Company No. 060224396 (England & Walos)
Charlty No. 1125746
MIGRANTS. RIGHTS NETWORK
(a company limlted by guranteed)
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
CHARLES OSEI. Bsc, Msc. ACIE. MCIPP. AFA ATA
CHARITY INDEPENDENT EXAMINER I ACCOUNTANT
FLAT 3, 11 ROCHDALE WAY
LONDON
SE8 4LY

MIGRANTS. RIGHTS NETWORK
Registsred Charlty No.
1125746
Reglstered Company No.
6024396
TRUSTEES. REPORT AND FINANCIAL STATEMENTS
R THE YEAR ENDED 31 MARCH 2024
CONTENTS
Page
Legal and Administrative Details
Trustees Report
Independent Examiner's report
Balance Sheet
stalement of Financial Activities
Statement of Cash flow
10-21
Notes to the Accounts

MIGRANTS. RIGHTS NETWORK
Reglstered Charfty No.
1125746
Registered Company No.
ORGANISATIONAL PROFILE
FOR THE YEAR ENDED 31 MARCH 2024
6024396
TRUSTEES
Salnga Tony
Chair
Edith Yembra
Treasurer
Eduardo Lopes
Secretary
Nick Sigler
Michael Raff
Joanna Knight
Dagmar Myslinska
resigned on 15 June 2023
Ekaterina Sjostrand
appointed on 26 Sept 2023
Sara Battey
appointed on 26 Sept 2023
Rakhl Rashml
(Vlce-chalr) reslgned on 27 October 2023
REGISTERED OFFICE:
Unit 405, Pelican House
138-148 Cambridge Health Road
London
E15QL
BANKERS:
Unity Trust Bank
Four Brindleyplac6
Birmingham
B12JB
ACCOUNTANTS:
Charles Osei, Bsc (Hons), MSC, ACIE, AFA, ATA, MCIPP
Flat 3. 11 Rochdale Way. Deptford London
SE8 4LY
Page 1

DRAFf TRUSTEE NARRATIVE FOR ANNUAL ACCOUNTS
RISK ASSESSMENT
The Board of Trustees and Chief Executive Officer have reviewed MRN'S activities
and identified the risks to which it is exposed, in particular those related to its
operations and finances. This process involved identifying the risks, prioritising the
potential impact and the likelihood of occurrence, e.g. cyber security. Through the
risk register which is reviewed annually, controls to prevent or minimise the risks
have been identified, together with deadlines for their implementation. The
process has become more critical with the need for greater cyber security for
organisations and individuals.
FINANCIAL REVIEW AND RESERVES POLICY
The level of reserves during the year to 31 March 2024 were sustained due to
positive unrestricted funding outcomes and greater financial sustainability
throughout the year,
Our fundraising efforts in 2023-24, were focused on finding longer term funders
offering unrestricted funding that aligned with our strategic objectives and values.
Alongside this, we have considered project based opportunities that have enabled
us to proceed with delivering our strategy. We continued to offer our Words Matter
workshops as a commissioned service to organisations and funders. They have
been well received and offer us a good source of unrestricted income.
With a positive funding and reserves outlook in this year, the Board agreed to
Spend from the reserves (to bring them down to the agreed amount), and invest in
key staffing roles (community engagement) and offer more resources to the policy
and campaigns work (policy and campaigns officer}.
The Board also reviewed and agreed a new reserves policy in November 2023,
which includes a revision of operating reserves to four months, and also agreed for
reserves to be held separately for assets, risk management and strategic
development.
As of 31 March 2024, MRN had unrestricted funds of £97,800. The Board agreed that
the prudent level of reserves should not be less than four months of unrestricted
expenditure, which at 31 March 2024 equates to reserves of £45,030. MRN has
achieved this aim and now holds above this amount as free reserves. The Trustees
are confident these reserves are sufficient to cover urgent contingencies should
they arise. The Trustees are willing to use the reserves for any funding shortfalls or
strategic development needs so they are brought inline with our target and
reserves policy. They will continue to review the appropriate levels of reserves, and
the reserves policy on an annual basis, the level of unrestricted reserves including
the risks associated with various income streams, expenditure plans and balance
sheet items at each board meeting.

