REGISTERED COMPANY NUMBER: 05491570 (England and Wales)
REGISTERED CHARrrY NUMBER: 1110638
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENTS FOR THE
YEAR ENDED 31 MARCH 2025
FOR
HOME4TART READING LTD
D C Dobby ACIB
Tilehurst
Readlng
Berkshlre

HOME4TART READING LTD
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Page
Report of the Trustees
1to3
Independent Examinerfs Report
Statement of Financial Aclivities
Balance Sheet
6t07
Cash Flow Statement
Notes to the Financi81 Statements
9t013
Detailed Slatements of Financial Activities
14

HOME-START READING LTD
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
The Iruslees are pleased to present their annual dweclors. rep￿ together wilh the financial ststements of Ihe
chaiity for the year ended 31 March 2025 which are also prepared to me8t the requirements for a director5,
report and acujunts for Compantes Ad wrw88S.
The financ4al stalements comply Mrith the Charties Act 2011, the Companie$ Act 2tK)6, Ihe ￿en￿landum and
Artides of Association. and A¢￿inting and Reporting by Charities: Statement of Recommended Practice
applicable to charities preparing their aCc#￿ntS in accordan￿ with the Finanoal Reporting Slandord
applicable in the UK and Republic of Ireland(FRS 102) (effective 1 January 2015)
YEAR ENDED 31 IAARCH 2025
Charity number..
1110638
Cofflpany numb8r. 05491570
Registered Offi¢0: 7 Southcote Parade, Southcote Farni Lan8, Reading, Berkshire, RG30 3DT
DI￿t01* and Tr￿to•S
The directors of the (*7aritabl8 company (ihe charity) are its trustees for the purpose of ¢haiity law.
The trustees and offic4rs serving during the y8ar and sin(% the year eF￿ vrntp as follows.
Catherine Troup
Kelly Dadd
ma￿ Lewthwaite
Jacqueline Burrage
Christopher Guy
Anna Vorslar
Sally Moore
Andy Degiowgio
Danielle Hinds
Mary Wilson
Sue Bigg8
Chair
Secretary
Treasurer
Resigned 25.04.2025
Appointed 05.04.2024
Appointed 14.08.2024
Appointed 16.01,2025
Appointed 16.01.2025
Resigned 25.04.2025
Indgpond•nt Examln•
D C Dobby ACIB
Tllehuyst
Reading
Berkshire
Govemlng DocUn￿nt
Home Start Reading is a (xxnpany liNwted by guaranlee govemed by its Mernrandum and Art￿es.
It is wistered as a chaiity V•ith the Charity Commission.
Page 1

HOME4TART READING LTD
REPORT OF THE TRUSTEES . CONTINUED
FOR THE YEAR EN[￿D 31 ￿RCH 2025
Appolntmont of Tn*ta•#
As set out in th8 Arb'Glgs of Association the chair of the trustees is ncrfninatgd by the executive committeg.
N¢minations for t1￿ efeclion to th8 ￿MMIttee are censidered and voted upon al the Annual G8noral M8etiThJ.
The maxtmum nUM￿r of fflgmbefs of the exeeutive shall be no more than Iwelve.
STRUCTURE. GOVERNANCE AND PaANAGEMENT
Rhk m•n•gom•nt
Home-start Readiry w)rks to a number of rtl)ust poh'cies rryju1r￿1 by Hcrfne-start UK Ind￿41￿ HeaRh and Safety.
Finawal Management 8rKJ Controls, and GDPRIData Protoction and Confidentiality.
The8e polici8s And pradic88 afo logularly reviewed by Tru8tee8.
OWECTNES AND ACTIVITIES
Obj￿11¥0$ and alm8
Tho OLwcts of the Charty are .'
1. To safeguard, protect and pre8eNe the go(yJ heallh, both Thntal and physical of children and pa￿nts of children.
2. T¢ prevent cruelty to or maltreabment of ehildren
3. To ffjlieve sickness, pov8rty and need 8mongst thildren and parents of children
4. To promots the ￿UCatIon of the public in bgtter starKlards of child(xre
Withln the are of Reading Bnd its environ8
SignHlunt acuvbllos
Hom8start Keaaings main actlvity In pvr8Urt ot rt8 Obiectyves 18 to provth a voluntary nom&vi￿￿n9 sthèm8 oltering tr￿ndlY,
knowledgeable and practical help to Reading families wilh at least one Child und8r S vtho may be going Ihrough a difficult time,
arKI In providing targeted group actFVrties and programmes according to specific n8ed$.
ACHIEVEIAENTS AND PERFORIAANCE
Charllable actlvlU•s
The Chanty provwJ•s an Annual Report for adoption at its AGM and Ihen availabk on its web8rte giving stat18￿c9
Ond a narratsve about its various aclvitiès in 8UPPOrting familie8 at home and through group a￿1VI￿¥, recording outyuts and
measures of tho families, progr•88 and 5atisfathon wtth their 8UPPOrt.
In 2024125 the Charity SUPPWted 93 families.
REPORTING PUBLIC BENEFIT
The Charty provides an Annual ReKth for a(lfvn at its AGM and then availablè on its ￿*b$It8 gNing statistics
aThJ a narrative al)out ils various activttres in supporting fam11￿8 * homè and through group aclivits8s, recording outyuts and
me8$ures of tho tsmilles, progress and satlsf8ction with their #upp¢Jt,
Page 2

