ONE CAUSE LIMITED
A Company Limited by Guarantee
Charity Registration Tr&). 1123183
Company Registered in England No. 06407931
Rem and Unaudited Financlat Statements
Year ended 30 June 2025
*AEVA3R4J*
A18
#111
CO•APANIES HOUSE

ONE CAUSE LIMITED
REFERENCE APID AOMINlSfRATNE D￿Al5
St•tus:
Charity Rrfi5traii(￿ No.: 1123183
Ccffipany Limited by Guarantee No.: (W7931
The Chantys goveming d(*LUttht is the I￿￿an&jrn and Art>cles of
Ass(oaiI(￿ dared 14 April 2COB a5 a￿￿nd￿J 13 (ktober 2010.
Registered Offke:
Wallington
Jrfey
SV6 9RQ
Trustees:
Rtshi Raja
hish Whir Nathw￿l
Pritul shah
Kishan Vas￿7
Rajen Shah
Kiran Sh
Se¢r¢t•ry:
prit￿ Shah.
lThdep•)dent examiner:
Shnrti kni FCCA FCIE
Shruti S(￿1 Lté
Chartered Certified AccLwntant5
117a St Athn's Fthll
Se¥en¢)a*s TN13 3JO

ONE CAUSE LIMITED
Trustees. Report
for the year enéed
30 June 2025
The tw8tee5 pre5eni iheir repjrt and the linanclal stat*w)rs lor tl* aTrJed 30 2025. Th￿ is a150 a ￿re￿or$. Rwrt
requ¥ed ty s417 of the Coffpanles all InJstee5 are direcr¢y5.
Thi5 Tru5tee5 RepDrt rhe as50cHied FIna￿TraI Statw*nts ha¥e teen prepared in accordance with guidance for preparinR
Charlty AccoLnts and Reports wewreLI in-AcCwnt￿9 and Rewrtinq by Chafrties.. statement of RecommÈnded PraciKe- and
are therefore in acc(Kd&Ke vrith rhe FirwKial Reporting SraTrlard 4Fy1￿ab1e in the UK Re￿￿[IC of IrelarN1 leffettive 1
January 2019I- (Charities SORP FRS 102) t(Whèr Wbth The Cornpani￿ kt 2(t* and the requ1rÉ￿entS of the W*morandum &
Articles of Associal￿Tr.
Objertlves and Afrn5
The ob)ective of One Cause Is the adVa￿eme￿. and pr0¥7510n of ed￿atIon and tralnlrffj of chlidren and a¢uliS in
parricular excluswely ty e￿a￿lIsh5rffj or 7*rthing in toliaboratK)n.with e￿￿tIm￿l ir6ritUllW5.
0￿ Ca￿@ is commTtted to raising awareyw arkj fwd5 for the of educatlon InN)rovement of live5 tg those arolmd
the %¥orld thai have Ilttle hope of tf* 0rwrt￿1ty tg fi0￿sh. ¢￿r aim 15 (o WO￿Oe a 50cially* financially and
en?￿r￿rrenra1IY seli-SLtstainin8 n)Jdel so that i(tal corMILmities are L*nrwed ar¥J equpFed to WTsue a enhancln8 and
SU51alnabie future.
Achl¢vwr*nts PerfornwKe
The year ended 30 Jur* Z025 has been a rknnal year of furx1ra1s￿g efftsrts pri￿￿71y to hav￿£ w largesi ever
number tsl runnery ot rhe London Ilarathrm 5LWrt*ig us. lo total. we managed to raise E161.840 up 48% from last year and we
thank d¢rK)ts loi thew 5UFPOrt
Flnandal Revlew
Dunn4 t1￿ year rhe (harrtys total was 1161.840 120Z4.' £109.5901. Total experxllture thJMn8 the year anwnted to
164.56912024.. £123.1481. ￿corre tl* year wa5 £97.271 I￿[ exFendItu￿ 2￿14.. C13,5581.
Reserves Pollcy
The chafity needs t¢ have suffici￿[ rese1￿ ro enable ir to lis charftabie otllgatlons should thefe be an Lmexpected
donariw shortfall. The exlstence of Lmrestrtcted reseNes also offers tIE ch&nty flexibility to pian and f￿0 ma)OT projects. The
trusrees have agreed that the charity ￿11 ha* reserves e0u1val￿t to rwelve rrK>nth5 of income (based on ihe year ended 30
Jur* 2025 IncwE of 1161,8401, which will te annLolly to ensufe that yJff*i*)t funds arÈ available to meet the
chariiys obligations. remaining f￿dS are ser a5Kle for cveralb￿al yograrnffe wtment. As ai 30 June 2025 total
8ereral reserves were £250.024 *thich ts weu at*ve level.
Structure. Governance and
The charity Is (￿stItuted as a tompary Iwnited by Jjarantee •rKI 15 therefore by irs rremorondum and its artKle5 of
associaiion. The Irustees meet on a regular basis to make ¢lectsx>ns and mnitor the hY)rk ol the chanty. The IK)ard of tru5tee5 15
urtrori5ed to opwint new tntsiee5 10 lill new vawKies arlslng through thè reslgnatkn or death of an extstx)g twstee.
Statement on Public Benefit
In shapin8 ow objectives for the year aThJ tsM)Ing ￿ aCt￿tIes. the truttees cty)lirni that Ihty have referred ¢0 the guKlance
coniained ￿ the (hartiy CthTrmisS￿'S gewal wId￿e on wbiic benelit and have ￿th section 4 of the Charitie5 Act
2011

