REGISTERED COMPANY NUMBER: 05522276 (England and Wales)
REGISTERED CHARITY NUMBER: 1118967
Report of the Trustees and
Un*udited FinAneithl StAtements for the Yeir Ended 31st M*r¢h 2024
for
Revlve Healthv Llvlng
Noy & Partners Accountants Lirnited
17 Farringlon Way
Ea%twood
Nottingha1n
Noiiinghamshire
NGIC) 3BF

Revive Healthy Living
Contents of the Flnanclal Statements
for th¢ Y¢#r Endcd 31$t Mthrch 2024
Page
Report of the Trustees
Independent ExAMlller's Report
Statement ot. Flnanclal Actlvltles
Balanee Sheet
Notes to the Flnanclal Statement5
10 to 16

ReviTre Healthy Living (Registered number: 05522276)
Reporr of the Trustees
for the Year Ended 31st March 2024
The Irustees who are also directors of the cliarity for th¢ purtK)5es of the Compaiiies Act £006, present their report with the financial
slalemenls of the charit), for the year ended 31 March 2023. The trustees have adopted ihe provisions of Accounling and Reporting by
C,harilie%.' StutcmLnl ot Recoinm¢ndLd PrdLtiLL appliLdblL to Lharitie% prLparing theii- 4iLLounl% in aLLordanLe Wlth tlie FinanLldl
Reporting Standard applicable in the UK and Republic ofTreland (FRS 1021 (effective l January 2015).
Revive Healthy Liviiigi origFjiiated in 2()07 arriving out ot fundinbv fr()m the New Dea15 for Comimunities Scheme (NDCI. The Charity,
wbilsi keeping its original objectives, has adapted io Ihe significant Changes in ihe econoiny, ils fLinding slream and lo the demands
plaLcd upon it by Ihc rcsidcnls of DcrwcIil, ChaddcsdLn, Oakwood and Spondon.
Our current membership now stands at 5.
OBJECTIVES ALND ACTIVITIES
OhjL>etives *nd Jims
The objeclives of. the Cliarily are to turiher any purpose that preserves and protects health or relieves poverty, sickness and distress
that al'e charitable under the laws of England and W'ales and which are established primarily for the benefit of the inhabitants of the
Derwenl. Cliadde%den. Oukwood und SDondon Ward% in the City ot" Derby the Tru%tee% in tlieir absolute discretion %hull Iliink tit.
Public benelil
The Trustees confirm that they have eoniplied with their dul), to have due regyai-d to the g?uidanc¢ on public b¢nefit publish¢d by th¢
Charity Commissioners for England and Wales in exercising their powers and duties.
ACHAEVEMEfsT AIYD PERFORMALYCE
Ch4ritable Mctivities
The Coiiipaiiy was set up to Imeet a rangve of needs ot those people wl)o are disadvantagved and liie in the Revive area. It lias beeii
achieviiig Ihis through the provision of a Cenire which foiuses on promoting, hosliniy and providing facilities which proinoie
hedlihier lifestyle5. The Centre is mdnaged on d day-lo-ddy ba%is by Revive Mand¥ement ServiLe% Limited la wholly owned
subsidiaiy uiiderlakiiig of Revive Healtliy Living). Iviiliin the Centre there is a NHS c.linic ivnning Inany specialist clinics. a libi'ary
and a dentist, along with other tenants and users providing a variety ol" services direLtly &ssoLiaied with improving residents, health
and relievinby distress and poveny.
Th¥ Jub Club (which previoLi4ly part ot" the Our.PlaLe prLTrjeLtI siipport.4 re%ident% who are out of ivurk with IT ULLe44 tv upply t.or
job vacancies, li'aining, preparation of curriculum vitae and Inte￿ieW training.
The number5 attending Ihe panlry have increased abFJin this year, due to tlie further rol l-out ot. Universal Ci-edil and Ilie hai-dships
caused by the increase In the cost of living. The Panlry coinmenLed in June 2012, il continues lo donate everyday non-food goods,
L.¥. Wd4hing puwdLr, nui)PlLS, Pdn%, toyb- thL li.bt 1% dlniust LndlL'%%. ThL ilLm.s dondlLd %upplLniLnl thu huu%Lhold bud¥Lt% of IhosL
who can deinonstrale a need. The Pantry develops io meet the reqiiiremenis of ihe various users.
The assistance lo loc81 residents was turther suppleinented by our 2n23 Christmas Pantry AppeRI. Alongside proiwiding Chrislrnas
girls lo children who M'ould olh¢rwise not have any pr¢senls lo unwrap. local residenis in need were provided a C.hrislmas food
hainpLL.
The Charity operates a small grant allocation. whereby local residents or organisations who work foi. the benefit of local residents can
apply for fundingr. up lo a maximum of £5nn. This fundingy is for ilems ot" need and includes furiiiture and wliite gyoods. By i?ioviding'
the.ge granls the Charity ain]s lo rediice. the. re.liance on doorstep lende.ts And loan gharks.
Fundrai51ng activities
The Revive charity doeg not engage the servikn¢S of, nor has it entered into any Contract for any third party 10 fund raise on its behalf.
All fund r<?i,4ingy actii'ities are carried out directly hy the slafl. ot" tlie Revive Healthy Liviiigy and Revive ManaLyenient Service
Liiiiilcd, iio appi'oaclics arc Li)ad¢ to iiidividua15 foi fiiiaiicial 5UPPOrt. Appi'oaclic5 arc iiiadc via t¢l¢phoiic, ciiiail aiid iii pci'soii to
businLSSCS, but if thLSC afL' unsucccssful, no furthLf LorrLspondcnLL IS Lntercd into.
Page I