GOVERNANCE
Trustees
Trustees are appointed in line with regulations set out in its Memorandum and
Articles of Association. They are nominated by current Board members and elected
at the AGM based on their knowledge and involvement in work connected to the
objectives and activities of the Charity.
The trustees who served during the year are shown below.
Sainga Tony {Chair)
Edith Yembra (freasurer)
Eduardo Lopes (Secretary to the Board)
Nick Sigler
Michael Raff
Joanna Knight
Dagmar Myslinska resigned on 15 June 2023
Michael Ahanchian resigned on 15 June 2023
Rakhi Rashmi (Vice-chair) resigned on 27 October 2023
Ekaterina Sjostrand appointed on 26 September 2023
Sara Battey appointed on 26 September 2023
A majority of trustees, as members of the network, are already familiar with the
work of the charity. All new trustees are given information and inducted with the
following information:
- the obligations of trustees under the Charity Commission's document CC3',
'Essential Trustees: what you need to know,;
Memorandum and Articles of Association;
Current financial position of the charity as set out in the latest published accounts,
and management accounts;
Future plans and objectives
Meetings with key staff and board members
The MRN board meets on a bi-monthly basis remotely, in-person and in hybrid
formats. The Chief Executive Officer and invited key members of staff attend
trustee meetings. The Chief Executive Officer is accountable directly to the
management committee for all aspects of the operations of the charity. An annual
budget is agreed at the beginning of each new financial year, setting out the policy
and objectives for that year, the financial implications and the general modus
operandi for achieving the objectives.
Management accounts are prepared and reported to Trustees at each board
meeting.

Preparatlon of the accounts on a golng concern basls
The Migrants, Rights Network has reported unrestricted reserves of £97,800 for the
year. In light of the high unrestricted reserves, the Board actively decided to reduce
the re*rves, invest in additional core staff roles, and the organisation's strategic
activities. This is bringing the reserves back into line with the agreed amount
a bove.
The Trustees consider that there are no material uncertainties about the charitable
company's ability to continue as a going concern. The Trustees are aware that that
the organisation needs to focus on a diversification of income, including more
individual donations, corporate partnerships, income generation and community
fundraising. The trustees will continue to view any uncertainty and risks at each
board meeting through the management accounts. Where risks are identified,
mitigation plans, and additional board meetings will be scheduled.

MIGRANTS. RIGHTS NETWORK
Regl8tsred Charlty No. 1125746
R•gist8red Company No. 06024396
INDEPENDENT EXAMINER'S REPORT ON THE FINANCIAL STATEMENTS
TO THE TRUSTEES OF MIGRANTS. RIGHTS NETWORK
I report on the financial ststements for the year ended 31 March 2024 set out on pages 7 - 21.
This report is made solely to the Trustees of Migrants Rights, Network, as a body, in accordanc8 Wlth
regulatlons made under Section 145 of the Charities Act 2011 and Charity SORP. My work has been
undertaken so that I might state to the Trustees matters l am required to state to them in an independent
Examinerfs report and for no other purpose. To the fullest 8Xtent P8miitt8d by law, I do not accept or
assume responsibility to anyone other than the Charity and Charitys trustees for my independent
axamination work, for thi5 r8port, or for the statement I have glven b810w.
Respectlve re8pon8lbllltl88 of Tru8tse8 and Independent oxamlner
As charity trustees of the company (and also its directors for the purposes of the company law) and for the
purposes of charity law, are responsible for the preparation of the financial statements, in accordance wlth
requirements of the companle5 Act 2006 ('the 2006 Act.). the Trustees conslder that an audlt Is not requlred
for this year under section 144(2) of the Charites Act 2011 (the Act) and under Part 16 of the 2006 Act, and
that an independent examlnatlon Is needed.
I report in respect of my 6x8mln8tlon of the Charltys accounts carrled out...
a) examlne the accounts under sectlon 145 of the 2011 Act.,
b) follow the proGedure8 laid down in the general Directions glven by the Charlty Commissioners under seciion
145{5)(b) of the 2011 Act,. and
c) state whether particular matt8rs h8v8 com8 to my attent40n.
Basls of Indopend•nt •xamIn0￿$ 8tstement
My examination was carried out in accordance with the general Directions given by the Charity Commission.
An examination includes a review of the accounting records kept by the Charity, and a comparison of th8
accounts presented with those records. It also includes consideration of any unusual items or disclosures in
the accounts and seeking axplanations from you as Trustees conceming any such matters. The procedures
undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is
given as to whether the accounts present a "true and fair Vie￿ and the reports limited to those matters set out
in the statement on the next page.
Page 5

