption under section 477 of the Companies Act 2006 relating to small companies.

The members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006.

The directors acknowledge their responsibilities for complying with the requirements of the Companies Act 2006 with respect to accounting records and the preparation of accounts.

Approved by the board on 09 December 2025

And signed on its behalf by:

A. Correia Trustee

09 December 2025

Page 7

Third Text Ltd. Notes to the Accounts

for the year ended 31 March 2025

Basis of preparation

The financial statements have been prepared in accordance with Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2015) - (Charities SORP (FRS 102)), the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) and the Companies Act 2006.

Change in basis of accounting or to previous accounts

There has been no change to the accounting policies (valuation rules and method of accounting) since last year and no changes have been made to accounts for previous years.

Fund accounting

Income

Volunteer help The value of any volunteer help received is not included in the accounts. Investment income This is included in the accounts when receivable. Gains/(losses) on This includes any gain or loss resulting from revaluing investments to market value revaluation of fixed at the end of the year. assets Gains/(losses) on This includes any gain or loss on the sale of investments. investment assets

Page 8

Third Text Ltd. Notes to the Accounts

Expenditure

Taxation

The charity is exempt from corporation tax on its charitable activities.

Tangible fixed assets and depreciation

Depreciation is provided at the following annual rates in order to write off each asset over its estimated useful life:

Plant and machinery 20% Reducing balance

Computer equipment 33% Straight line

==> picture [205 x 47] intentionally omitted <==

Trade and other debtors

Trade and other debtors are recognised at the settlement amount due after any trade discount offered. Prepayments are valued at the amount prepaid net of any trade discounts due.

Cash and cash equivalents

Cash and cash equivalents comprise cash at bank and on hand, demand deposits with banks and other short-term highly liquid investments with original maturities of three months or less and bank overdrafts. In the statement of financial position, bank overdrafts are shown within borrowings or current liabilities. In the Statement of Cash Flows, cash and cash equivalents are shown net of bank overdrafts that are repayable on demand and form an integral part of the company's cash management.

Trade and other creditors

Short term creditors are measured at the transaction price. Other creditors and provisions are recognised where the charity has a present obligation resulting from a past event that will probably result in the transfer of funds to a third party and the amount due to settle the obligation can be measured or estimated reliably. Creditors and provisions are normally recognised at their settlement amount after allowing for any trade discounts due.

Page 9

Third Text Ltd. Notes to the Accounts

Receipt of donated goods, facilities and services

All donated goods, facilities and services received are recognised within incoming resources and expenditure at an estimate of the value to the charity.

2 Company status

The company is a private company limited by guarantee and consequently does not have share capital.

3 Statement of Financial Activities - prior year

Income and endowments from:
Donations and legacies
Investments
Total
Expenditure on:
Other
Total
Net income
Net income before other
gains/(losses)
Other gains and losses:
Net movement in funds
Reconciliation of funds:
Total funds brought forward
Total funds carried forward
4
Income from donations and legacies
5
Income from investments
Unrestricted
funds
2024
£
91,706
243
91,949
96,878
96,878
(4,929)
(4,929)
(4,929)
51,358
46,429
Unrestricted
£
105,878
105,878
Unrestricted
£
582
582
Restricted
funds
2024
£
-
-
-
-
-
-
-
-
6,001
6,001
Total
2025
£
105,878
105,878
Total
2025
£
582
582
Total funds
2024
£
91,706
243
91,949
96,878
96,878
(4,929)
(4,929)
(4,929)
57,359
52,430
Total
2024
£
91,706
91,706
Total
2024
£
243
243

