REGISTERED COMPANY NUMBER: 04566129 (Ellgland and Wale8)
REGISTERED CHARITY NUMBER: 1111153
ut't f tlie Tr
an
CCW Limited
ctwtered Accountanis
2951297 Church Str¢e¢
Blackpool
laucashire
FYI 3PJ

to
Ji
ie Finanei
he Year En
ed31M
tat
2024
Report of the Trn#tteJ
I to 5
Independent Examlner's Report
Slitement of FlnaDclal Aedvhl
BAlaD¢e Sheet
8 to 9
Notes to the Flnindal Stslements
10 to 14
Detalled Statement of Flnanctsl Acllvllles
15

reston Commu
rt ftheTru
for the Year Ended 31
Thc tNstees who are d150 director5 of the charity for the purposes of the Companies Act 2006, present their report with the
rinancial sthtements of the charity for the year ended 31 March 2024. The trustees have adopted the provisions of
Accounting and Reporting by Cl)arities'. Staten)ent of Recommended Prnctice applicable to charilieg preparing their
accounts in accordance with the Financial Reportlng Standard applicable in the UK and Republic of Ireland (FRS 102)
{cffecliNr l Janu8ry 2019).
OWECTIVES ALYD ACTIVITIES
Objecdvos 2nd alms
To dcvclop tlic capacily and skills of tlie members of Ihe economically and socially disadvantaged communities in ihe are&
of the City of Preston tn 8uch M'ays that they are bettcr able to identify and help meet their rteed8 and to participate mo
fully in society. Without Prejudice to the generality of the foTegoing in particular by:
providing opportunitie8 for pe¢)ple to learn through expericnee thereby gaining ¢ollwetencies realizing existing skills
and developing their potentiAI,.
involving people in activities wliich enable ihem 10 collectively gain confidence in their own abilities including their
ability to infiuence decisions ivhich affect them"
- by encourdging ￿0p1¢ ts) become involved in their community And wider society in a fuller IVAY;
- tlie promotion ofcommunity cohesion.
Mission statement
To cnroutas¢. influence. enable and support the local voluntsry and community sectors to become involved in decision
Inaking processes and aclions that allccl their communilies and improve thcir qulllity of liFe.
Pa8e I