HOME-START READING LTD
REPORT OF THE TRUSTEES - CONTINUED
FOR THE YEAR ENDED 31 MARCH 2025
FINANCIAL REVIEW
R•vlow of tho y•ar
Incomè increa68d by 49% on tho pr8vious year. Thi8 wa6 dnven primarily ty the fact that the previous year includ8d a
gap in multi-yeaf funding from both the Big Lottory and Childr8n in Need vthi¢h were subsequently reno*ed following
successfvl roappli¢alions.
ExpandiiuTe decreased by 12% on the Fxevious year. This was dri¥8n in the main by staff r•duct￿n8 made towards the
end of 2023f24.
A total Surplus for Ihe year 01 £39,1)09 vras us￿1 incrB8S0 the desunated fes8v8s by £7,832. and £14,084 is rnsthcted
but ig expè¢ied to be used fully in 2025r26. The remaining £17093 is unrestrided bul maintains our unrestricted
re￿r¥05 at 6 months of running costs in line wlth our Polity and Charity ccmision guidellnes.
Providing ad¢quale fundir¥ for the 8558ntial administrative infrastructuro to supp(xt th8 charivs rnany s•r¥irns
remains a very considerable Challenge. H￿0 -Stsrt Readirwj are very grateful for all the grants donation?
re&gtved in the year, and are conts"nuirvJ to depend on such grants and donations to provide thw'r Se￿￿e6 in th
community.
The trustees have recogni8ed th8 uneèrtainties in relatit)n to th8 Chatys future fundiry and hav8 furthor incr•ased their
efforts to Sour￿ nv4V and alternative funding streams to mairrtain the ¢hority.
How•Nvr, there remains a shortlall in s￿re￿ funding and •xpocted donation8 for tho financial y8ar •ndiry 31st March 20
RM•rv•• Wlcy
In detemiiniry the reserves policy of the Gharity. the Trust88s consider Ihe levels ol dsk and op8ratlng exp8nses required.
11 Is the Tntstees. goal to create sufficient unr88trica8d reserva8 lo cover at least six monlhs. nornal opgrolin9 expense8,
Th8 6 month8 b88ed upon th8 fact that Home4lart Rgading deals vulnera￿ famili85 vtho ￿UkI wuir•
suffiwrt notice in tho event that the chaiity Wa￿ io Cease opérations.
The designated r88eN8 is to rx)vor all staff obligations and some expenses that would t)0 requlrnd in the event that the
Clk9rity was to close. The valuation of tr￿0 obligations ao recalculatéd gvery yeAr.
The Charitys reserves are d8omod to b• adequate in tern8 of rt8k.
Fundg in d•ficlt
None
ON BEHALF OF THE BOARD
Catherim Troup - Chair
Date..
Page 3