ONE CAUSE LIMITED
Trustees, Report
f¢Y the year ended
30 Jty)e 2Q25
5taiemert olTru5tee5' ResponsIbl￿tIeS
ThÈ trusree5 are restx)nsibie for preparns Trusiees. Amual Rep)rt and the fkna￿￿I 5rof•Tents in acC￿￿ar￿ with
applicable law United Kirry(k)m lic￿tIng Standard5 Iunlted Kingth)m Generally A¢￿Pted kcoLthting PTaCticel.
Company law requires the tntstÈe5 to prepa￿ financial 5tattYnen¢s for each financ￿1 year which give a rrue and falr vlew of
the state ol affairs of the chontat4e compaty and of the irthnin4 res￿rCeS and aFplKatK)n ol reswrce5, IncL￿4n8 the
Incoffle and eWdItu￿ of the chariratde C&￿arry for t￿1 ￿n0d. In preparir¥A ihese firwKial statL*Tents, the tntstee5 are
equlred to..
ai se￿¢ su*table ￿oll1r￿s rdrcies and aptty t1￿ C*Jnsistentlyp
bl observe the and prir(ith in thE Chanties 50RP.'
cl make J￿gmentS aThJ accothting estMTrates ihèt are reasonable aThJ wtht.,
dl state whetl*r applKabiÈ UK ac{¢Krti￿ Standards htye lollth¥ed. ￿*JeCt to any matertal departure5 dlsclosed and
expialned In the financial 5tatements-
el wepare 1¢na￿la1 5tatemenr5 on the 8okng Co￿eM ba515 ￿lesS Tt ts irom>fDrylate to we￿rre rhat the chathtable
cThTrpany will twiinue in opwation.
The Tr￿tee$ are re5r*)nsibie ft*r kttping woFer xctArtMV4 Tecords thai are wfficipN to sh>• a￿1 eX￿aITr the Chartty¥
transactions and disclose wrth reasOna￿e acaKacy ai any t1￿ the finarfial posi[￿n of the Chariry and enable them to ensure
thai the fYLanctsl SLat¢NY￿)tS corwy thth Charities Act 2011. tf* Charity (ACCOL￿t$ and Reortsi Requlation5 2LW a￿fj the
pro¥isions of the trust deed. Tl*y are also re5roisibie far safeg￿rdIng ihe a55et5 of the Charity and he￿e lor iaklng
re￿Tra￿le step5 for weventp)n arKI derert￿ of fra￿ 7rreRdant￿s.
Thls ￿ptyrt has been prepared in accwdance wfth the Statrnt of RecorTh*d PractKe. 'Accth#)tlng arKI Rerortlni by
Charitle5 ISORP FRS 1021. and aCcorda￿e wilh the speclal of settkn 419121 of Companles kt 2(1)6 relati
to small enrities
The repo
s in￿ee$ c•)
301h J8n 2026
slfv oft their beh•lf ty..
Tr￿tee
Name.. Kiran Shah.

