REPORT OF TIIE DIRECTORS AND
UN'AUDITID FINANCIAL STATE￿IENTs
FOR TIIE YEAR ENDED 31 MARC14 2D24
FOR
THE CAMP.4IGN bOR DRAIVING

TKIE CAIVIPAIGN FOR DRAl¥lING
COIYTENTS OF THE FIN.4N'CIAL STATEMENTS
foi. the Year Ended 31 Mareli 2024
Page
C.nmpany InformatiTrn
Annual Report of tlie Trustee5 &. Dii'eetors, Report
Profit and L05s Account
Balance Slieet
P*'Otes to Ilie Fiiiaiicial Statcnienls
Indepeiident Examiner'5 Report
Trfiding pnd Profit llnd Loss Account

THE C.Ali IP.&IGIY bOR DRAII'IP4G
COI.IPAlI I, INI'bOIIII.lJtTION
foi Ilie I'-ethr Ended 31 %liircli 2024
TRUSTEES:
Mr. Eric Reynolds
Mr. Graliaii) Souiheni
Mr. MarK- Chesier
Mr. Daniel McAuliffe
REGISTERED OFFICE:
Studio 36
Riiierside Buildiiig
Triniiy Buoy Wharf
64 Orcliard Place
London
E14 OJW
REGISTERED NUMBER:
05763509
Accouf4TA,YTS:
Br8mil .4ssociaies LLP
Firsi Floor
677 Hi&ih Road
North Finchley
London
NI? ODA
P82e I

THE CAMPAIGN TrOR DRAW1Tr4G
'NUAL REPORT OF THE TRUS'fEES
lor Ilie Yeir Ended 3 1 M.Ircli 2024
The trnstees of the cliarity for the purposes of the Conipanies Aci ?006. presejit their report with the fiiiancial
%tatement% of Ilie charity for the year ended 31 Marcl) ?0?4. Tl)e trustees l)8ve adopted tl)e proiij%ioiis of the
Staleinciit of Recolluiicndcd Practicc (SORP) 'A¢¢ouniing and Reporting by Cliarities. issued in March 2005 as
ainended in 2008.
INCORPORATION
-rhe chariiy was iiicorporated as a limited liability COI)Ipaiiy on 30 Nqar¢l1 2006 aiid was registered as a cl)arily by
tlie Charily Conimission on ?3 June 2006. The charity began trading on 31 August ?006. The charity a150 trddes
under the naine of The Big Drdw.
RECISTEIIED CHARITY YUMBER
Tlje charity's regislered i)umb¢r ivitli The Charity Commission is 1114811.
TRUSTEES
The inisiees during th¢ year and appoiThied after the year end were as follows.. -
Mr. John Am)ah
Mb. Emma Black
M.%. Rachel Gad%den
Ms. Isobel Macleod
Mr Thomas Curtis
Ms Sliula Sinclair
Mr John Staehieivicz
fvls melis.qa Sterling
Mr. Eric Reynolds
Ir. Graham Southern
Mr. Mark Chester
Mr. Danial McAuliffe
Resig?ned 3 July 2024
Resioned 3 July ?024
Resigned 3 July 2024
Resigned 3 July 2024
Resi￿lled 3 July 2024
Resigned 3 July ?024
Resigned 3 July 2024
Resigiied 3 July 2024
Appoii)ted 3 July ?024
Appointed 3 July 2024
Appointed 16 July 20?4
Appointed 4 October 2024
GOVLIiNING DOCUIIqENT AND CONSTITUION
Tlje charity is governed by. and its consiitution is, its Memorandun) and Articles of AssociaElOn.
TRUSTEES SELECTIO￿,
All Tru51ee5 since incorporation were appointed by resolution of the existing mis(ees. Any neiv iNqtees will be
appoinied by the exislingp IN%lees.
qISSION
The charity is dedicated lo rdising the profile of drawing as a iool for wellbcing. t]iought, creaiivity. social and
culiural engagenien(. The charity" leads a diyerse prOgr￿l￿ne of advocacy, empoivement and engagemenl and
runs The Big Draw Festival.
Page 2