HOME-START READING LTD
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
HOME-START READING LTD
I report on the accounts for the year ended 31 March 2025 set OLrt on pages five to thirteen.
Respectlve responslbllltles of truste8s and oxamlner
The trustees (who are also directors for th8 purposes of cornpany law) are responsible for the preparation
of the accounts. The trust*s cOn￿der that an audit is not required for this year (under section 144(2) of Ihe
Charities Aci 2011 (the 2011 Art) and that an independent examination is needed.
Having sats"sfied myself that the Charity 18 n¢t subject to audit under company law and Is ellgible for
independent examination, it is my responsibilty to .'
- examine the accounls under Section 145 of the Charities Act;
- follow the procedures laid down in the General Directions givon by the Charity Commission (under
section 145{5}{b) of the 2011 Act
- slate 4*thelh8r particular matters have come to my attention.
Basls of the independent ¢xamln•rfs report
My examination was canied out in accordance with the general Directlons given by the Charlty Commlsslon.
An examination Indudes a review of the accounting records kept by the charlty and a comparlson of the accounts
presented wilh those records. 11 also includes consideration of ary unu8u81 items or disclosur88 in the accourts,
and seeking explanthons from you a8 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 'lrue artd fair viw and the report is limited to those matters set out in the statement below.
Inde￿nd*nt •xamIn•￿3 •tst•mont
In connection wtlh My examinats'on, no mattér has come to my att8ntlon'.
(1> Ithich gives me reasonable cause to believe that, in any material respect. the requirements..
- to keep accounting ￿COrdS in accordance with section 386 of the Companies Act 2006 and
- to prepare accounts which acMrd with accounting records arKI comply with the accounting requiments
of section 396 01 the Companies Ad 2006 and the Met￿ths and principles of the Statement of
Recommended Practice: Accounting and Reporting by Charities
have not baen mél or
(2) to which in my opinion, attention should be drawn in order to enable a prcyer undorstandlng of the
aGcounts to be react￿.
D C Dobby ACIB
rilehurst
Reading
Bwkshiré
2025
Page 4

HOME4TART READING LTD
STATEIIENT OF FIIWICIAL ACTMTIES
FOR THE YEAR ENDED 31 PAAR¢H 2025
2025
Unmt¥lctod RMtrl¢tod DO810r￿trd Tolal
Fund¥
Fund¥
Funds
21J24
Tolal
INCOME
Oonallons aThJ grants
Inrnme th lfivestrner
147,156
547
19.600
1661fjfj 113.020
647
137
Totsl Incom•
147,703
19.5
167.203 113,15T
EXPENDrniRE
Eynditure on Cha￿ts1* AdMt
122.Tf8
5.416
14194 1W1•2
Total •xp•n•
122.778
5,416
128.1M 145,
MET INCOMIMOIIOUTGOINGI RESOURCES
24.92$
14084
39.00• 1310361
Trnn•hr ot Fund•
17,8321
17,093
14.084
39.00• (32,11
RECOIICILIATION OF FUND8
Total fund• brought I0￿￿rd
Unregtrtctèd fijnds
Restri(aed
DesIgnal￿ fuTrJ8
10
090
,598 79.
16.
31,S24 31.524
31,624
TOTAL FUNDS CARRIED FORWAIID
Pag¢ 5

HOME4TART READING LTD
BALANCE SHEEr
AT 31 PAARCH 2026
202
2024
Unrn*trkted R••tri¢tsd DMlgn•tod
Fund•
Funds
Funds
Totsl
T¢)tal
R••l&t¢d
HXED ASSErs
Tangibl8 As58ts
CURRENT ASSETS
Oebtor8: amounts falling due wilhin one year
c￿kn al bank and in hand
7.076
129,416
7.076
193,356
14.1)84
49,856
141120
1x491
49,856
200A31
142,126
CREDITORS
Amounts falling due wilhin on• yoar
(56003)
(S6,￿3> {47.005)
NET CURREP4T ASSETS
14,084
49,868
144.628
,120
TOTAL ASSETS LESS CURRENT UAWLMES
80.688
14.084
1¥628
96.120
Liabiliti8s in greater then one year
-10.500
110￿1)0)
NET ASSETS
FUND8
unre5tn.ded funLIs
Re8tricled fundy
11
11
80.ma
14084
39,366
14,084
Designated Fund8
39,366
31￿24
TOTAL FUNDS
128
Page 8

HOAIE-START READING LTD
BALANCE SHEET- CONTINUED
AT 31 IAARCH 2025
The charitable company is enlitkd to exemption from audit under section 144121 of the Charities Act 2011
for th8 year ende(131 March 2025
The trustees hava not required the charitable company to obtain an audil of its financial statements for the
year ended 31 March 2025 in ac£ordance with Section 145{5)(b) of the Charities Act 2011.
The truslees acknowl8d9e Iheir resFX)nsibilities for
(8) ensuring that the charitable company keeps accounting records that comply with Secti¢n8 386 of tho
Companies kt 2006,. and
(b) preparing financial statements which gNe a Irue and fair view of the state of affairs of Ihe charilable
company as at the end of each financial year and of its surplus or deficit for each financial year in
aCco￿lance with the requirements of section 396.
The flnand81 statements have been prepared in acordan¢e with Accounting and Reporting ty Ch8rilks'.
Statement of Recommended Practice applicable to chanties preP￿ing their accounts in accordance with
the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS102) (effectlve
1 January 2015)- (Charities SORP {FRS102), the Financial Reporting Standard applicable in the UK
and Republic of I￿land (FRS 102) and the Companies Act 2006.
The financial statements ￿re approved by the Board of Trustees on 22 July 2025 and were
signed on its behalf by:
Catherine Troup - Chair
Page 7