ReviTre Healthy Living (Registered number: 05522276)
Reporr of the Trustees
for the Year Ended 31st March 2024
ACHIEVEMENT AND PERFORMANCE
Transformatlon of the Charity
Wc arL all awdrc ot.the rapid LhangL% that IUL, being faLLd by bharitics tsnd by soLiety gcnLYully. WL Lunnot Lontinuc to offLr hLlp und
assismnce without carrying out all assessinent of the needs of Ihe communily and of oui- skills Sel.
A5 part of the reiFiew of the Charity in 2021, we widened our gyeographical remit to include the neigihbouring wards of Oakwood and
Spondon. The Board continually assesses reqiiiremenis in order to meet the clianges in the direction of the Charity. The work of Ilie
Q.'harily continucs lo bL hcavily rLlianl on voluntecrs, whLlI thcsc drc not forthcoining, evLnls and activitlcs Lan fail to OLCLIr.
Continued eflorts will theretore be Inade lo recruit and retain volunteers.
Given that our voluiileering. prog¥rainine ]% weak, t.or the orgydl IliSation lo deliver its objective% and to develop we require the a4%istance
of a group of volunteers. We are very fortunate 10 have Ihe ¢oiilii)uing volunteer support from Ihe staff of Rolls Royce whose help
with Ilie Chrislmas Pantry was invaluablc, without ihcir bLlPPOrt this Lvcnt Lould not be dclivLred.
Th¢ ¥harily will conlinLl¢ to d¢v¢lop a new organisaiional volunteer base, slralegy and plan which was obviously delayed by the
restricTion% during tlie par)demic. We will introdiice a new volunteer hundbook and training.
Outlook
Our budg)ets. forecasts and plans take into accounl the challengyes, uiicenainlies. Threats and opportunities that the Chariiy faces,
coiipled with an aiin lo Inaintain a balanced financial posiiion. Whilst ihe inajor repair io the Revive Centre (roof and boilers) have
beeii completed. ongoiiig repdifN Illdinly lo doorN will be recoi'ered over the next few yedr4 by dn increase in the %ervice cliurge.
The Board ot Trustee&+ would lik¢ to thank the staff thf Revive Healthy Living and Revive ManJgein¢ni Services Litniied for their
iinmens¢ eftorrs over the last year. Wiiliout ilieir comniitrnei)l aiid gyoodwill. the Charity would liave b¢en uiiable to deliver Slicli a
sirong sel of outcomes and results.
FINANCIAL REVIEW
Fiii&iieial posilion
The Centre h¢Tri reaclied an agye when niore than ihe minor day-lo-day repairs are necessary. The coiistructioi) ot the buildin&i n)akes
some rouliiie maintenance difficult, requiring the services o>f specialists lo undertake wlial would otherwise by slraighiforward
repairs. Majur external redeLurdliL)n and weatherprL)ufin¥ LunimenLed in early 2024 dlld LL)Iilinued Llntil the %ummer. There hdve bg¥n
major works on the roof aild the healing systein. There is a contii)uiiiE scliedule of work on the fil'e doors. Pholovollaic cells tl)at were
installed on the repaired sections of the root, reduce our carbon footprint and helping with our energy costs.
The Iruslees have agreed with the directors of Revive Manageinenl Ser¥'ices Limiled io gifi aid all bul first £ l 0,000 of lis profits lo
thL Chdrily in i)rdLr to a.iSl%t li to dLlivL'r it% LhdritublL uiim.4 dnd ubjLLtiVLS.
Page 2