THF. CAMPAIGh' FOR DRAWl￿'G
AN'NU.4L REPORT OF THE TRL'STEES
rur thL. Yel4 T Ended 3 1 4ircli ?024
DIRECTORS, RF.PORT
The cliarity (a150 trading as The Bi¥ Draiv) has delii'ered a nun)ber of aclivilias during the year ended I l March
?0?4 including Tlie Big Drnw Fe%iival with the Illeme of."Drawing ￿1th Senses". and Ihe John Ruskin Prize.
However. 5ecurin£ ongoing funding has proved to be a challenge with the end of the period of support froni
TopHatch Inc and their Concepts app. Thi% change Tequired ihe charily to adapt lis cosi base aiid aciii'iiies going
rorn'ard whicli have 8ince been niade pO￿lble by oyr small leaiii of part-time ￿olUnteerS and donated offjce and
slorage space.
The cliariiy's aims during this year and going forward continued to be to:
Coiiiinue to campaign for ilie value of vi%ual IiEeracy and Ihe role of drawiiig 10 unlock skills and poieniial
> Grow the number of fes(ival organisers, encourage online events H'hen phy.8ical even15 are noi possible.
Incre&se our penetration into areas where there is a real need and rdise awareiie£s of our oiher
prograninies and areas of ivork separaie io (he fesiival.
> Continue io focus on su8tainability and ensuring that the charity ha8 its oivn in¢orne streanis
Rlsk Mi anagement:
The In]siec% hai.'e a duly io ideniify and review the rigks io wliich the charity is exposed and io ensure appropriate
con(ro18 are in place tu provtde rea￿nable a%surance again.%i frnud and ernr.
Reseri'es:
The reserves of the cl)ar&ty as ai tlie end of ihc period were £1:587 of whicli £1.587 ivere unresiricied and io be
ret8ined lo fJnan¢e fulurc cvcnt.q.
Th¢ Irusiees consider ihat all these re%eTh'e$ 3re required to be carried forwTaTd io continue the actii'ilies of the
charily and Ineet any ¢onlra¢led cominiimenis For year ended 31 March ?0?5.
This repon has been prepared in accoi'dance witli tlie special PTOI'isions of Part 15 of tlie Conipaiii¢s Acl ?006
ON BEI.IALF OF THE BOARD:
Eric Reyno
ds - Chttirm8n and Trustee.
Date-
29 January 20?5
Page 3

TTrIE CAMPAIGN FOR DRAWING
PROFIT AND LOSS ACCOLryT
fur the Year Ended 31 Marcli 2024
31.3.24
Notes
TURNOVFR
165.007
130,979
Cosi of sale5 (Project Activities)
79.368
(23 887
GROSS PROFIT
85.639
107,09?
AdmiT)iSlrative expen%es
Il2225
OPERAI'IN'G PROFITI(LOSS)
{?6.586)
6,160
Interest receivable and similar income
64
49
(DFFlCi'f) I SURPLUS ON ORDINARY ACTIVITIES
BEFORE TAXATION
(26.52?)
6.209
Tax on %urylus on ordinary activitie5
{DEFICIT) / SURPLUS FOR THE FINANCIAL YEAR
AYfER TAXATION
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THE CAMP.4IGkY FOR D114V*'l.N'G
BALANCE SHEFT
311l.larcli 7024
31.3.23
Notes
CURRENT ASSETS
Casli at bank
Debtor
5,840
2?.400
5.840
43.605
CREDITORS
Ainouiil% falling due ii'ithin one year
15.496)
NET CURREIS'T ASSETS
1.587
28,109
TOTAL,ISSETS LESS CLTRRENJ T
LIABILITIES & NET ASSETS
.587
28,109
RLSEIIVES
Lharity funds
1,587
28.109
1.587
Tlie chariry ts entitled to exemprion from audit under Section 477 of the Companies Ac(2006 for the year
ended 31 Marrh 2024.
Tlie iiieiiibers liave noi required tlie ch￿IlY lo obtain an audit ol its financial 51aiemenl.8 for the year ended
31 Mareh 2024 in accordance with Seciion 476 of the Companies Act 2006.
The Iru51ees acknowledge their responsibililies for-.
(a) ensuring thai the charity keeps accounting records which cornply with Seciions 386 gmd 387 of tlie Coinpanies Act 2006.,
{b) prepariiig financial sialemenis which give a true and fair view of the stale of affair% of the charitv &5 ai the eiid of each
rinancial year and of ils profil or lo&s for each fiijancial year in accordance willi the requireinenls of Seciio115 394 aiJd 395
aiid which otlieTrvi5c comply ivitli (he requirein¢nts of ihc Compaiiics Aci 1985 relai?Iig io fiiiancial 51aienieiiis, so far as
applicable 10 ihe charily.
The8e financial 8laieiiienis have been prep(Ired in accordance with ihe special provisions of Part 15 of the Companie%
Act 2006 rclaling lo sniall companies and widi Se¢lion l A "Small Eniilies" of Finaiicial Reportiiig Standard l O?
'The Financial Reporting Standard applicable in ihe UK and th¢ Republic of Irel&nd"
The financial statements were approved by (he Board 01T￿51￿ 011 29 January 2025
and ivere signed on ILS behalf by..
Eri¢ Relinolds- Chairman and Trustee
The noies forni parl of these financial slatenients
Paee 5