HOME4TART READING LTD
CASH FLOW STATEMENT
FOR THE YEAR ENDED 31 MARCH 2025
2025
2024
STATEMENT OF CASH FLOW
Net Cash provid8d by Operating activities
Purchase of equipment
Net Cash provided by Operating activth'88
51,230
122,028
51,230
122.028
Chang8 in cash and cash equivalents in the year
Cash and cash equivalents at the beginning of the year
Cash and cash equivalents at the end of the year
51,230
142,125
122,0281
164,153
RECONCILIATION OF NET INCOMEIEXPENDITURE TO NET CASH FLOW
FROM OPERATING ACTIVITIES
Net Incom￿ experKliture for the year as per the statamant
financwl activities
Depreciation cha
Decreasel(Increas8) in Debtors
IncreasellDecrea8e) in Creditors
Net Cash provided by operating activitie8
39,009
(32,035
(7,076)
19,297
3,518
ANALYSIS OF CASH AND CASH EQUIVALEKrs
Cash at Bank arHI in hand
193.356
142,126
Page 8

HOME4TART READING LTD
PKITES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 IAARCH 2025
ACCOUNTING POLICIES
Accountlng ¢onvontlon
Tf* financial statements have been prepared in arth￿ce *ith A¢￿)untIng and Rewwb"ng by Ctwities:
Statement of Recommended Practice applicable to charli￿8 [Xeparf￿ their acc￿nts in accordan￿
the Financial Reporting Standard applirAble in the UK and Republic of Ireland (FRS102) (effe¢tive
1 January 2015F (Chariti¢$ SORP (FRS102)), the Financial Reporting Standard applicable in the UK
and Republic of Ireland (FRS 102) and Ihe Companies Act 20￿.
All incoming reSou￿e5 are induded on the Statemth of Financia Act￿lt￿5 wtr￿n the chaflty is
legally entit￿ to the resour¢e', the trustees are virtually ¢ertain they will receive the re8our¢es; and
the monetary value Can be measured %4ith $uffi¢ient reliabilty,
Unrestrcted incoming resources are included in the Statement of Financial Aclivits'es to match periods
when the 8ervices relating lo these grants are delIVe￿d. Res¢ur¢¢$ r¢¢eived f¢y fvture periods are
defferred.
We only record grants and expenditure as restricted vthere the grant is ftjr a very SpeCrf￿ expense
e.g. to fund a speufic post or to deliver a group or courne that is over and above our core trDme
visiling service.
Where grants could be designated as restricted but they are for core $er¥ice$, and expensed fiJlly in
the year, we account for these as unrestricted.
Unrestrcted incoming re50urce5 are included in the Statement of Financial Aclivities to match wiods
when the services relaling to these grants are delivered. Resources received for fijture peric<ls are
defferred.
Expenditure 18 accountsd for on an acuua18 ba818 and has been classified under heading8 that
aggregate all cost related to the category. Where costs cannot be directty attributed to particular
P*adings they have been allocated to actlvities on a b￿$ consistent wth the use of resources.
Govemance costs
Include costs of preparation and examination of statutory accA)unts and cost of any le9al ad¥i(x to
tNstees on govemance or constitutlonal matters.
T•nglbl• flx•d amots
Depreciab"on is provbded at Ihe folb*ing annual rates in order to wn'le off each as8et over ts
estimated usefvl Ilfe:.
Computer Equlpment
- straight line over 3 years.
Taxatlon
The charty is exempt from corporation tsx on ts chantable activilies.
Page 9

HOIIJE4TART READING
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTING POLICIES Icontlnuod)
Fund ac¢ountlng
Unrestricted funds are available for use at the discrection of the trustees in fUrthan￿ of the generdl
objeth'ves of the charty.
Restricted funds are subjected to reslrictions on their èxpenditure imwsed by the donor or through
term8 of an appeal.
DeS￿nated Funds
Designated funds are used for m￿128 sel aside from Ihe general fund for a specific purpD88.
Further explanation of the nature and purpose of each fund is included in the notes to the financial
8tatements.
Pension costs and pwt-rotlroment benofits
The charitable company oper*es 8 defined contributions pension scheme. Contributions payable
to the charrtable company'5 pension 8chwne are charged to the Statement of Financial Activrties In
the period to vknich they r6lat8.
Golng COn￿rn
Tho trustees have recognised the uncertainties in relation to the Charty's future funding and
have further increased their efforts to aource new and alterr￿live funding streams to maintain
the charity.
The Trustees are of the opinion Ihat Homestsrt ReadirKJ is a g)ing c(mcem but given the
uncertanties it 18 prudent to hold a reseprfe for the event of ck)sure. This is representeted by the
de5ignanled re8rve.
Incom• from Donations and Grants
2025
2024
Donation
Grants
Fund Raising
42.033
119.123
45.202
67.818
Bank Interest
Page 10