ReviTre Healthy Living (Registered number: 05522276)
Reporr of the Trustees
for the Year Ended 31st March 2024
FINANCIAL REVIEW
Prlneipal funding sources
Tlie prinLiplc t-undin¥ %L)urLe of ihL Chthrity i% the gift aid Irun%fcr fruin RcvivL MunagemeT]t Scrvice% Limited. This wholly ownLd
trading subsidiary generates ils profils Ihrough the commercial renting of rooms at the Revive Centr¢.
The continuiii& decrease in local gyoveriiment fiiiaiices. tlie lack of a 5i&initicanl bounce_back from the downturii caused by the
pandemic and the shrinking availability of grant funding have all conlribuled io a challenging year financially. We have reiited oul
most of the rooms within the Ccnlrc to othLr organisations. tliis conimLrcial rciilal inLOtnc tliat is providing thL main sourL'C of
income. The trustees are aware that the current econoinic situalion ha5 had an in)pacl upon our tenants, continual ettorts are being
tnade to ulilise all the space witbin Ilie Centre to its maximuin capacity.
The Charity continues lo rely on donations from biisinesses. soine ver￿. successfiil links ￿'ith local biisinesse> have been eslablished.
Wliilst thL tinanLial donations arL small, thcy arc nonL thL less very WLlcoinc and thL donations of ilcms for thL Pantry and Christmas
Pantry were very generously given. Donation5 Ot. goods, money and time have been very generouslv provided and the trustees like to
thank- all thos¢ thai have donated in any way lo the Charity. The lisi of sponsors, donors and links are ￿vell at th¢ end of this report.
The fuiure of the Chariiy is the subject of major consideratioi) by the Board of Trusleeg. The Christmas Pantry Appeal has been
uLcessful yet again. To eoniinue to provide this service whiLh has seen a significaiil grO￿.th in deniand and lo fLJnd the repairs at the
Revive Centre lias required Ihe irusiees to address the tundamental objectives of the orglanisation; how to lund the activiti¢s lo ¢nsur¢
that the charil>' continues to meet the needs and to be flexible io Ihe changing requiremenis of the local residents.
The Trustees are aware ihai ihe fuTure is very uncerrain foi. Inany residenis wirh Ihe conrinuing increased cosi of living. The li￿eS of
some residents remain extremely hard. The aini of the Irusiees is ILI continue as far as possible lo suppon Ihose residents in need.
The Charity's repuiaiion has gone from strength lo slrengih and relationships have been made wilh other local charities. These
relationship¥ ¢dn uiily help our Clillrily lu ¢onlinue lo a4sist those and lo reaLh otlier% thut at p￿￿ent have not benetited frum the
Pantry or from the activities within the Cenlre,
Reserves pollry
The policy adopted by Ilie Trustees is lo keep the minimum reserves iii the trading subsidiary for the puipose of providing accessible
wvrkiny Lapildl. The remJind¢r ut tli¢ re%¥n'e.4 generated by the trading &Ltivilie% uf Revive Management ServiLe% LiiMil¢d arg to be
Iransfei'red 10 Ilie Charity by the way of gifr aid Irg¢ nsfer. Any surplus i'eserves are 10 be transferred lo interest beariii£ accounts. a
review ot" which will be undertaken periodically. No reserves are locked inlo accounts of over three years notice period. These
reserves are a￿alIable lo be used in subsequent periods lo meei tli¢ Charity's aiins and objectives.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing do¢ument
The
harity IS Lonlrolled by ils governing doLumenl, u deed of trust and conslitules a limited compaiiy limited by guarantee, as
delined by the Coillpaiiies Act 2Q()6.
Chthritv constitution
ReN'ive Healthy Living is a coinpany liiniled by guarantee. The Charity's comTnercial activities are undertaken by its wholly-owned
trading subsidiary, Revive Management Services Limited, all profits are doiialed under Gift Aid to the Rel'ive Healthy Living. Revive
Maiiagvement Services Limited ￿'aS incorporated as a company in 20CI7 to conduct tradingy activities in support ot Revive Healthy
Living's eharilable objeciives. The prineipal ficlivily is the lelling and management of the. eharily's assets. The Company is re.gistered
LindLr Lullipdny nuLnbcr 055163£5. Thc Itu%tcc% of RcvivL Hcalthy Living, with the LXLLPtion ot Stcphcn Willoughby and Simon
Ferrigno are also Directors ot Revive Manageinenl Services Limited.
Page 3

