Registered Clwtity Number 1121295
CompanyNumkw. 6097534
A Con)wiy Lin)it¢d by Gu&rantre
For the Year End
31" December 2025
Contents.
l. Charity and coM￿nY tDforn￿ti0n
2. TnL8tees Annual ReF
4. Annual Statement of Financial Activiti&8
5. Statement ofAssets and Liabiliti&8 al 31" D￿ber 2025
6. Notes to the Bala￿ Sheet at 31. Decembff 2025
7. Notes to the Fina￿1￿ Ststement for th¢ year end￿ 31" Decanber 2025.

Company and Cknrity JJrfoTmatioD
Mr PaulAnthoDy Jeff
Mrs Linda Beverton
Company Registered No. 6097534
Charity Regi￿ered No.
1121295
Registered Office
c[(￿s-Llnks
9 Sheridan Road
CT16 2BZ
Mr Paul AnthoDy Jeff.
Independent Examincr
Mr John Humphreys
60 Newlands
nLitfield
Dover
Kent
CT16 3NB
Page I

for the Year Ended 31" 1)ecember 2025
alongside Dover District CounciL Kellt County Council and Kent Police in their efforts to tskle
social proble0￿ within Ibe are& Cross-LiE&s I￿5 been itt8tuEnental io breaking a Cn)ss County
Lines drng ring and l)as also Eten bigbly active in the commuDity. where drug relafyl Dwters are
concerne(L
Many of the young people that WC spoke to last year felt that their mentsl health bad sUff￿ed during
the Covid lockdown and we have been able to supwrt and hdp them with a listening ear and
practical advice.
Group sessions bave b¢¢n hel(L this has given us the opporfurrity to provide hot driDk4 advi(z.
games.
We continue to wod( with famllies who att stsuggling finall￿Y and bave Jjad the oppottunity
to provide food from sources such &$ Dover Food BanL
We operdte rent free 8nd on a long lease from tw) ￿lI}dingS provided by Dover District CounciL
This has increased our'footprinv in the LY)mmunity and enabled us to provide aftcr school clubs and
additional group sessioDS for teenager& It is bighly evident that now that we aTe able to offer more
ssions that the incidences of athi social beI￿Viour and bad bebaviour in general have decrca5ed.
At the ptesent time our work is fimded by pits 2nd donation8 from local organisafioDs in the are&
Support fiDm Dover DistrACt Council also conlinues to grow aDd is vitsl in this area of high
deprivatlon. We ate also (x)ntinuitig to actively seek grants from other organisations and businesses
in the area who looking to supp)rt worthvknile comm￿lty proj¢cts sucb as Cross-Links.
ThaDk YO￿ to all tknse of YO￿ Ix)th individuals and Organisation*b￿Gw4 WI￿ have given
grants atmj donatiODS during the Course of the year. Without your Sup[￿ we could not provide tbis
The Board of Tnthcs.
31" December 2025
Irv4teos

to the Trllstets
CRo&S-Lif￿<s l)OVER c￿ Ltd
Independent ￿a￿]ller's reprt to the ofCROSS-LINKS DOVER Co. Ltd
I report to the cknity Tr￿ on the exaMi￿Oll of the Accowits of tbe Company for the year
ended 31" December 2025.
Responsibillties and Basil of the Report
As the clwity's trustees of the Company(and atso its directOTS for the purpo￿% of company law)
you are tesponsible for the prqMrdtion of the accounts in accotdanrt with th¢ r¢quirements of the
Con]panies Act 20(Vthe 2(KJ6Ad')
Having satisficd myself that the accounts of the Company are not T￿1￿1 to be audited. as required
by part 16 of the 2c￿6 Act and that you are eligible for tndependent Examinthon, l Teport in respect
of my eXamI￿tion of your ¢knity'S a¢4x)unty 8s catticd out under section145 of the Cl)arÈties Act
20II(*he 2011 ACV). lu carrying out my exami￿0￿ I bave followed the directioDs given by the
Charities Conllnission ￿ section 145(5) (b) of the 2011 ACL
Independent Examiner's StstemenL
I have completed my examithon aod I coofirni th* Do matters have corne to my attenlion
tonnec￿ll with the examination that give me cause to bdi¢ve tbat:_
Accounting records were not kq)t in w ofthe com￿]Y. &8 Tequired by section 386 of the 2006
Act or 2.) the accounts do not accoTd with those records or 3) the accounts do not (x)mply with the
accounting requirements of se£tioD 396 of the 2(X)6 ACL other than any rn]uirements that the
accounts give a true and fair view whith is not a matter considered as part of an independent
ex8mithon or 4) the a¢￿unts bave not prep&ed in wirdance with the rnet1￿ and
principles of the Statement of RecOn]Me￿ Practice for accounting aDd re￿tillg by charities
(applicable to charities prepating their accounts in accordance with th¢ FiDancial Re￿till8
Standard applicabl¢ IJJ the UK and Republic of Ireland( FRS 102)
I have no concerns and I bave not come across any other n￿tter9 in ￿nneCtIOn with my
examination to which attention should bc drawu io this Tep)rt in order to enable a prnper
underst8nding of the accounts to be reaclx
John Humphreys
60 N¢wlands
Vlhktfield
Dover
Kent
CT16 3NB