reston Communl
NettTr'ork
ort rthe Trustees
for the Year bnded 31 Mgreh 2024
OWECI'IVLS AIND AC'I'IVII'ILS
Significanl activities
Slgnificant activities
The ovei'all aim ol- Ihe Coinpany is lo work with and support ihe VCFS and ensure it has a slTong voice willi
deci￿lon-1]iaklng bodieb. and Ilicitby lias an aclivc pan in Ihc planiiing and dcliveiy of services LO our local coniiiiiinily.
'I'his h&s beeii achieved 1¢ s follows:
Mcnibcrship and infoniiaiion
This year the netwnrk has continued io gn)M' and 111( % been aLtiiiely pr()iiioting meinbersliip lo VCFS Drganisalifin.￿ in the
City of Preston. T]ie organisalion continued lo niake crroris lo ensuiE a diverse aiid inclusive iiieiiibei-s1)ip. relleciing Ih¢
IoelK I commuiiity, partlLularly ivith Lf5PLcI to IlLM'ly forniLd Jnd grdssroots oigaiiisAtioi]s. Triom 88 niembeis &t tlie
l?eginning of the reporting period, PCN liad expanded 10 141 Iiienibers by the end of tlie reportiiig period.
Tliis year the iietwork hag been abl¢ to an7nge 4 face to face network meeliiigs for VCFS orgai)isations in Preslon. M'hicli
have been ivell attended ￿'Ith very posilive feedback. The slrategy ol. regular theii)ed netivorking ei'enis will continue
Lliroughout ilie 2023-24 financial y¢ar, ai a variety ofconimunilj venucs,
Durin&F Iliis year Meinbcrb wcre scni inlorn)atioii Aboul community LVLnt8, aCtivitlLS, lundingT and opportunilies tor
cngagcincni and ini'olvcincnl by e-mail, along with a weekly clccli'onic ncwslcllcr coni&ining updaics. This lias bccn vcry
PL)pu141r, and mLmbeL7 havc u5¥d this to publicis¢ thLir own w'ork along with r¢cruimient, and advLrtising Lvcnls.
Tlic PCN iycbsilc also cari'ic,s full cvcnl listings ivliicli arc updaied on a daily basis, a Lluiving job and volunlccr vacaiicics
boai'd and aii'hivLd Lnpittts of all IVL'Lkly ￿]d 4U4irtLrly nLwslcttcrs. plus a full nindom'n of all mLmbLfb, thLir uctivitics and
cunlact dclJils. Thc Nclwork'% PacLbook and Twiller accounls havc becii rL'dclivalcd aiid arc now TCgTularly updaicd 8nd
In518grain and Linkcdln accounis liave also bccn scl up. liigliligjliling) Ilic ivork of Ilic iiicmbcrsliip.
-rhc Tru.slLes havL inet six liincs duriiiby thc yLaf, Iiiid on Ivcdncsday. DLccinbcr 11, 2023. IhL IiLilivork hcld il.% Annual
G¢nLI'al Mcciing al Prcslon Tom'll ILall iviih thc Ihcinc of w'orkin&) in pllrLttcr.sliip M'iih Prcslon c.ily Council and oihci
a¥enLi¢s. Theiy wett pr¢senialiuns by Pre.8ton Ciry Council leud¥i' Matthew Broivn and dLpury Lhief ex¢uitiv¥ S#rah
TlirL'ifall aiid LOCAL projccl ILad Greg7 Milleii, followed by iiLlwi)rkiiig opi)ortiiniliLb for PC.N iiici)IbL T%.
Partn¢rshlp WTrrklng
ICANN providcd I IR. financc aiid g¢Li¢ral athiiinists'aiion 5upporl IOL di¢ neiivork. PCN li lo¢aicd ii) Prcbloii Town Flall
M'ithin the Community Engagement team MihiLh iq ivorkin8 ivell.
PCN Twstees repre5eni PCY on the Ccnlral Lancs VCSE Lcadcrs Partncrsknip ivhosc iiiain fo¢us is currenily around
hcalth and iYellbein¥ foi. L'ommunities, alon¥ w'iih LollabDrdti&'¥ ivorking iviih the ICB.
PCN Dcvclopnicnt and Comniunicalioiis Oniccr Tony Daivbcr allends Preston l-lcalih £ind Wcllbcing Partncrship
me¢tings, Preston Inclu8ion Ref¢iEnLe Group and l.anLa8hiir A$4oL'iation of C'VSS mLLtin¥s on behalf of th¢ giY)up and ilg
Incinbcrs..
The 18trci' group adinittcd PCN a8 a8sociatc Incmbcrs al our ￿'quest and our member8hip allocation H-a% SULccssful
following an interview aiid a volc of approval b}- ftill mcmbers.
Sahajx In PrLtsEon, Cancer Help Preston Ltd and ICANN all helped the nehvork by providing iMeclinbr space.
Page ,