ReviTre Healthy Living (Registered number: 05522276)
Reporr of the Trustees
for the Year Ended 31st March 2024
STRUCTURE, GOVERNANCE AND MANAGEMENT
Recrultmenl *nd appointment of new trustees
New IrustLeb ari nuinindted by thL LXl%tin¥ tru%tee% or One-third of the irustLL nL1]nbe￿ knliLh YLUT Tetirc by rotution; thLse
truslees are eiili¢led to l)e pul forward for re-election at the AGM. Following their election to the Board, each trustee will receive a
briefing pack outlining their role, together with information on ReviN'e Healthy Living ils itruLture and work. All trustees are offered
opporttiiiities lo leani more about the Charity and charitabl¢ procedures, througli individual nieeTinbFs with statt, di.¥CUS5ions with
users of the Chariry's activities and by parlieipaling in Ihe cl)arilable events. Specific training is offered for Trnslees if requesled.
Organisational structure
The irustees lunctLon is to set policy, they are responsible for the conduct of the Charit) s affairs and for ensuring that the charity
operate% in dccorddnce with all 4latutory ancl IEbFulaiory guidance. The day-lo-ddy Inalldgyeinent ot the Chariiy ]% currently delegyated
lo Ihe cliief executive. wl)o reporls lo Ihe board. During Ihis financial year Ihe board has conducied Ils meetings al the Revive Cenire,
thosc who could not attind on sitc werc inLluded virtually (by vidco Lall), at thLsL mLcliiigs it is roulinL' io rLI'icw progrcss, to rLLLiVC
tinancial reports, consider proposa15 tor taking tlie Charity torward and to consider grant applications.
Wider netiwork
M J Rawson Esq 18 a Derby City Coui)cillor.
Related parties
The Chai'ity's wholly owned subsidiary, Revive Manageinent Services Ltd, was established to undertake a range of trading activities
at the Rel'ive Hedliliy Livin¥ Lenlre.
Risk Jn#ii4gen)ent
The Trustees reglularly review tiiiancial and noii-tinan¢ial risks througvh intormalioii provided io them by way of progrress reports
received and through Lonsideralion of proposed plans for projects and of the Chariiy's activities as a whole. With regard lo financial
ri8k5, tliese are reviewed roulillely llt Buard meeting4 having regard lu ilie Charity'% Lurrent balllnLe> and re%erves in acLordanLe with
the current reserves policy adopted by the trustees,
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Companv number
05$2227(? IEii¥ldiid ¢ind Wal¢41
Registered Charity number
1118967
RegFl¥tervd vfflle
Revive Healihy Living Centre
Roe Furm Lane
Derweiil
Derbyshire
DE216ET
Trustees
P E Ballard Esq.
K I Biirton Esq
S FLrrigno E%q.
M J Rawson Esq.
Dr S C Willoughby Esq
Company Serretai'Tr
B Hiighcs
Page 4