Com
Ended
r 2025
Total Fund8
31112125
Total Funds
3111V24
INCOMING RESOURCES
Charibes
Grants
DonationslFund Raising
Misc Receipts
Interest ReceNed
Total
630
25,500
750
29.450
372
66,700
3,630
27,057
RESOURCES EXPENDED
Projects
Prem1$8S
SaFarEs & W8ges
Office & Administstion
Contribulton to R&M (Dw DC)
Depreaation
Total
11,013
11A98
4.991
17.765
7.025
10,000
4195
55A74
4,991
17.765
7.025
10.(MIO
4.195
601
15,25
2,909
18.760
EXCES8 OF RE80URCES FOR YEAR
-9.375
26.23
I8￿62
8,297
FUND BALANCE8
Balance blf
Exc8S6 of Re80urce8 for Y
41,862
.375
41.862
16.862
33.565
8.297
26.237
TOTAL FUNDS cjf
724
41.862

Llm
statern￿ of Assets and Liabilities
31*
ber 2025
nc• Sh
Totsl Funds
31M2124
Fund
FuThJ
1112r25
Intsngibte As60ts
DeprecJthn- Intsrth3ible Assets
29,343
-2,934
26.409
5.333
-1.260
4,073
29J43
-2.934
26,409
5J3
-1.260
29,343
29,343
2,495
Tanglblè Assots
NEf FIXED ASSErs
30A82
31,838
CURRENT ASSErs
D8btors & PrePaYrn￿ts
C88h 8t bank & in Hand
978
10.044
1.797
2,W5
26.23
2623
28.03
28,242
Less..
Credltorn
Amounts falFin9 due wilhiTr
1 Year
NEf CURREKf ASSErs
NEf ASSETS (1 + 2)
26.237
41,862
GENERAL AccufdlULATED FUND
Balance bjf
Add.. Unused ResixK
41,862
-9.375
41.862
16￿62
33,585
8.297
26.237
8alanc• eff
32.487
26.23
41.86

CROSS UNKS4X)
Com
as atthe 31" Decem
The charitable company is anti￿ed to exempkn from audit under s&tion 477 ofthe c￿npan￿$ Act
20CE for the year ended 31" De(snLv2025
The members have not requir￿1 the company*) oblawi ￿ auditof ts fwwKial Stat￿nents forthe
year ended 31° Dec8mb8r2025 in sedion 476 Oftt￿ C(¥npaDie5 Act2(M)6
la) ensunng that tne charitable (Dm￿Y keeps r&xrts th* comptywith sectw)n 386
& 387 of the Cornpanies A(# 21
and
(b) preparing financBI statements whi¢h give a true and fair ¥iw ofthe state of affars oftho
charitable company as at the erKI of each financiat year and of Ihe su￿lUS or defiot for each
ffinanci￿ year and in accordance with the rewiremerts ot seclKsn 394 and 385 and whlch oth&rwse
comply with the requirements ofthe Ccmpanie6 kl 21Th rekntry tOfiW￿ta1 ststements so tsr as
appli¢ablg to th8 tharilable Ix>mpany.
15 of the Companies Art 20(K to charitable srnai (YJnp￿1es.
The financial statements were approv•J ty the 8c4rd of Trustaas on
and were sign8d on ts behalf by:_
Trustee

LINKS
Limited
N￿69 to the Flna
o Y r Ertd￿ 31- Dgeember 2025
The Flnanci81 Statements of the ch¥ilth company*tlth Is a publc benefft entsty under FRS 102
have prepared ￿ ￿1rda￿{%￿1th ts Ctwittes SORP (FRS 102) P£rA)unting and Reporting
by Charities, Ststement of RecommeNJed Pwlice appfTrble to chafibes preparing their accounts
in a¢¢ordance with the Finanual Reporbng &andard app1w￿bb8 in the UK and Republic of
Ir81and {FRS102) (effedive 1 January 2015). Fmanci* Repjtng Slandard 102, The FuHnci
Reporbng Standard applicable in the the UK and Rewblr of Ire18nd arwj the Act 20￿.
The finanGid statsments have been ￿epar￿1 using histo￿￿ cost conventic￿.
1.2 Income . All w)come is re(wnk%ed in the StateM￿t of Fine￿jaI PdiVits￿ when the
charity has enti￿ernentt0 the funds. It is wobatlo thatthe be rectNed arKI th8 amou
can be rr￿ured reliably.
1.3 Expenditure
LHbllities are recognised as exF*fKfthre as ￿￿on as theTr is a legal or
¢on5truth ob1vti￿) (x)mmitting the d￿rity to that expenditu￿ It mis PTobable that a transfer of
economic benefft vnll be required in Set1kn￿ arKJ the amunt of th8 obligabon can b8 measured
reliably. Expenditure is 8￿nknj for on an acJJuals basis and has been dassified undw.
headings that aggregate all cost rekw to the category. Where costs (annot be direcay
attributed to particular headiThJs Ihgy have to acbvits8 on a basis o)nslstentwlih
the resour(
the following rates have been ap￿led:_
F￿ed Assets- InlaThJbi le A&￿ts
Ftxed Assets- FLxiures & Fthings
10%
1.5 Taxakn . The Company is ex8mpt fTDm CrytKYation Tar on ib charIlab￿
1.6 FundAcCoUntv￿ .
of the charity, at the discretion ofthe trusiees. Restrthj fv[￿ can cffily be for particular
or whon funds are raised for pwbcular restric￿ purFw)ses.