un
ort f the Trust
es
for the Year Ended 31 ,VAarch 2024
OI>JLCI'IVLS AND AC'I'IVII'ILS
Public benefit
Tlie imslees l)ave referred io Llie guidance conlained in Ilie Cliarily Comniission'5 gcnci?l Euidance on public benefit wl)en
reviewing the charity's aims and objectives, and ii) planning fijture objectiiies. 'I'hL Review of Acrivilies on poge I shows
Llie aelivilies IhaL have been iinderiaken lo further the charily's P￿￿OseS lor Pliblic benefil
Volunteers
Tlie of PCN relies on volLinleers, Ivho represeni th¢ voluntary coinmLinily and faith Sector (VCFS) or their own
coniinunilies al iiieetings. Tlicy or their organi/.alton oive tlieii. lime free to ensure ilie VCFS and Ilie local commLtniiy
liave a strong voice ii) the loL'al dLcision-makiiig proces.s. 'IThL LxLcutivL ai)d E,'inanLC Committee M-hicli sets the strategic
direction lliid policies nf the Coinpany is made up of TNslees ivlio are Jlso volunteers and representatii'es of their
organisalions. Tiic Conipany Ilas a strong ¢LI)0$ ofa¢live Ineii)ber involveinenl and pronioiin¥ cqualiiies and inclusivily.
FINAN'CIAL REVIEW
FiDancial position
'I'lie finances are reviewed on a rcgLilaT basis. al all ft)Jst¢e meelings and the a¢¢oiints are indepen¢Jently exiimii)ed at the
end of the financial year. The Trustees constsntly Lonsider fundraising und tiie susthinabiliiy ofthe organi7.ation.
Prln¢ipal fundlng sources
The principal fundingv Sources for the charity are by way ofgranis.
Reserves pollcy
The uim ofilie Re%erve.% PoliLV reindin¥ lo ensure ihe urgiJni/alioi) tsustJinJble.
Cjoing concern
Aller inaking apprnpriate enquiries. the Iru¥lee.% have # reasonable expeLlalioii thal ihe charity has aijequale resources io
conlinue in operational cxislcncc lor Ilic forcsccablc lulurc. For tliis rcason ilicy conLinue io adopi ilie 8oin8 concern basis
in prepartiig the fin42llLial stAtcmcnts.
FUTURE PLAN'S
Preston Community Netsvork will mAintAin And build 01) itq current membership aiid coiitinLlC SUPPOrting the volunt&lry,
Loirnnunily Hnd flliUI SLLlor in PrLslon.
.8TRUCTURE. GOVERNANCE AY4D MANAC,EMENT
Governing document
Tlie cliarit). is conlrolled by ils goveLning docunienl, a deed OL Irusl. and con*tilutes a liiniled conipany. lii)iil¢d by
guarnntee. a$ defiiied by the ConipRnie8 Act 21)06.
Preston C.oinmunily Netivork ivas incorporated on 17 Ociober 2002 and irgislered iviih tbc Lliarity Lommi55ion (cliarily
niimber I 111153) on 2 September 2005.
Recruliment and 4ppoinlmcnt ol. new tru5lces
The dircctors uf thc CQTnPiiny are Also chil rity trustecs for the purpose4 of chmrity Lind arc known us thc fxeciitivc and
FiiiancL CominillcL.. 'fhLy ar¥ iioinin8tcd by InLinbLr OTgiiiiiizatioiis and clLcied by iiicinber orBai)izations L.ligiblc lo volc al
th¢ AGM.

mu
etw
ort of the Ti'u6tLes
for the Year Ended 31 March 2024
STRUCTURE, GOVERIIANCE AIYD MAiYAGEMENT
Organiz%tion41 structure
Undcr ihc requirements of the Articles of Association the Tn￿tees/F.xeCUlLve CoMi￿lItee niust hold al leasi four meetings
dch year. The Executive Committee are responsible for the 5tralcgic direction and policies of the charity.
Tlic company's Execuiive and Finance Commiltee arc responsible for all aspecis of the coinpany's a¢iivilies in accordance
with the fvlemorandum a￿d Anicles of As50CiAtion. 'Ihe .1 rustees consist of at leasi 3 and not more than 15 individuals.
The names of directors￿XecUtsVe and Finance Coininittee members acting during the year and changes to the dale of this
report are sliown on page l.
Induetion And trAlnlng of new tru5tev5
Most of ihe Executive and Finance Committeeldirectors are familiar witli Ilie work of the ¢ompany as Ihey are drawn froi
member groups.
Mcmbcrs of the Execulive and Finance Committee can request ￿ atlend relevant training cowses and Session& and have
their expenses covered ivhen doing 80 with the agrcement ofthe rest of the Committee.
Risk management
Thc trustces have a dury to idcntify and revicv4' the risks to which the charity is exw5ed and to eiisurc appropriate controls
arc in placc to provide reasonable assurance against Iroud and error,
It is rccognised thai the organization nceds to increase and diversify its funding base for ￿tUre sustainability
IiEFERENCE AND ADMINISTRATIVE DETAILS
Registered Company number
04566129 (England and Wa1¢51
Registered Chirlty number
1111153
Reglstered offlte
Clo ICANN
Howick Hoube
HoTh'ick Park Avenu¢
Hov*"ick
PrL'Ston
L4ncashir¢
PRI ULS
Trustee5
Mrs Z Couplartd
Mrs J A Culliiigford
Mrs J M Pcarson (resigned 13.12.23)
M5 J Smallcy
Companv Seeretary
Pa8e 4