MIGRANTS. RIGHTS NETWORK
Registered Charity No. 1125746
Registered Company No. 06024396
INDEPENDENT EXAMINER'S REPORT ON THE FINANCIAL STATEMENTS
TO THE TRUSTEES OF MIGRANTS. RIGHTS NETWORK
Independent examlnerfs statement
In connection with my examination, no matter has come to my attention..
1) which gives me reasonable cause to believe that in any material respect the requirements
a) to keep accounting records in accordance with Section 130 of the Charities Act,. and
b) to prepare accounts which accord with the accounting records and comply with the accounting
requirements of the Charities Act
have not been met., or
2) to which, in my opinion, attention should be drawn in order to 8nable a proper understanding of the
accounts to be reached.
Charles Osei, Bsc (Hons), Msc, ACIE, AFA, ATA , MCIPP
Flat 3, 11 Rochdale Way Deptford London SE8 4LY
Date .
Page 6

MIGRANTS. RIGHTS NETWORK
R8gl8tar8d Charfty No. 1125746
Rogl8tsr•d Company No. 06024398
2023124
202W23
Fixed A8¥ets
1,791
cu￿ent Assets
Debtors
Cash at Bank and In hand
2,083
124,203
16,808
63,846
10
Credltors
Amount due wlthinoOn8 Year
Other Credltor8
11
(9.201)
(5,303)
Net As8atslLlabllttle8
118.878
76.812
General Fund8
98,833
61,827
Re8trfctsd Funds:
20.043
13,985
118,876
76.812
The charltable company Is entitled to exemption from audlt under Section 477 of the Companle8 Act
2006 for the year ended 31 st March 2024.
The members have not r8quirad the company to obtain an audit of Its financtal statements for the year
6ndad 31 st March 2024 In accordance wlth Sectlon 476 of the Companies Act 2008.
The tru8te888cknowledge their rasponsibllities for
ensurlng that the charitable comp8ny keep8 ac¢ounting recordsthat &)mply with SeGtion8 388 and
387 of the Companl8s Act 2008 and
IE) preparing finaqncial statements whlch glve 8 true and falr vlew of the stats of affairs of th8 charltable
company as at the end of each financial year and of it8 surplus or defeict for each financlal year In
accordance wlth the requlrements of Section 394 and 395 and which otherwis8 compty with the
requirements of the Companles Act 2006 relating to financAai statements, 80 far as applicable to th8
charitable company.
These financial statements have been prepared in accordance with the provisions appiic8ble to
Chantable companies subject to thé small companies ragime.
The financial Statemerrts were approved by the Board of Trustses and authorised for issu8 on
. 25 0ctober..20.2.4.and were signed on its behalf by.
Chalr

MIGRANTS. RIGHTS NETWORK
Registered Charlty No. 1125746
Reglstered Company No. 06024396
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2024
2023124
Totsl
Funds
2022123
Total
Funds
Unrestrlcte
Notss d Funds
Restrlcted
Funds
Resources Arlslng
Donations and Legacies
5,221
5,221
Income from Charitable Activtties
14,301
14,301
1,620
Grants
15
145,000
69,359
214,359
87,593
Investments
1,017
1,017
393
other Income
Total Income
165,538
69,359
234,897
89,606
Expendlturo:
Charitable Activities - Grants
15
96,118
53,984
150,102
147,364
Charitable Activities -General
35.307
35,307
Ralslng Funds
6,424
6.424
12,500
Total Expendlture
137,849
53,984
191,833
159,864
Resources retalned for further use
27,690
15,375
43,064
(70,258)
Transfer between Funds
9,317
(9,317)
Net Movement in Funds
Reconciliations of Funds
Brought forward 0110412023
61,827
13,985
75.812
146,070
Carrled forward 3110312024
98.833
20.043
118,876
75.812
The company made no recognised gains and losses other than those reported in the income and
expenditure account.
Pag8 8