Independent Examiner's Report to the Trustees of One Cause Limited
l ￿pOrt on the fln¥dal Stattr￿ts tsf the charity for the ￿ar 30 June 2Q5 as set ojt ￿ page5 5 to 13.
Respth)slbllftles •nd b•sts of repwt
As the charity'5 t￿￿tee5 you are resp(￿Ible Ihe (w¥atth in Xc0rd￿￿e with rhe ￿q￿rements
of the Charitie5 kt 2011 {'the *£t'l.
I rewt in respeci of my e¥aminaticffj of the chariiy's carried wi L￿j£￿ Secti￿ 145 of the and in Carr￿n%
oul my exarninaticm I have follcrwed ai the applicable th"fec15LYS by the Charity Cornmi5sim under secth)n
14515llbl of kt.
Independent examtrrtrfs s¢•tem￿¢
I have crmpleted my examination. I (￿limi Ihai material malter5 have c￿e to ffry att•ition in CL￿neCi1¢￿ w(th
the examinati￿ 8iving rr* caw to believe thai In w material respect:
attwntin8 record5 were not kept in respect of the charity as reowre(I by 5tttiw 130 01 the kt: or
the accojnts {*) rKJt accwo v4ith those record5:
the accajnts th) not cotnply tIE applicable reqLrirements crfficeminR the fom) anL1 c(x)ta)i of accwnts Set
out in the Charities (ACCO￿t$ and Rewytsl ReEulaticm$ 21))8 other ihan any requirewi thai rhe accwnts Rlve a 'true
and falr view. vthith 15 not a fflatter crrfsidwed as part of an independent examinaiifm
the atcryJnts have mt prepared in aCttrfda￿e with the tt*th(x15 prirKiple5 of the Statement of
Rec(Thmended Practice for accounting aThl reportin8 by chariDes applicable to ¢haritbes preparirY4 their Kco￿t5 in
acCord￿ce with the Finanaal Rewting 5taTh1ard applicable in the UK and Rewblic of I￿land IFRS 1021.
I have ￿ corKem5 aTrJ ha%t comt acr055 no other maiters in with the eXarninaii￿ ￿ which altenli
shoul¢ be drawn in thts repyt in vder to ￿able a proper LnderstaThJin8 of the aCc￿lnts to be re￿h￿d.
3•x*
Shrutl Sonl FCCA FCIE
Shruti kni Ltd • Chartered Certilied
117a St. Jthn's Hill. Sevenoaks Th13 3PE
Paie:2nd Fobw4ry 2028

ONE CAUSE LIMITED
S￿t•Ment of finandal xtmtles li￿l￿alIng aNI exrrfClitu￿ accwntl
for the year enthd 30 June 2025
Lknresuicw Re5trKted
Total Uwestrftted Restricted
Total
Noie
atioThs and les￿les
Other trading actiwtie5
Investments- Bank interesi
98.607
13.885
3.1LXI
46.248
144.855
13,885
3.100
76.682
26,095
2.979
3,834
,516
26,095
2.979
T•t•l fnci
115.592
46.2
161.840
105,756
3.834
1tP,590
Expendiiwe on:
Rai5in8 Iwd5
Charitable ￿li￿lIeS
vancemefii. irryrovement &
provisi￿ of ed￿all(￿ &
15.064
15.064
22.075
22.075
41.258
8.247
49.505
97.239
3.834
101,073
Totsl expendiivre
56.322
8.247
64.569
119.314
3,834
123,148
Net Incomè I lexpendlturel I
the wr
59.270
38.￿1
97.271
113.5581
113.5581
Transfers beiween fund5
38.IXII
I36.￿1)
Net movement In funth
97.271
97,271
113.5581
113,5581
Reconciliation rf fund5.
Total furQ5 brO￿￿t f¢ywwd
152.753
152.753
166,311
166,311
Total fund5 £èrrled forward
10
250.014
250,024
152.753
152,753
l of the rewlts¥e**rlb*d ￿ll￿t*s. *re w Ot￿ ¥eC¢￿iled gafjr& w lossesother than tho* stated
above. in f￿￿5 ￿dIsCI£￿ed in ￿te 10 to finarbid qOt•nent5.