HOME-START READING LTD
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Expenditure on Charitsble Actlvltles
2025
2024
Staff Costs
Termination costs
Family groups
Famity projects activty costs
Rent. rates and service charges
Insuranc
Telephone, broadband & website
IT Costs
Office costs incl.Prinling. postage and stationery & payroll
Payroll SeNices
Repairs and renewals
Staff Training
Fund Raising costs
Professional fees
Depreciation
Governance costs (see note 4)
Homestart UK Lw
101243 118.589
3,759
2.311
6,332
1,795
1.366
3,549
1,489
1,956
890
7,810
1.701
1.524
94
525
1.247
1,013
2,037
2.724
145.192
Analysls ol govemance costs
AGM and trustees meeting8
Page11

HOME4TART READING LTD
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
2025
2024
Gross wages and salafies
Employe¢s national insurance cost5
Overpayment of Prior years Nl recovered
Pension ￿$t$
100.753 110.159
2.030
7,397
(3,578)
4.792
Tru8tee8' Remuneratlon and 8oneflt8
There no trustees, rernuneration or other benefrts for the year ended 31 March 2023
(2021 Nil)
The average monthty number of employees during the year vtas as follows:_
2026
2024
Charilable Actlvittes
TANGIBLE FIXED ASSETS
Computer Computer
Equipm•n* Equlpm•rtt
COST
Balan￿ at 1 Aprll 2024
Di8posal8 in Year
Balanc• at 31 March 2025
6,238
4,238
6.238
4,238
DEPRECIATION
Balance at 1 Aprll 2022
Dlsposal• In Y•ar
6,238
4,238
6,238
4,238
Balan¢e at 31 Marth 2023
NET BOOK VALUE
At 31 March 2024
At 31 March 2023
Page 12

MOME-START READING LTD
NOTE8 FOR THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
DEBTORS: AAIOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Other deb
Accrued In￿Me
Prepaymenls
7.076
CREDrroRS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2026
2024
Social secx4nty and other taxes
Other Creditors
1,699
15.806
29,500
4685
60.362
MOVEMENT IN FUNDS
Unrnstrlcled R•strfcted De8lgnated Total
Funds
Fund#
Funds
Funds
2024
8alanu at 1stApril 2024
63.595
31,624
95,119 127,156
Incoming re80urces
Resources expended
N•t movement In fund8
147.703
122.778)
24,926
19,500
15,416
14.084
167,203 113.157
128.194) {145,192
39,009 132,036
Transfer beiweon Funds
17,832)
7.832
Balance at 31st March 2020
39 356 134 128 96 120
Page 13

HOMESTART READING LTD
DEfAILED STATEMENT OF FINANCIAL ACTivrriES
FOR THE YEAR ENDED 31 MARCH 2025
2025
Unregtrfcteé Restrlctèd D￿Ign8t4d Total
Funds
Fund•
Funds
2024
Total
INCOME
Donatw)ns
Grants
Fund Raising
45,202
85,511
45.202
85,011
46,202
67,818
19.600
110.713
19.500
130,213
113,020
Investment Income
137
110,850
137
130.350
137
113.157
19.500
Total incomlng resource•
110,850
19.600
130,360
113,157
EXPENDITURE
Expendllurn on Charitable Actlvttle8
Stsff Costs
Redundancy C06ts
Family groups
Family projects acbvity ¢ost8
Rent, rates and Serv￿ charges
Insurance
Telephone, broadband and website
Office c08ts
IT support msts
Repairs and renewals
Sundries
Staff Training
Fund raising costs
Professional fees
Homestart UK Levy
Fundraising Costs
Truslees meetings
98.827
6816
IIX,243
118,589
3,759
685
7.810
1,701
1.600
3,819
1,524
2,311
6,332
2,311
6,332
3,549
1,966
1,489
1,956
1.489
526
1,247
526
1.247
1,488
1,013
2,724
2.037
2.037
122.rn
S,416
128,194
145,192
NET INCOMINGI(OUTGOING) RESOURCE8
11,
.156
Thls pag• does not frKm part ol the statutory fina￿141 statements
Pa9e 14