MIGRANTS. RIGHTS NETWORK
Registered Charlty No. 1125746
Raglsterad Company No. 06024396
STATEMENT OF CASHFLOWS
FOR THE YEAR ENDED 31 MARCH 2024
2023124
2022123
Not88
Cash flows from oporatlng actlvltles
Cash generated from operations
18
60,357
(84,258)
Net cash (used in)Iprovided by operating activites
60,357
(84,258)
Change In cash and cash equlvalent8 In th• reportlng porlod
60,357
(84,258)
Cash and cash equlvalents at the beglnnlng of the reportlng perlod
63,846
148,104
Ca8h and cash equlvalents at the end of the reportlng perfod
124,203
63,846
Page g

MIGRANTS RIGHTS NETWORK
Reglstorod Charlty No. 1125746
Roglstsred Company No. 06024396
NOTES TO THE ACCOUNTS
R THE YEAR ENDED 31 MARCH 2
1. Accountlng Pollcles
Basls of Preparatlon.
The80 accounts have been prnpar8d on an accrual basls and includ8 income and expendlture as they are
eamed or incurred, r8ther than as cash received or paid. Reference to the "Charfties SORP" refers to trte
Charites SORP IFRS 102).. A¢¢ounting and Reporting by Charities.. Statement of Recommended Practice
appllcable to charftles preparlng their accounts in accordanc6 wrth the Financial Reportlng Stsndard
applicable in the UK and Republi¢ of Ireland. 2nd edI￿On offective 1 January 2019, and In accordance Y￿th
the Compani88 Act 2006.
la. Income
All income Is r8cognls8d once the Chartty has 8ntttl6ment to the income. It18 probable that th8 Incom8 wfll b8
received. and the amount of income receivabl8 can b8 measured reliably.
Grants are included in Ihe Slatem8nt of financial adivities on a ￿￿1Vable basis. The balance of income
recèiv8d for specific purposes but not explend8d during the period is shown In the relevant funds on the
Balanca Sh8et. Wh8rg income Is recglved In advance of ontitlement of receipt, its recognltlon Is deferred and
includ8d In credltors 88 def8rr8d incom8. Where enbllgment occur8 before Income Is r8ceiv8d, th8 income is
8CGrued.
In¢om8 tax recoverable in relation to donatlons recolved under Gift Aid or deed8 of covenant 18 recognl$ed at
the tlme of the don8tlon.
Income tax recoverable In relatlon to Investmenl Income Is recognlsod 8t the tJm8 th8 Inv88tm8nt income Is
recelvable.
1b. Expendlture
Expend￿Ure Is recognlsed once Ih8r8 Is a18gal or consrtructlv8 obligation to transfer economlc benefll lo a
third party. it Is possSble Ihal 8 Ir8nsf8r of economic b8n8fils wll be required in settlement and the amount of
thé obligation Can be measured reliably.
Expendlture on charltabl& activiti85 Is Incurred on dlr8Ctly und8rtaking the 8Ctivities bthich furth9r the Charity's
objectives, as well as any 8990¢18ted support costs.
All ex￿nd[tUr0 Is Inclusiv6 of Irr6cov6r8ble VAT.
1c. Govornment grants
Govemment grants are credited to the Statsment of finan¢i81 activltles as the related expendrture 1$ Incurred.
1d. Fund accountlng
Unr6strict6d Funds are r8cetvab16 or gen6raled for the objects of th6 charity wrthout further
specified purpos8 and are available as general funds.
Restricted Funds are Subjected to restrictions on their expendrture imposed by the donor.
Designated Funds are unrestricted funds but eaTharked by the trustees for particular purposes.
le. Penslon costs and Other post•retlrement beneflts
The charitable company operates a defined contribution penslon scheme. Contrfbutions payable to the
charitable company's penslons scheme are charged to the Statement of Financial Activib'es in the p8riod to
which they relate.
Page 10