ReviTre Healthy Living (Registered number: 05522276)
Reporr of the Trustees
for the Year Ended 31st March 2024
REFERENCI AND ADMTNISTRATIVE DETATLS
Indepeiident Examiner
Mr.%,L J Quinn
Noy & Partner5 Accounlanls Liiniled
17 Farringlon Way
Eashvood
NollinghaLn
NoltinghumsliirL
NG16 3BF
OUR SPONSORS I LINKS
Albert Huni
Asda. Spondon
Bauer Radios
Brian Murtagh Trusr
Coop
Derby Rotary Club
Derbyshire L.ommunity Foliiidation
Derbyshire Couiily Cricket Club
E-LFO Ltd
ESF Coinmunity Gi-dnl Fund
InKind Direct
Ladbrokes
Natioiial Educat1011 Unioii
Naiional Grid
Po8lLude Plale.
Rolls Royce
Severn Trent IValeT
The Asda Foundaiion
The Craft Union
Th¥ Tumpkin% Fuiindaliun
Truslhouse Comiiiuiiiiy Fund
The Tudor Trust
Unison Derby
Zedra Trust
Approved by order of the board of trustees on 1.3th December 2024 and signed on ils behalf by..
K l Burton - Trustee
Page 5

Independe￿t Examiner'5 Report to the Trustees of
Revive Health} Living
Independent examiner's report to the trustees of Rel'ive Healthv Living ('the Comp*nv'}
I report to the charity trustees ov] my exaillination of the accounts of the Coinpany for the year ended .31 sl March 2024.
Re5ponsibilitie5 and bgsi5 of report
As the charilj's trustees of ihe Company (and also ils directors for the purposes of company law) you are responsible for the
prcpurutiun uf the acLuunt% in alL￿rdance with the requirem￿l￿t% uf thc Coinpdnie% ALt 2006 ('thL 20U6 Act,).
H&ving salisfi=d myself that the accounts of the Company are not required to be audited under Part 16 of the 2006 ALt and are
eligFibl¢ t.or independ¢iil examiiiatioii, I report iii respect of my examination of your charity's account5 a5 carried out under Section
145 of the C'harities Aci 2011 ('Ihe 201 l Act,). In carrying out my examinalion I have followed the Direciions given by the C,harily
Q'.ommission under ScLtion 145(51 (b) of the 201 I ALt.
Independent examlner's stxtement
I have completed my exdmiiialion. I contirm thal no malters have coine to my attentioii in Lonnection with the exainination gFivillg7 Ine
cause 10 belIe￿e..
accoiinting records were not kepl in re5pecl ot. the c.ompany as reqiiired by Section 386 01. the 2006 Act. or
the accounts do not acconl with thos¢ records; or
the aceoiint,% do nol comply with the (ieenunlingT reqLiirement% of. Section 396 of the 2QQ6 Act other than iiny requirement tli&t
tl)e acLountS gyl￿e a rruL' and fair view whiLh is nul a nialic'r considered as part of an indL'pendent exaininarion. or
the accounts have not been prepared in aLLordance with the methods and priiikniples of the Statement ()f Recon)meiided
Practice for accouiiting￿ and repoi1ing by charities (applicable to chariiies preparing> their accounts in a¢¢ordanc¢ wilh th¢
Financial Reporting Standard applicable in the UK and Republic of Irelalld (FRS 102)).
I have no concerns and hai.'e coine across no oiher rnaiiers in connection wilh Ihe examinaiion io which aiieniion should be drawn in
this repon in order to enable a proper understanding of the accounts to be reached.
Mrs A J Quinn
Noy & Partner5 Accounlan15 Liiniled
17 Farringlon Way
EdStivood
Noitinghani
Nollinghamshire
NGI6 3BF
13th DLLLnibLr 2024
Page 6

Revive Healthy Living
Statemenl of Financial Activitie5
for the Year Ended 31st March 2024
2024
Unrestricted
fund
2023
Total
funds
INCOME AND ENDOWMENTS FROLWI
Dondtion4 IcguLiL.
102,644
142,782
Itivc%tincnt incomc
Total
338
Ilb2,982
335
143,117
EXPENDITURE OLN
Rdl8ing fund
73
2,094
Otl)¢r
T￿tal
136 204
136 277
162 055
NET INCOMEI{EXPENDITURE)
(3J,295)
(21,032)
RECONCILIATION OF FUNDS
Total tund% bi'ouulii forivard
IJOJ,618
1.324,650
TOTAL FUNDS CARRIED FORWARD
I270 123
130361
The notes fonn parl of iliese finaneial statements
Page 7