ONE CAUSE LIMrrED
Company Th). 06407931
Balance sheet
As at 30 June 2025
2025
2024
P*)te
Current assets:
Oebtors
Cash at bank and in hand
8,202
243.172
10.fA18
143,583
251.374
154,191
Liabilitle5:
Creditors= amounts falling due within one year
1.350
1,438
Net cwrenl assets I Illabllltles)
2x1.024
152,753
Total assets lèss currènt liabilitie5
250,024
152,753
Total nèt as5èt5 1 Iliabilitie51
250,024
152.753
The funds of the charlty:
Restricied incoffE funds
Unrestricted income fund5=
General fund5
10
250.024
152,753
Total unrestricted funds
250.024
152.753
Total chwlty funds
250.024
152.753
For the year erKling 30 ￿ne 2025, the company was entllled to exemption from autht uThJer seciion 477
of ihe Companies Act 2LI)6 ￿lating to smalL ccfflpanie5.
Tnjstees. Responsibilities:
. The members have not rewired the company to ¢)btain an audit of its financial stateffents for the year
In question in accordance with section 476
' trustees acknowledge their responsibility for CL•TrFl￿ng vAth the rewlrements of the Act with
respect to aCc￿ntIng records and the weparatitin of finarfial 5tsterrents.
These financial statemènts, which ha¥e been wepared in accordance special protrisions relating to the small
ompanie5 re8ime wthin Part 15 of the C¢)mpanies Act 2{￿ and in acCOrda￿e wlih the Flnanclal ReFrfJrting Standard
applicatrAe in the UK and Republic of Ireland IFRS 1021 leffeciive 1 January 20191.
3Olh Jen 2Q26 ..and signed ty its behalf by..
These financial state￿￿ntS knEre aPPr￿d by the t*)ard on..---------_ ..
Trustee
Name
Kiran Shah

ONE CAUSE LIMITED
Notes to th¢ flnand•l statements
For the
ar ended JO ￿ne 2025
1 Ac¢ountln8 poilde5
ai B4515 of preparatlon
The fIn￿la1 statements have been prepa￿ in accordance vrith ￿cr￿ling Wrting by Charities.. Statement
of Recommended Practice applicable to charfties preparing their accwnts in accordwKe with the fIna￿la1
Rwting scandar¢J applicable in the UK and Republic of Ireland IFRS 1021 leffective 1 J￿￿ary 20191- Icharftles
SCRP FAS 1021, the financial Rewiing Standard applicable in the UK and Republic ol Ireland IFRS 1021 amd the
C¢Jnpanie5 Act I￿6. One CaLse Limited is a ctsmpany limitd by guarantee wfith reg1strati￿ nLmber 06407931 and
liste￿ WTth Charity Commi5siM with registratKfi number 1123183. Its registered office 0￿reSS is 50 Sandy Lane
S￿(h, Wallinqtc￿, Surrey 9RQ. The acC￿nts a￿ wesenied in GBP T¢xxkJed to Cl.
¢6set5 and liabilities are initially recc8nised at hbsimi cosi w tr￿110) value mless LXI*wi5e stated in the
relevant accounting pclicy ￿ note.
The finartial 5taterrthts have been prepared to give a'ifte kn1 laic antj have ¢Jep•rted frrm the Charities
(ACC￿llts and RepLrt51 Regvlations 2C08 cnly to the exteni r￿￿red io provide a'true anL1 lair TrAeW. The departure
has Invdved foilowinq the Accounling and Reporting by Charities.. Statem•it of Recommended Prxritr applicable
to charitie5 preparing theii ￿cO￿t5 in acclydar￿ with the Finaroal Rwiing St¥dard applicable in the UK and
Republic of Ireland IFRS 1021 isyJed on 16 July 2014 rather th¥$ the kcgunling Rewling by Charitie5:
Statement ol Ilecornm￿ded Pfxtice elfective frtffi 1 *wil 21X)5 vthith since been ￿th(IraWn.
bl Public benefit entlty
The charitable company [￿ets the definitir￿ of o p*Aic b￿￿(11 ￿litY under FRS 102.
c) Goln8 cencern
The trustee5 c(MbldeT that there ate no material wKertainties abcth the charitable compaws ability to Contin￿ as
a 8tyng ¢¢￿em.
Key Judg￿enr$ (excl￿ling those in¥t0￿ne estimate51 that the tharitable cLMHpariy has made which have
signific￿t eflect the aCc￿nts )r￿lUde tyreciat￿ ra￿ for t￿l￿[e Fixed Assets.
tru5lee5 do consider that there are any swrce5 of e51irnation uncertainty at the repwithg date thal have
Significant risk ol causing a material adjustment to carrying am[￿fftts of •sets and liabilities wthin the next
reporting perioj.
dl lft¢tyne
Inccwne 15 reco8ni5ed th the charity ha5 entitlement to the fwd5. performarKe ￿￿ditionS attathed to the
incrme have rr*t. it is prthble that the Ir￿ WIL be received and thai the amwnl can be measured
rellabiy.
InC￿e frcffj government aThJ other grants. whether 'capital' grants or 'reV￿ue, grwts. is recognised when the
charity has entitlement to the fL*ids. a)y perftymance cwKhti¢J)s artacw to the grants have been met, It
(èable that the inc¢Mme will received and the am￿mI can be Mea￿re£l reliably arKI is deferred.
IrK+yne receive¢ in &1v•Ke of the ithsffy) of a specified 15 t￿E¥re{l ￿tIl ts* criteria irkctyne
recognitlon are met.
e) Interest receivable
Interest ￿ funds held on t1eF4)Sit Is iKityJed when rec*¥abie the can be measured ￿lIablY by the
tharity" this is nc￿allY uFo)n n¢xilicaiion of the inwest Pakl N payable by the bank.