RtPULoLb&."I ru¥.Ip.ei
REFERENCE AND ADMTNISTRATIVE DETAILS
IndtPEndené EyimTner
CCW Limitcd
chllfte￿d Accountsnts
295r297 Church Street
Blackpool
Lo￿aShi[¢
FYI 3PJ
B*Thk¢rA
The c￿ope￿lIVe B￿lk
PO Box 250
D¢lf Housc
Southway
Skelmersdale
WN8 6WT
Approved by ordcr of lh¢ board of irU81e￿ on ...............,..,....,..,,,...,,,,,........ and sl8ned on its b¢liglf by.,
/. Coiipliiiid- Thstec
Pu¥e 5

endent E -aminer's Re
Pre
tonc
n)muHi
ort to the
tees
Independent examiner's report to the trustees of Preston Communlty f4etsvork ('the Companv,)
I retx)rt to the charityr mistee5 on iny examinalion of the accounts of ihe Company for the year ended 31 March 2024.
Responsibilities and basis Of report
As the charity's tNstees ol. Ihe Company (and &150 Its direLiors for Ihe purposes of coinpany lawl you are responsible lor
Ilic prcparaiion of Ihc accounL5 in a¢cordanc¢ willi the r¢quirenients ofdie Conipanics Acl ?006 ('Ilic 2U06 Acl,).
H<ivill&T salislied Iny5eifihal the accounls ol-lhe Coinpany are nol required lo be audiled linder Part 16 ofihe ?006 Acl and
air eligible for indcpendcnl cxaiiiinalioi), I reporL in rcspccl of Iny examinalion of your cliarily's accounts as carricd out
uiid¢r Section 145 of the Charities Act 2011 I'ihL 2011 Act,). In catrying out m}. examination I haie followed thc
Direclions given hy ihe c.harity Commission under Seclion 14515) (h) ofthe ?01 I ALI.
Independent examlner's Statement
I liaiie coinplded iii>' exaiiiinalion. J confinn that no inatters have coiiie to my attentinn in connection ivith ihe
exaininalion giving Ine caL￿e lo believe..
accouniing records were not kept in respeLt of the Company as required by Section.386 of the ?006 Aci; or
tlie accounts do nol accord willi iliose I'ccords. 01-
the aeLount8 do not complj M'ith the accouiiling requirem¥nt5 of Section 396 of the 2006 Act other than any
requirement that the accounts give a true and t.air vieiv ivhich ib not 8 matter considered as part of an indcpcndcnt
ex￿nIna(10ft: oi.
the aLLounts Iiave not been prepared iii a¢¢ordance v4.ith ihe methods and principle8 of Il)L StatcinLnt of
Recoinmendcd Pr4iclic¢ lor aLcounling and rLYQrting by charities (¥ppliLJblL lo ehariiicb pr¢p<iring Ihcir accounts
in accordancc with the FAnan¢ial Reportinb> Siandard applicablo in Ilic UK and Republic ofireland (FRS 102)).
I havc no Lonceni8 ¥nd hdVL coinc acro%% i)0 oiher malter¥ in conncclion iviih thc cxaininalion to which altcnlion sh()uld
be drawn in Iliis rcport in ordcr to cnablc a propcr understanding oftlic accounls lo bc r¢aclicd.
aLII Ronboil FCA
C.CW Liiiiitcd
Chart¢i'¢d Accountsiils
2951297 Chuii.h Sireel
Blackpool
LancJshirc
FYI 3PJ
Date: ..
Page 6