MIGRANTS RIGHTS NETWORK
Reglst•red Charlty Nth 1125746
Reglstsrod Company No. 06024396
STOTHEA
OUNT
FOR THE YEAR ENDED 31 PIARCH 2024
10. Taxatlon
The Chaiity is considered lo pass th8 tests set out in Paragraph 1 Schedule 6 of tthe Finance Act 2010 and
therefo￿ it meets the definition of 8 charftable company for UK ￿rPOration tsx purposes. Accordingly. the
Charity is potentially exompt from taxation in respect of income or capit81 gains received within categories
covered by Chapter 3 Part 11 of the Corporation Tax Act 2010 or Section 256 of the Taxatlon ol Charg6able
Gains Act 1992, to the 6xt8nt that such income or gain8 are appll&d èxdusively to Charitable purpos65.
1f. Dobtorn
Tradg and other d8btors are r8cognised at tho settl8m8nt amounL Prepayments aro valuod at amount prepald.
lg. Cash al bank and In hand
Cash al bank and in hand indudes cash and short-tem highly Ilquld investm8nt8 NMth a short maturity of three
months or less from the dal8 of acquisition or openinig of thg deposit or simllar aeLount.
1h. Llabllttlès and provlsk*n•
Liabllities are recognlsad wh8n ther8 is an obligation at the bal8n¢e sheet date as a result of a past 8v8nt, it Is
probable that 8 transfer of economlc benefit will b8 required in 88ttf8m8nt, and the amount of the 88ttlemont
c4n be estimated reliably.
Llabilities are recognlsed al the amount that th8 Charity anticipates it will pay to settle Ihe debt or the
amount It has recelvad as advanced paymonts for the goods or services it must provlda.
Provislons are mèasured at the best estimate of the amounts requlred to settle the obllgatlon. Where the
effect of the tlme value of money is material, the provision is based on the pres&nt Value of those amounts,
dlscounted al the pre-tsx dlscounl ratg that refl8cl$ Ihe dsks speciflc to thé Ilablllty. The unwtnding of the
dl8¢ount Ss recognls8d in the Stat8m8nt of financi818ctivities As a finance ¢ost,
11. Flnanclal Instruments
The Charity only has financial assets and financial liabilili6s of a kind that qualify as basic financial instruments.
Ba3iG financial instrumen15 are Inlllally recogni5ed at transacllon value and subsequenuy measured at Ihelr
s6tt16ment value wth the exception of bank loans which are susequenlly measured at amortised cost using
the effactlve Interest method.
1J. Crltical accountlng estlmatss and areas of Judgement
Estimates and judgements are continually evaluated and are based on historfcal experionce and other factors,
including expectations of future events Ihal are believed to be reasonable under Ihe ¢ircum6tsnces. The Charity
does not currently have any signiff¢8nt 8ccounting estimates or areas of judgement.
1k. Tanglble Flxèd Assets
Equipmenl and other tangible fixed assets are capitslised when the cost is £500 or more
Depreciation is provided at Ihe following annual rates in order to ￿lte off each asssl over its
estimated useful lif8.
Computer equipment
straight line over 3years
Page 11

MIGRANTS RIGHTS NETWORK
Registered Charity No. 1125746
Registered Company No. 06024396
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
Unrestricted
2024
Rostrfcted
2024
2 DONATIONS AND LEGACIES
2023124
2022123
Other Income - Donations
Disrupt Foundation
GLA -HK Communlty Fund
Joseph Rowntree Reform Trust
AB Charltable Trust
Grant - CAF Keystone Fund
Grant - Noel Buxton Trust
Grant- Paul Hamlyn Foundatlon
Grant -Players of People's Postcode Lottery
Garden Court Chambers
Travers Smith
Esmee FaSrbalrn Foundatlon
Esmee Fairbairn Funding Plus
Open Rlghts Group
Other Grants
Total Capital Project Income
5,221
5,221
10,000
18,984
40,375
25,000
10,000
25,000
60,000
25,000
5,626
10,000
18,984
40,375
13,209
25,000
10,000
25,000
60,000
25,000
4,000
1,000
44,000
6,980
9,778
150 221
219 579
3 Income -charitable Activltles
Income - Investments
14,301
14.301
1,620
393
2,013
Total Income
165,538
69,359
234,897
89,606
Page 12