ONE CAUSE LIIAITED
Notes to the f6nandal #atthments
Fly the
ear ended JO ￿fte 2025
1 Accwntlng pollcles l<antfThu¢dl
fl Fund accounting
Restsicred fmds ￿ to be used fw speafic PLYpDse5 a5 laid by the ¢Jwr. Ewth"twe Whlch meets these
criteria 15 tharged to the fund.
Lknfestricred funds ￿ dtywticffj5 cther YK(ming r￿￿￿CeS received or generated for the than￿ble PUTk¥J5e5.
Oe5i8nataS are funts ewmatked by the twustee5 f(Y particular PurF￿.
il Expendlture
Exper4liture is recrynised cfflce th￿e 15 a legal cr CcffiStn￿tIYe ¢lAigation to make a payment to a thiTd party, it 15
prcljable that 5ettlemeni will be required and the amw)i of ihe (**ligatiiffi can br mea5UTed reliably. ExpenditLKe is
da55ilied urmler follwn8 activity headings-.
Costs of rai5inq fund5 relate to the costs incurred by the charitable ct*)W•7y In IThj￿n9 third parties to rnake
Voluntary C￿t￿bjtIC￿S to it. a5 well as the c05t ol activities ￿th a funt1rai5ing puipose
Expenditure t￿ Charitable Ktivitie5 indth the costs of performances and (￿al ynging xtivtfjes Lmdertaken
lo further purp05e5 of the charity and their as￿ated supr#rt costs
Other exp￿￿JItUre ￿preSentS those items Thjt falling into aiy other heading
h) ￿lOCatIon ol supwt costs
Re5wrces eypended are allctated io the particvLar actlwty where c05t TeLate5 threctly to that activity.
However. 5￿Part Costs, being c05t cl overall directi(• and a1mTrnistrdtiw of e￿h attivity. ctynprising the overbeè
C05t5 of the cthtral fwKtiOn. 15 4Wticrf*d (ffi the basi5 of estimated timÈ aThY rwAJrces atiributaNe io each
actlvity.
Adva￿e￿￿t. imprtrMrtht & wovi5iw cl ed￿at1￿ & training
11 Debtors
Trade and other debtors a￿ rec(4nised ai the settlerr￿t *lMYJnl aftLY *y trade ¢Ji5tount of.fered.
prepa￿eThts are val￿￿ ai the prepaid o( any tr* ttisc¢wts
Jl Cash at bank and In hand
Cash at bank cash in indLths cash iwm highly Iloth¢J fftvestrw)ts with a 5h¢xt maturity of three
mffiths or le55 from the date of acquisitiw ry q￿Ing of the deposit IX 5irniiar accourst. Cash balance5 exclude any
fLmds held Tr) behalf of swmte Ltyers.
k) CredltLYS and yovlslons
Creditors and pmwsions are recognlsed *thete the (￿lty ho5 o present obligatim re5ultiry ficyn a past event that
will probably result in the transfer of f￿￿$ to • third party 10 Settle the obli8ation can be
measured u e5tirnaied ￿lIablY. CreditCrf5 ￿ prwsioB are Nxmally recffjnised at their settIerr￿t amount af￿r
allowring for I￿Y trade diSC￿￿ts due.
The charity Lnly ha5 finanaai assets (in￿la1 liabilitie5 of a kind rhat qvalify as basic financial Instr￿leftts.
BasK financial instrun￿[S are initially reccenised at 1ransxtl￿ value a[￿ SLOsequently meagJred at their
settlement value with rhe except*)n of bank which a￿ subseoLtrltly measured ai afth)rtlsed cost using thp
effective intere51