ReviTre Healthy Living (Registered number: 05522276)
Balance Sheet
31&t March 2024
2024
Unrestricted
fund
2023
Total
funds
FIXED ASSETS
Tangiblc a%%Lt
Investments
Itivc4tincnt4
Investment properly
17,764
19,731
10
,oio,000
1,027,765
i o i (),000
1.029,732
CURRENT ASSETS
Debiors
Inveytinent%
Cash in hand
5.089
2144,1 %()
5,325
294,600
12
255,112
3,930
259,042
CREDITORS
Amounts falling due within one year
13
(16,484)
(20,714)
IYET CURRENT ASSETS
24? 5.58
273 886
TOTAL ASSETS LESS CURRENT
LIABILITIES
1,270,323
1.303,618
NET ASSETS
FIINDS
Unrestricted funds
TOTAL FUNDS
1270 323
1303618
14
1,270.123
1270 323
1..10.1,618
130361
Tlie ¢harilable company is entitled lo exeinption trom audit under Section 477 uf ihe Cunipunie% Act 2006 for tlie year ended 31 sl
March 2024.
The members have not required the company to obiain an audii of its financial slaiemenis for the year ended I I sl March 2024 in
aLLorddl)Le ivith SeLlion 476 of the Coinpanie% ALI 2006.
The Iruslees acknowledge tlieir r￿ponsIbIlItieS tor
(a)
ensuring Ihal 11)e charitable coimpany keep5 accounliiig records Ilial comply with Seclions 386. and 387 of the Companies Aci
200() dnd
prLparing financial slalements which give a Irue ai)d fair view of the 51ale of affairs of the charitable coinpany as at the end of
each linoncial year and of 115 surplus or deficit for each financial year in accordance with the requirements of Sections 394
and 395 and wliicli otlierwise comply witli the requireiments ot" the Coinpaiiies Act 200CI relatinbi to finan¢ial statements. SQ
far as applicable 10 Ihe charitable company.
(b}
The notes fonn parl of iliese finaneial statements
Page 8
continued..-

ReviTre Healthy Living (Registered number: 05522276)
Balance Sheet- continued
31&t March 2024
The5< financial statements have been prepared iii accordance with the provisions applicable to charitable companies subject to the
small companies regime.
The tinancial statements ivere approved by the Board of TrLislees and aLlthorised for issue on 13th Deceinber 2024 and were signed
on its behalt by..
K l Burion - T￿Slee
The notes fonn parl of iliese finaneial statements
Page 9