Comm
ni
Statement of Flnanclal Acllvltles
ear knded 3
202
31.3.24
Total
funds
31.3.23
Totsl
funds
Unrestricted Restrithd
fund
funds
Notes
INCOME AND ENDOWMENTS FROM
Charitable actlvltles
Chariibalc Aclivites
48.790
48.790
44,443
EXPENDITURE ON
Charltable activltles
Charitbale Acliviles
47,626
48,058
-35,285
NET llycoMEI(EXPENDITURE)
(432)
732
9,158
RECONCILIATIOIY OF FUM)S
Total funds brought forward
15,839
19,250
35.089
25,931
TOTAL FUNDS CARRtED FORWARD
15.407
20,414
35.821
35.089
The notes forn] part of these fmancial statements
Page 7

Presto
Communl
NetTh'ork
31.3.24
Tot
nd5
31.3.23
Unrestricted Restticted
fund
funds
funds
Notes
CUIiRENT ASSETS
Debtors
C&sh ai bank
292
20,170
292
36,009
705
35,391
15,839
15.839
20,462
36..101
36.096
CREDITORS
nounts falling due within one year
(432)
(48)
(480>
(1.007)
IYET CURRENT ASSETS
15,407
20,4I4
35,821
35,089
TOTAL ASSETS LESS CURRENT
LIABILITtES
15,407
20,414
35.821
35,089
NET ASSETS
15.407
20.414
35.821
35.089
FUNDS
Unrestricted fund5
Restricted fvnds
15.407
20,414
15,839
19.250
TOTAL FUNDS
35,821
35,089
The chariiable company 18 entitled to exemption from audAt under Section 477 oc the Companics Act 2006 for the ye
ended 31 March 2024.
Tlic members bave nol required the coinpany to obiain an audit of ils fllwicial statements for the y¢ar ended
31 March 2024 in accordftnce ￿'ith Section 476 of the Companies Act 2006.
Tbe trusLees acknowled8¢ their responsibililies for
(a)
ensuring thftt the charitable company keeps ftccounting re¢ords that comply with Sections 386 and 387 of the
Coinpanies Act 2006 and
pr¢paring f￿anCIal slatements which gtve a true and fair view ot the 8tal¢ ocaffairs of the charilable company as at
the end of c￿.h finAn¢i&l year and of its SUTplus or deficit for each financial y¢ar in accordanc¥ with the
requtremrnts of Sections 394 8nd 395 and which othenvisc comply ivith thc requireinenis ofihe Coinpanies Act
2006 relating to financial staleiiients. so tar as applicablc lo Ihe charitable company.
(b)
The notes forn] part of these fuwjcial statements
Page 8
continued...

These flnancial Sl&qleiii¢nL% have bccn prepar¢d in accordonce with th¢ provisioiis dppli¢abl¢ io ¢hariiabl¢ conipaiiies
subj¢cl lo the small coJ)panÉcs r¢RITTIC.
The finanrilll 5fdtemen15 werc appruvcd by ihc Board 0fTniste￿ and auihoriscd toi. i$¥iio on
aTMI M'ere signcd on its bchulf by..
t411,
L*
Z Couplnnd- Tru%ieL
J Il Cullin&iford. Twsl
The nole5 fomi part of thc5e fiiiancial statements
Pa8¢ 9