MIGRANTS RIGHTS NETWORK
Reglstered Charity No. 1125746
Reglstered Company No, 06024396
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
4 CHARITABLE ACTIVITIES COSTS
Dlrect Costs
(see note 16)
Support Costs
(see note 6)
Total
Charitable Activities
157,846
33,721
191,667
6 DIRECTISUPPORT COSTS OF CHARITABLE J Unrestrlctsd Restrlcted
2024
2024
Total
2023124
Totsl
202W23
Fundraising Expenses - Subscriptions
Governance cost
Officce running cost
Premlses cost
Office/General Administrative Expenses
Professional fees
Project, Events & Workshops
staff salaries, volunteer and staff travel
Website
Depreciation - equipment
Dlrect Charltable Project Actlvlties
Total resources expended
266
2,896
2,348
7,148
189
4,250
2,021
10,574
3,388
661
266
2,896
2,348
9,308
169
4,250
2,021
20,023
3,388
661
146,237
191,567
3.077
10,152
2,160
920
8,084
124,333
2,137
661
9,449
146,237
157,846
33,721
147,364
Page 13

MIGRANTS RIGHTS NETWORK
Reglst8red Charlty No. 1125746
Reg18tornd Company No. 06024396
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MAR
6 TRU8TEEES' REMUNERATION AND BENEFITS
There was a totsl of £1,347 for Trust8es meetings and expenses for the year ended 31st March 2024.
7 STAFF COSTS
2024
2023
Wages and salaries
Staff salarles -Employers Nl
Staff salartes -Employers Penslon
138,665
7,529
104,421
4.018
4,987
113,426
154,482
The avarage number of 8mployees during th8 y8ar was 6 (2023.'51.
No employees recelved emoluments in excess of £60.000.
Page 14

MIGRANTS RIGHTS NETWORK
Registered Chartty No. 1125746
Reglstsrgd Company No. 06024396
NOTE
TO THE AC
OUN
FOR THE YEAR ENDED 31 MARCH 2024
8 TANGIBLE FIXED ASSETS
Computer
equlpmont
Totals
COST
At 1st April 2023
Additions
At 31st March 2024
9,459
9,459
9,459
DEPRECIATION
At 1st April 2023
Charge
At 3st March 2024
7,007
7,007
661
NET BOOK VALUE
At 31 st March 2024
1,791
At 31st March 2023
2,452
9 DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Debtors
Other Debtors
700
1.383
2.083
16,608
18,608
10 Cash at Hand and Bank
Petty Cash
Unity Trust Bank MRN
UTB-MRN Reserve
Total
84.714
39,433
124,203
63,846
63,846
Page 15

MIGRANTS RIGHTS NETWORK
Reglstered Charlty No. 1125746
Registered Company No. 06024396
NOTES TO THE ACCOUNTS
R THE YEAR ENDED 31 MARCH 2024
11 CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Social security and other taxes
Pensions
Other creditors
Net Wages
2,896
741
5,526
39
9,201
5,303
5,303
12 ANALYSIS OF NET ASSETS BETWEEN FUNDS
2024
Total
funds
2023
Total
funds
Unrestrlcted Restrlcted
fund
fund
Fixed assets
Current assets
Current Liabilities
1,791
126,286
9,201
118,876
1,791
126.286
661
80,454
5,303
75,812
118,876
13 MOVEMENT IN FUNDS
Net
movement
In funds
At
31.3.24
At 1.4.23
Unrestricted funds
General fund
61,827
37,006
98,833
Restrlcted funds
Restricted fund
13,985
75.812
6,058
43,064
20,043
118,876
Net movement in funds, included in the above are as follows:
2024
Incomlng
resources
2024
Resources
expended
2024
Movement
In funds
Unrestricted funds
General fund
165,538
137,849
27,690
Restricted funds
Restricted fund
69,359
53,984
15,375
TOTAL FUNDS
234,897
191,833
43,064
Page 16

MIGRANTS RIGHTS NETWORK
Reglstered Charfty No. 1125746
Reglstered Company No. 06024396
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
MOVEMENT IN FUNDS- contlnued
14 Comparative net movement in funds, in prior year 12 months included in the above are as follows:
2023
Incomlng
resources
2023
2023
Movement
In funds
Resources
expended
Unestricted funds
General fund
54,639
108,265
(53,626)
Restricted funds
Restricted fund
34,967
51,599
(16,632)
TOTAL FUNDS
89,606
169,864
(70,268)
A current year 12 months and prior year 12 months combined position is as follows:
Net
movement
In funds
At
31.3.24
At 31.3.23
Unrestrlcted funds
General fund
61,827
37,006
98,833
Restrlcted Funds
Restricted Fund
TOTAL FUNDS
13,985
75,812
6,058
43,064
20,043
118,876
Page 17