Revive Healthy Living
Notes to the Financial Statement5
for the Year Ended 31st March 2024
ACCOUNTING POLICIES
Basls of preparlng the financial statements
ThL finunLial %tatcmLnt% of the Lliaritdble conipuny, whiLh 1% a public benefit Lntily under FRS 102, huve becn prep£￿Ld in
accordance with the Charilies SORP (FRS 102) 'Accounting ai)d Reporting by Charilies- Sialeinent of Recoinmended
Practice applicable lo charities preparing their accounis it) aLcordance with the Financial Reporting Standard applicable in the
UK and Republic of Jreland {FRS 102) (etlective l Janiiary 2019}', Fiiiancial Reporting, Standard 102 'The Financial
Reporiiiig Standard applicable in the UK and Republic of Ireland, and the Companies Act 2006. The financial slalemenls
Iiavc bLClI pfLpared undcr thL hislorical cost L4)nvciition, with thL LXLcplion of invcstmcnts whiLh arc includLd al markLI
value.
Income
All inLome is recognised in rhe Sialemenl of Financial Aclivilies once Ihe charily lias enlillenieni 10 Ihe funds. il is probable
that th￿ inconic will bc rcccived aiid the amolint can bc mLasurcd rLliabl>.
Expendlture
Liabilitie% are recogTni¥e(I ds expen(liture d5 %oon there is d legyal or con%tructive obligvution comiMiltingT the charity l() thul
expL'ndilure, il 19 probable thai a transfer of ecoi)omic benefits wil I be requirLd in seltlL'inLnl ai)d tl)e dini)unt of the obligy<iliun
can be metssured reliably. Expenditure is k)Lcounted for on an aLeruals basis and has becn Llassified under headings that
ag'giregTrate all cosi related to Ihe categ7ory. Where costs caiinol be directly altribuled to particular h¢adin&is th¢y have been
allocated to actlvllies on a basis consisienl with the use of resources.
Tanglble flxed assets
Depreiiation is provided al the following annual rates in order to write off each asset over its estitnated useful life.
Plant and IMaLhinery
Fixtures and fittings
Conipuler eLiuipmeni
IO'/o Lu%1
20 /0 on cost
Investment property
Inv¥.4tinent prLiperly ]% %huwn ul Inu%1 reLenl valuatioii. Any aggregutg 4iirplLl% or defiL il ari*ilig fruin Lliunge% in tair value i
recogiiised in Ilie Siateineni of Financial Activities.
Taxation
The charily is exempi from corporation lax on ils charilable aelivilies.
Fund ieeountlng
Unrestricted funds can be iised in accordance with the charitable objectives al the discretion of the Iruslees.
Reslri¢led funds can onl J be used for pariicular restrivted purpos¢s wiihin the objects of the charity. Reslriclions arise when
PLLificd by thL donor or whLn tunds arc rai%Ld for partiLular rL*lriLtLd purpusL.S.
Further explanation of the nature and purpose of each fund is included in the notes lo the financial slaiemenls.
Penslon cosls And other po%t-retlrenienl benefiis
ThL LlIAritthblL LoiMpany upcrdtL% d dcfincd LuntribuliuT] PLn%ion %Lhcinc. Contribiition% paydblc to thc chdritablc Company,
pension scheme are charged lo Ihe Statemeni of. Financial Activilies in the period to wliich Iliey relate.
P¥AEe l O
continued..-

Revive Healthy Living
Notes to the Financial Statement5- eontinued
for the Year Ended 31st March 2024
INVESTMENT INCOME
2024
2023
Deposit account int¢r¢st
338
335
RAISING FUNDS
R￿•SIng donations and legaeie5
2024
2023
Support costs
73
NET INCOMEI{EXPENDITURE)
Nct inLomLI(cxpLnditurc) LS Statcd aftcr eliargiiigl(crediling):
2024
2023
Depreciation - owned assets
TRUSTEES, REMUNERATIOIW ALND BENEFITS
Tli¢re were no tNstees' remuneration or other benefits for the year ended 31 sl March 2024 nor for the year ended I I st Nlarcli
2023.
Tru%tees' expenses
There were no trustees, expenses paid for the year ended 31 st March 2024 nor for the year ended .3 I st March 2023.
STAFF COSTS
The ai'erage monthly number of employees dLiring the year was as follow's..
2024
2023
Staff
No eLnployees received emolLimenls in excess of £60,000.
P¥AEe I I
continued..-

Revive Healthy Living
Notes to the Financial Statement5- eontinued
for the Year Ended 31st March 2024
COMPARA TIVES FOR THE STATEMENf OF FINANCIAL ACTIVITIES
Unrestriwted
lund
INCOME AND ENDOIVMENTS FROM
Donations and legacies
142,782
Investment ineom¢
'I'ot&l
335
143 117
EXPENDITURE ON
Raising funds
2,094
Other
Total
162,055
Tr4ET INCOMII{EXPEI NDITURE)
(21,032)
RECOLNCILIATION OF FUNDS
Total funds broiight forward
1.324.650
TOTAL FUNDS CARRIED FORWARD
1303618
TANGIBLE FIXED ASSETS
Fixliire<
and
filling
Plant and
maLhinery
Computer
equipineiit
Tulal
COST
At I st Api'il 2013 aiid .315t Mai'cli ?024
DEPRECIATION
Ai Isl April 2013
Cliurge tor year
At 31 51 Marcli 7024
ET BOOK V.4LUE
At 31 sl MLifLh 1024
Ai 31 st March ?023
S,041
52,240
315
6.827
552
64,108
947
962
P¥AEe 12
continued..-