reston Co
mulll
Tr4eN'or
N'otcs to thc Financiil Statements
for the Ye4r Ended 31 iM&rch 2024
ACCObl%TtNG POLICIES
Basis of prL'P2ring thL financial statemi'nts
The financial staienienls of tl)e cliarilable company, Ivhich is a public benefil enlily undcr FRS 102, havc been
prepared in accordance wilh the Cliarities SORP IF'RS 102) 'Accountiiig aiid Reporting by Charities.. Statcment of
R¢coinJnended Practice applicable io charilies preparing IheiT accoiinis in accordance wilh ihe FinanLial Reponing
Stsndard applicablc in Ihc UK and Rcpublic of Ircland (FRS 102) (ctrcclivc l January 2019)., Financial Reporting
Stand¢ird 102 "I-he trinancial Reportiiig Siandard applicable in the UK and Repiiblic of I￿1alld, thc Cvmpdiiic5
Aul 2006. The financial slalemei)l* have been prepared under the hiblorical Lost coni'eniion.
Ineome
All incoine is recobmi.sed in Ihe Siatement of Financi81 Aclivilies once the charily ha4 entitleinenl to the funds. il i.s
probable Ilial ihe incoine will be receiiied and lh¢ amouni can be n)easured reliably.
Expendlture
Liabililies aiE recognised as expendilure as soon as IheiE is a legal or conslnjclive obligation cornniitiing Ilie
ch&rity to that expLmditurc, it is pi'obable that a transfer of economic beiiefil8 Th'ill b¢ required in settlement aiid the
amount ofihe obligation can be measured reliably. Expenditure is acLounled for on an accTuals ba818 and has been
classified under licadings ilial aggrc¥alc all cosl rclatcd lo ilic calegory. Wlicrc costs cannot be direcily atiribuLed
to P¢lrtiLular headings Ihey lill￿¢ been dllocated 10 llctivitiet> on a ￿75]8 Lonsi8ient M'ith ihL' usc of r¢sourLes.
Taxatlon
'I'hL charity is exempt from corporation lax on its ch&irilable activities.
Fund accounting
UnrustriLrcLI fund5 can bc USL(l in aLLordancc iviih thc Lh¢iritablL objLctiN'c% at thc di5crctiDn of thL IrustCLS.
RcsLriclcd fiJnds can only bc uscd lor particular rcslrictcd putposes w'iihin Ili¢ objecis of ihe chariiy. Rcslriclions
arisc whLn spccificd by the donor vr ll'hcn fvnd8 dfL' raisu'd for particular restricted purpi)scts.
Furthcr cxplanalion ofilic nalurc and purposc ofcacli lund is included in die noles io ilie linancial slaleinenls.
Pcnyl()n cfjyty #nd ()thcr post-rLtlrL'mL'nt bL4llL>fits
Tlic chari(ablc con1pk￿Y opcralcs a dcfincd conLribulion pcnsion sclieiiic. Conlribulions pa￿.able io Ilic chariiabl¢
comp4iny's p¢nsioii sch¢m¢' 1¢ l-c ch¢lrg¢(I ti) th¢ 8tdt¥ment c)f Finai)C1411 Actiiiitici in tlIL perioLI t() Ivhilli th¥y rcliilL.
TRUSTEES, REMI biYERATIOLY AND BEIYEFITS
ThLT¥' V+'crL' no I￿StLCs, rL'muiicrnlion or othLr bLmLfits for ilie yellr endLd 31 Marcli 20?4 iior for IhL yLaf Lndcd
31 March 2023.
Trustees, expense5
Ther¢ w¢re no trust¢¢s' cxpi'ns¢s paid for th¥ year cndL'd 31 MarL'h 2024 1)or foi. the year endeLI 31 March 2023.
Page 10
ontinued...

Pr￿t0￿ Communi
Nekn'or
Notes to the Ffinancial StstemeAts- contlnued
for the Year Knded 31 March 2024
STAFF COSTS
The averdge monthly number of employees during the year was as follows..
31.3.24
31.3.23
Trustees
Employee5
No employees received emoluinents in excess of £60.000.
COLMPARATIVES FOR THE STATEMEN'T OF FINANCIAL ACTIVITIES
Unrestricted
fijnd
Restricted
funds
Tot41
funds
INCOME AND ENDOWMENTS FROM
Charltable actlvltiej
Charitbale Activites
44,443
44,443
EXPEIYDITUR£ O
CharitAble gcdvltles
Ch￿ilbalc Acliviies
34.805
35285
IYET INCOMFJ(EXPENDITURE)
(480)
9,638
9,158
RECOLYCILIATION OF FUNDS
Total fimds brought fonvard
16,319
9,612
25.931
TOTAL FUNDS CARRIED FORWARD
15,839
19,250
35,089
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3.24
31.3.23
Trade debtors
Prepa￿TrentS
253
452
292
292
705
Page 11
continued...