Page 10

Third Text Ltd. Notes to the Accounts

6 Other expenditure

Other interest payable
Employee costs
Motor and travel costs
Premises costs
Amortisation, depreciation,
impairment, profit/loss on
disposal of fixed assets
General administrative costs
Legal and professional costs
7
Net income/(expenditure) before transfers
This is stated after charging:
Depreciation of owned fixed assets
8
Staff costs
Salaries and wages
Social security costs
No employee received emoluments in excess of £60,000.
9
Tangible fixed assets
Cost or revaluation
At 1 April 2024
At 31 March 2025
Depreciation and
impairment
At 1 April 2024
Depreciation charge for the
year
At 31 March 2025
Net book values
At 31 March 2025
At 31 March 2024
Unrestricted
£
-
64,782
95
7,674
931
7,577
1,440
82,499
2025
£
931
2025
43,756
-
43,756
Plant and
machinery
£
11,317
11,317
10,928
78
11,006
311
389
Total
2025
£
-
64,782
95
7,674
931
7,577
1,440
82,499
Computer
equipment
£
6,445
6,445
5,567
853
6,420
25
878
Total
2024
£
57
75,714
297
9,363
1,399
8,608
1,440
96,878
2024
£
1,399
2024
48,177
177
48,354
Total
£
17,762
17,762
16,495
931
17,426
336
1,267

Page 11

Third Text Ltd. Notes to the Accounts

10 Debtors
Other debtors
11 Creditors:
amounts falling due within one year
Other taxes and social security
Accruals
12 Movement in funds
Restricted funds:
Restricted income funds:
Total
Unrestricted funds:
General funds
Total funds
13 Analysis of net assets between funds
Fixed assets
Net current assets
14 Reconciliation of net debt
Cash and cash equivalents
Net debt
At 1 April
2024
6,001
6,001
46,429
52,430
2025
£
1,400
1,400
2025
£
-
4,092
4,092
Incoming
resources
(including
other
gains/losses
)
£
-
-
106,460
106,460
At 1 April
2024
£
Resources
expended
£
-
-
(82,499)
(82,499)
Unrestricted
funds
£
336
76,055
76,391
Cash flows
£
2024
£
1,400
1,400
2024
£
1,043
1,441
2,484
At 31
March
2025
£
6,001
6,001
70,390
76,391
Total
£
336
76,055
76,391
At 31
March
2025
£
52,247 26,500 78,747
52,247
52,247
26,500
26,500
78,747
78,747

Page 12

Third Text Ltd. Notes to the Accounts

15 Related party disclosures

Controlling party

The company is limited by guarantee and has no share capital; thus no single party controls the company.

Page 13

Third Text Ltd. Detailed Statement of Financial Activities

for the year ended 31 March 2025

Income and endowments from:
Donations and legacies
Investments
Total income and endowments
Expenditure on:
Other expenditure
Other interest payable
Employee costs
Salaries/wages
Employer's NIC
Subcontractor costs
Motor and travel costs
Travel and subsistence
Premises costs
Rent
Rates
Premises repairs and
maintenance
General administrative costs,
including depreciation and
amortisation
Depreciation of Plant and
machinery
Depreciation of Computer
equipment
Bank charges
General insurances
Image fees
Stationery and printing
Subscriptions
Sundry expenses
Telephone, fax and broadband
Unrestricte
d funds
2025
£
105,878
105,878
582
582
106,460
-
-
43,756
-
21,026
64,782
95
95
7,150
434
90
7,674
78
853
125
1,781
104
195
1,164
2,649
1,559
2025
£
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Total funds
2025
£
105,878
105,878
582
582
106,460
-
-
43,756
-
21,026
64,782
95
95
7,150
434
90
7,674
78
853
125
1,781
104
195
1,164
2,649
1,559
Total funds
2024
£
91,706
91,706
243
243
91,949
57
57
48,177
177
27,360
75,714
297
297
7,763
209
1,391
9,363
97
1,302
50
647
36
449
2,914
3,253
1,259

Page 14

Third Text Ltd. Detailed Statement of Financial Activities

Third Text Ltd.
Detailed Statement of Financial Activities
Legal and professional costs
Accountancy and bookkeeping
Total of expenditure of other costs
Total expenditure
Net gains on investments
Net income/(expenditure)
Net income/(expenditure) before
other gains/(losses)
Other Gains
Net movement in funds
Reconciliation of funds:
Total funds brought forward
Total funds carried forward
8,508
1,440
1,440
82,499
82,499
-
23,961
23,961
-
23,961
46,429
70,390
-
-
-
-
-
-
-
-
-
-
6,001
6,001
8,508
1,440
1,440
82,499
82,499
-
23,961
23,961
-
23,961
52,430
76,391
10,007
1,440
1,440
96,878
96,878
-
(4,929)
(4,929)
-
(4,929)
57,359
52,430

Page 15