Revive Healthy Living
Notes to the Financial Statement5- eontinued
for the Year Ended 31st March 2024
FIXED ASSET INVESTMENTS
Share5
MARKET VALUE
Ai I st April 20LI and .1 I st March ?024
NET BOOK VALUE
Ai 31*1 March L024
Al 31 kt Marcli 2023
ThLru wLrL no invcstmLnl u%%L'ts oiit%idL thc UK.
The company's iLivestments al the balance sheet date in the share capital of companies include the following..
Rei'Sve Management Seri'ices Llmlted (O5>l6325)
RL'gl%tLrLd offiLL.' RLVIVL HLalthy Living CLnlrL, ROL Fdrm LanL, Cl)iJddL%dLn, DLrby, DE216ET
Nature of busine5s- Letting and opei-ating of real estate
Class of sliar¢'.
Ordinary
holding,
loo
31.3.24
31.3.23
Aggregate capital and reserves
Profil tor the year
215,576
135 242
80,334
INVESTMENT PROPERTY
FAIR VAI,IIF,
At 1st April ?023
and 31 si March 2024
NET BOOK V.4LUE
Al 31 £1 Mai'ch 2024
Al 31st March 2023
i oio (M)0
i oio (Kjo
i oiu (J)0
The fair value of the investment property al 31st March 2024 was £1,30U,OUU as valued by FHP on 23rd January 2U23.
P¥AEe 13
continued..-

Revive Healthy Living
Notes to the Financial Statement5- eontinued
for the Year Ended 31st March 2024
ii.
DEBTORS: AMOUNTS FALLINC DUE WITHIN ONE YEAR
2024
2023
TrddL debtors
12.
CURRENT AS.SET INI'ESTMENTS
2024
2023
Short Term deposits
255 112
284 1 f16
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Trade creditors
Atnount¥ owecl lo biroup uiidertdkins?%
Social seeurily and other taxes
Pensi011
ALLruknd cxpinic
5,228
4.389
fi,S81
5,365
2,790
165
211714
14.
MOVEMENT IN FUNDS
Net
moveinenl
in funds
Al
31._1.24
At 1.4.2.3
Unrestricted funds
General fiinLI
1,301,618
(3_3,2YS)
1,270,12_1
TOTAL FUNDS
1303 618
33 295)
23
Nel movement in funds, included in the above are as follows..
Incoining
resources
Resources
expended
Movement
in tLinds
Unrestrlcted funds
Gen¢ral lund
102,982
(136,277)
(33,295)
TOTAL FUNDS
102 982
136 277)
33 295)
P¥AEe 14
continued..-

Revive Healthy Living
Notes to the Financial Statement5- eontinued
for the Year Ended 31st March 2024
14.
MOVEMENT IN FUNDS - continued
Comparxtlves for movement fin funds
Net
movement
iii funds
Ai
31.3.23
At 1.4.22
Uiire%lri¢l¢d funds
General tund
1,324.650
(21,032)
1,303,618
TOTAL FUNDS
1.103 618
Coinparative nel Inovenicnt in tunds, included in the above are &5 tollow5.'
Inc'oming
resources
ResourL'e%
expended
Movement
in funds
Unrestricted funds
General fund
143.117
(164,149)
(21.032)
TOTAL FUIYDS
143 117
164 149)
21032)
A ciiffeni year 12 inonlhs and prior yeai. 12 months coinbined position is as follow>.
Net
movement
iii fvnds
Al
31.3.24
At 1.4.22
UnrestriLted funds
General fund
1,324,650
(54,327)
1,270,323
TOTAL FUNDS
1270 323
A Current year 12 Months aiid prior year 12 Inontlis combiiied net moveiment iii ￿nds. included iii the above are as follows:
Incotnin
resources
Resource
expended
Movement
in funds
Unrcstrlcted funds
Jener,Il tiind
246,OQQ
(100,426)
(54.-127)
TOTAL FUNDS
246 099
300 426)
54.327)
P¥AEe 15
continued..-

Revive Healthy Living
Notes to the Financial Statement5- eontinued
for the Year Ended 31st March 2024
15.
RELATED PARTY DISCLOSURES
There were no related party transactions for Ilie year ended 31 st March 2024.
16.
LIMITED BY GUARANTEE
The charity i5 a company limited by gFuarantee. In the event of. the charity bein(F wound up, the liability in respect of the
guarai)lee is limiled io £1 per member of Ihe charity.
Page 16

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