esto
Note8 to the Flnanclal Statements- contSnued
for the Year Ended 31 March 202
CREDITORS: AMOUNTS FALLTNG DUE wrrHTN ONE YEAR
31.3.24
31.3.23
Trade creditors
Awrued expense5
48
432
227
780
480
1.007
MOVEMENT IN FUNDS
Net
movement
in fijnds
At
31.3.24
At 1.4.23
Unrestrfeted funds
General ￿nd
15,839
(432)
15.407
Restrlcted l)Jnd8
Bi8 Lottery
19250
,164
20,414
TOTAL FUNDS
35,089
732
35,821
Ncl movement in funds, included in the above are &8 follows..
Incoming
rcsouires
R￿￿ourceS
expended
Moveinent
in funds
Unreslrlcted funds
General fuod
(432)
(432)
Reotrlcted funds
Big Lot*ry
48.79YI
(47.626)
l.l64
TOTAL FUNDS
48.71)U
(48.058)
732
Page l?
continued...

resto Co
mu
Netsv
t the Finane121
tem
eYearE ded3
nts- eontlnued
h 2024
MOVEMENT IIN FUNDS - contbnued
CompAr4tivo8 for movement in funds
Nei
movemcnt
in fimds
At
31.3.23
At 1.4.22
Unr¢strkted funds
General fund
16,319
(480)
15.839
Restrlcted fullds
Big Lottery
9,612
9.638
19.250
TOTAL FUNDS
25,931
9.158
35.089
Comparative net movemenl in fund5, included in tl)e above are 48 follows:
Incoming
rc50urceg
Resources
expended
Movement
in fithds
UnreBtricted funds
General fund
(480)
(480)
Restricted funds
Big Lottery
44,443
(34.805)
9.638
TOTAL FUIYDS
44,443
(35.285)
9.158
A cu￿ent year 12 montsis and prior year12 molltlis combiti¢d posilion is as follows..
Nct
movenient
tn funds
Al
31.3.24
At1.4,22
Unwtrlcted funds
G¢nernl
16.319
(912)
15,407
Reslricied funds
Big Lottery
9,612
10,802
20,414
TOTAL FUNDS
25,931
9,890
35,821
Page 11
continued...

Netw'or
Note8 to the Firtancial Statements - continued
for the Year Ended 31 Mareh 2024
MOVEi¥fENT IN FUNDS - continued
A cutrent yvar 12 month5 and prior year 12 months combined net mov¢ment in fiinds, included in the above are 8s
follo￿'S..
Incoming
Resources
expendcd
Movement
in funds
Unregtrlcted funds
Genernl fijnd
(912)
(912)
Restrkted fvnds
Bi8 LOt￿ry
93.233
{82.431)
10,802
TOTAL FUNDS
93.233
(83.343)
9.890
RELATED PARTY DISCLOSURES
There were no related party transactions for ihe year ended 31 March 2024.
MEMBERS, LIABILITY
The liability of the members 15 limiie(L Evcry menibcr ofthe company undertakes to contribuie lo the as8els of the
company if it is ivound up Ththilst a member or ivithin one ycar after ceasing to be a member, such amounts as MAY
be requircd not cxcccding onc pound.
Page 14

Detailed
fo
emcnt of fiinancial At
ded
31.3.24
31.3.23
INCOME AND ElI￿OWmE￿Ts
Charltable aetivitles
Grants
48,790
44,443
Total intomiog resourees
48,790
44.443
EXPEIYDITURE
Charltable aetlvltl
Wages
Pensions
Insurance
Telephone
Postage and stationery
Advertising
Sundrie5
Rent
Training
Professional Fces
Admin & ireasury supwrt
Compuier and sottware expenseg
38,362
668
780
72
219
IJ03
167
314
196
2,744
2,600
21
20,602
96
476
226
30
124
178
5,360
366
4.389
2,600
196
47,446
Support eosts
Governance Costs
A￿ountancY fees
012
642
ToÈal resource5 expended
48,0511
35.285
Net Income
732
9,158
This page does not forni part of the 5tattttory fllianciai statetnents
Page 15