ONE CAUSE LIMITED
Notes to thè flnandal statements
For the
ended 30 Jur•e 2025
l Accr*Jntlng pollcles 1£￿tOn￿e￿I
11 Tox
The ch¥ity 15 an exempt charity Mthin the mwing of schethAe 3 of the Ch¥iiies ki 2011 and is c(x)sldered to
pass the tests set cvjt in Paragraph 1 *hedule 6 Fin¥Ke kt 2010 theref¢)re it meet5 the definiticn of
charitable ccmpany ftr UK cryation tsx wrposes.
2 Incom from thnotion5 and lewles
2025
Totsl
2024
Total
lthre5tricted
Restsicie
86.036
124.037
7.924
12,894
66.149
3.556
10,711
D￿atIOn lor SpJnxff a st￿lent
Gift A
7.924
323
12,571
93.607
46,248
144.855
80,516
3 frtyn other •¢tlvltl
Z025
Total
Unrestricted
Restricted
Total
Income frwi Ftsndraising Even
13,885
13.885
26,095
13.885
13.B85
26,095

ONE CAUSE LIMITED
Ilotes to the f7rwicial statements
Ftythe
Mled 30 June 2025
4 Analysls of expendtture
artivity
Adyancement.
iMwovem￿t
& prow$1￿ of
e&Jcatiffi &
training costs
Cost of
ra15in8
20Z5 Total
50r a StLtht Dcffiati(￿ to Nirvana Trusi
19,599
19.599
)onsor a Sttht o￿all￿ to I￿r0 Faw*Jati
lugar￿al
Fundraisin8 Events
Cosrs of weratinq incrjne
Jndry ExkvBe5
AccountarKy & Indepetht examinaiion
Bank charges & PIatrt￿ ProwL1er fee5
22,500
12.375
4.538
745
1.640
3.17Z
12,375
4.538
745
15.1
46.637
pport costs
12.8681
Total expendlture 2015
15.064
49.505
64.569
Dfmations to the Auro F￿￿lation arno￿ted to 122.5W in 2025 to SPryb50T a stLtht.
01 the total expenthture during the yyar £8.247 was re5UiCtsd 12W14.. £3.8341.
10

ONE CAUSE LIMITED
Notes to thè flnandal statements
Fwth•
ar wded 30 June 2025
Analysls of expendlture ￿￿tIft￿ed)
Charitable
activtly
arKwnetbt,
improvemeni
& prowsicth of
Cosi of
rdtsing fur¥ts
trainin8 Swpyi costs
2024 Tc*al
Dmatirm to *uro F0LhNyati￿ Iuwdal
a Student Drnation to Wirvana Trust
38.840
18.150
18,150
a Siud¢¥Tri p￿atIoN to ￿r0 F¢L￿datiC
IU4arthl
15,IX(I
4s.uju
15.000
£>,Q30
IU.44Y
I,Z44
356
133
1.45
2.490
5MV In
tun¢raising tvents
¢Jovemance Lost
LOSts oi general￿ ¥￿UnTary Irth￿e
nory ￿xp￿Se$
ACCOthtancy tt knfjepewt examinat
UanK charge5 tt Just lil￿nI tree5
1.144
J>b
ljj
1,4)6
22.075
97.376
3.697
3.697
13.6971
123,148
gjpport tosts
Total exwditure 2024
22.075
101.073
123.148
Donaticfis to the Auro FwThdakn￿ amwnted to £38.W in Z024 and for carpentry and joinery course
IP8rades as well as the cr￿51￿￿[70n ol a secure s[f￿age f&ility to sthre t￿lS and equipment. Donatim of
£25.OXI to SMV Trust w35 toward5 the cc￿ti￿ d CARM Sec￿dary Schwi. Kenya.