THE C.&MP.41GN FOR DIL4I1flNG
NOTES"ro TIIE Flh'.4NCIAL STATETrIENTS
for the Year Ended 31 March 2024
ACCOUNTIP4G POLICIES
Aceountino convention
The financial statements have beeu prepared under the historical cost ¢OL)vention and iii accordaiice witli tl)e Section
l A "Srnall Entities" of Financial Reporling S(andaTd 102 "The Financial Reporting Siandard applicable in il)e UK
and tlie Republic of Ir¢laiid" and the Cliarilies Aci ?01 l and the SORP for Chariiics.
Turnover
Tumover represents nel invoieed sales of goods. excluding value added tax.
OPERA TINC PROFITIILOSS)
Tlie operating defjeil is slated after chargiI)g:
31.3.24
31.3.23
Campatgn Direclorfs fees
TAXATION
Anal)'sis of the tax ChAr￿e
No liabilit)I to UK coryoraiion tax arose on ordinary aciiviii&8 for tlie year ended 31 March 2024 nor for the year
ended 31 March 2023.
DEBTORS
31.3.24
31.3.23
Trade Debtors
22.400
CREDITORS: AIVIOUNTS FALLING DUE MIIT141F% OLNE YEAR
31.3.24
31.3.23
Deferred Income
Other Creditors
fi,734
4.253
Page 6

I'HE CANI IPAIGsY FOR DII.411FIYG
'OTF.S TO TIIE FIN.IIN'CI.II. STATEIIF.NTS
for tlle Year Lnded 3 1 illarch ?024
GRATr4TS, DONATIOLNS A￿'D SPON'SORSHIP
20?4
)0?3
Concepts- TopHatch Inc
The Trinity Buoy Wharf Tru%t
Denveni
Alan Davidson Foundation
Parker Harris & Co (Ruskin Prize)
Guild of St. George (Ruskin Prize)
Other donations
50,000
?4.018
60,000
18.400
i 0,000
4,000
5.000
3.711
RESERVES
Unrestricted reserves
General
fund
Ai l April ?023
28,109
Deficit for ihe year
(26,52?)
At 31 March 2024
ADIMINISTRA'I'ION EXPENSES
Tlic Admiiiislratioii expenses includes ihe cost% of the cainpaigii director, operations. marketin¥ coordinators aiid
adn)inistrative support.
SHORT TERTrI RENI ITAL LEASE
The cliarily lias taken oul a shorl-lenn lease ivhich is eancellable and does not represeni a long-ienn finai)cial
commiin)eni.
Page 7

THE CAMP.41GN FOR DRAIIIING
Independent Examiner's Report to the Trustees of I'he Cxmpaicn foJ- Draiyiiig
I report oil the a￿OuntS of Ilie conipany for tlic year ended 31 March ?024, which are sei out on pagcs 4 10 7.
Respeetive responsibilities of trustees and e.iuminer
The trustees (who are a150 the diiectors of the company for the purposes of company law) are respoiisible for the preparniion
of tlie aceounis. "rhe inisiees consider ihai an audit is noi required for this year under seciioii 144(?) of the Charities Act ?0 I I
(tlie 201 l Acl) and ihal an independent examination is Deeded.
Haviiig satisfied mysell Il)ai the cl)arity is nol subj￿1 to audit under COTnpan)' law and is eligible for independent examinaiion,
il is my respoiisibility to:
exaiiiine thc accounl.g under seclTon 145 of the ?01 l Act;
to follow tlie procedures laid down ii) die &Feneral Direclions given by Ilie Charity Coinmissioti uiider section 145(5)(b) of
(he 201 l Act. and
io slate whether particular mallers have come lo my aiienlion.
Basis of independent examiner's report
My exaiiiination was carried out in accordance wi(h ihe general Direciions given by the Chariiy Comn)ission. An examination
include% a review of the accounting record8 kepl by il)e charity and a comparison of the accounts pre%en(ed wilh those records.
It also includes con5id¢ration of any unusual iiems or disclosures in ihe accounts aiid seeking explanatioiis froni you as liv.qtee8
concerning any such inatters. The procedures underiaken do not provide all the evidence ihal ivould be required in an audit And
con.%equently TIO opiiiion ig given as lo wheilier the accouiits preseni a 'true and fair view, and the Tepori 15 limited to Ihose
niaiiers sel out in the 51atement below.
Indepeiident examiiier'5 5taienieJit
In connection willi my examinalion: no mailer has come io my allcnlion Ihat..
I l ) which gives me reasonable cause io believe ihai in 8ny maierial respect Ibe requirements:
lo keep accounting records in a¢cordance H'ith section 386 of tlie Compaiiies Act ?006- and
io prepare accounis which accord ivith the accountiiig records, comply ivi(h t]i¢ accounting requireittellts of section 396 of
Ihe Coinpanie% Act ?006 and with ihe mcil)ods and priii¢iple% of ilie Statemeiil of Recommended Praciice.. AccounlinL? and
Reporting by Charities
Iiavc iiot b¢¢ii mel; or
(21 to
in niy opii)ion: aft￿lI10n Should be drawn in order lo enable a proper understanding of the accoun15 to be reached.
Simo
oke
Broug
)am
CA FCCA
Braniil A.&%o¢iaies LLP
Fir.sl Floor
677 High Road
North Finchley
London
N12 QDA
Datc.. 29 January ?0?5
Page 8