ONE CAUSE LIMtfED
Note5 to the finarKial ststements
Far the
r en¢led 30 kne 2025
Related party transKtlons
The charity received donatlU15 of 1356 12024.. (3561 frLxn three trustees 12024.. 3 tru5tee51 to spcfisor a
Stu¢Jent an¢J Él,885 12024.. (3.4951 as brI￿tary LknatiLYts.
The tharity trustees T￿t paid ￿ received any Lther benefits from employma)t tharity in the
Ye￿ IZ024: nill. No charity trustee received payTrtht for profes51￿81 w other services supplied to the
th¥ity 12024= nill.
No trustee was reimbursed tra%Ei relaled eX[￿se$ incurred in reiatim to their ¢￿tieS as rrus
12024.. £1,244).
T•xatlon
The charitable ctynpany is exempt frLwn cowpxatiL￿ tax as all its is tharitable and is applied for
tharitable purpl￿.
7 Debt￿$
2025
2Q4
Ot￿r debtor5
Prepayments
Accr￿ inci*ne
3.414
7,68Q
522
7.194
8,202
10.608
Crn(litor5: amtyJnts f4llin8 thje wlthin one y
2025
2Q4
Accruals
1,350
1,438
1.350
1.438
Anatysls of het assets betwteft fur￿$
G￿eral
resm£￿d Designated Restrfcted T4x•I fuDds
Nei cwrtt)t assets
2XI.024
250.024
Nrf assets a$ 4¢ 30 ￿ne ZQZ5
250,024
250,024
restricted Desiqnated Restricted Total fund5
Net ayrent as5et5
152.753
152.753
Net assets as at 30 JJne 2024
152.75J
152.753
12

ONE CAUSE LIAirrED
Notes to th¢ fbn•ncial 51otements
For the
•r ended Xl June 2025
10 Akniements In fund5
I￿l￿ning ￿tgoing
rexwrces & rewjrces
gaiThs
& losses
At1￿lY
2024
At 30 June
2025
Translers
Restrlcted fun*ts:
Spffi50r a Student
Gilt aid Srxy)sor a StLwJent
Dthation lo U8aTrJa
7.924
323
38.￿1
17,9Z41
13231
138,C#)1
T4Jtsl restricted furM15
46.248
18,1471
38,CK)11
UM¢stri¢ted l￿d5.
General fund5
15Z.753
115,592
1%.3221
38,COI .
250,024
Total funds
152.753
161,840
164.5691
250.024
10 Alovements in fvnd5 (continued)
Ir￿￿1rt9
Egoing
Ai l My reswrces & resources
8aiThs
& 105ses
At 30 June
2024
Transfer5
Restrlcted fun&..
Sponsor a StLk1eTht
Gilt oid w sW)n5￿ a.StLtht
Total restrlcted funds
3,556
278
13,5561
12781
13.8341
iknrestrlrted lund5:
General fund5
166.311
105.756 1119.3141
152.75J
Total fund5
166,311
1(Y4.590 1123.1481
152,753
Transfer5 betwe￿ re5thcied and general f￿dS represa)i Loe of g•)eral fu￿$ t¢Nards ￿tntted projects.
DonatTons to Uganda were t￿lardS exr*nditure alreaty incwred In the prevw year from uThre5tricted fwds
V4hich 15 reflected by way of transfer to gewal funds
Purposes of restrfi¢ted funth
Restricteé ¢Jwiio)s a￿ used ro stthts ￿ Lllandè and Indla fw"e&Jcation w if a thor sponsors
the funoing of a speofK project tha¢ (kn Catse Is sUkW￿￿t.
11 L•Bal 51atUs of the ch¥5ty
The thar5ty Is a limited by guarantee ￿ has r￿Share capital.
13