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MIGRANTS RIGHTS NETWORK
Raglstsrnd Charlty No. 1125746
Reglstered Company No. 06024396
NOTES TO THE ACCOUNTS
FOR THE
EAR ENDED 31 MA
CH20
MOVEMENT IN FUNDS - contlnued
FUNDING DE8CRIPTNE
• Esmee Falrbalrn Foundatlon offers an unrestricted core cost grant of £120,000 over three years.
Joseph Rowntree Reforni Trust provid8d funding to support our Words Matter- Cr8ating bold
migration narratlV8s campaign to create new and positive narratlV8s which shift attitudes around
migration and tackle divisive rhetoric, espacially thos8 in positions of power. To develop a community
of ambassadors and supporters to publicly champion new narratives around migration. and to
empower and enable migrants including refugees and migratised communities to speak twth to power
giving them a greater sense of belonging, and welcome.
Op8n Rlghts Group funded by the Dlgitsl Fr8edom Fund provided us with 8 grant as 8 partner
organisatlon to dellver on the right to work checks campaign end engage with those with lived
experience,
• Gard•n Court Chambern provided funding to support our policy and camp81gning activities to
defend civll liberties and the rights of migrants, and to impn)ve migrants, access to social justice.
Tudor Trust offered a grant for staff wellbeing and organisational support.
Immlgratlon Law Practltlonern, As80clatlon provided funding for MRNlcounsel for prfrlitigation
research to identify potential Highly Skilled Migrant (HSM) clalmants to build a legal strategy for
potential further strategic litigation. Numerous cases post-Balajigari have r81sed various common legal
themes which may require litigation to ensur8 fairness and transparency in how these cases are
determined.
Page 19

MIGRANTS RIGHTS NEfwoRK
Reglsternd Charlty No. 1125746
Roglstered Company No. 06024396
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
MOVEMENT IN FUNDS - continued
FUNDING DESCRIPTIVE
D18rupt Foundatlon have provided funding for reglon81 covenings for movement bullding and to
dlscuss what new futures beyond bord8rs might entsil., whilst building new coalitions for social justice
solidarity.
CAF Keystone Fund offered funding to support our dlgltal communlcatlons activiti8s, and incr8as8
our audience and engagement.
AB Charltable Trust offered unrestrlcted fundlng to support our pollcy influendng work and co-
creatlng campaigns with migrant communities.
GLA Hongkonger Communlty Fund offered fundlng to deliver the Migrants, Aspiration
Programme for London'8 Hongkonger communit188.
Paul Hamlyn Foundatlon offered unrestricted funding to build intersection81 alliances for
transformational changes to Ihe UK'S Smmigration systems.
The Post¢ode Soclety Tru8t offered unrestricted funding to support our community engagement
work, and enable migrants to become their own change-makers and build new supportive communities
to challenge inequality and discrimination.
Nool Buxton Trust offered unrestrided funding which we have used for our core coats, 80 we can
continue to work alongside migrants aff8Ct8d, and challenge the narrative discours8.
Clty Brldge Foundatlon- Anchor Programmo has offered funding towards the core costs of the
organis8tion, including the full-time salary of the Community and Capacity Building Manager to
increase collaboration, Solidarity and justice across the migrdnt sector as well as with intersecting
sectors (such as LGBTQ+. disability. race equality).
P8gg 20

MIGRANTS RIGHTS NEfwoRK
Registered Charlty No. 1125746
Registered Company No. 06024396
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
MOVEMENTS IN FUNDS- continued
16 A current year 12 months and prior year 12 months combined net movement in funds, included in the
above are as follows..
Incomlng
resources
Reources
•xpended
Movement
In funds
Unrestrlcted funds
General fund
220,177
246,114
(25,938)
Restrlcted fund8
Restricted fund
105,583
351,696
1,257
(27,193)
TOTAL FUNDS
324,503
17 RELATED PARTY DISCLOSURES
There were no related party transactions for the year 31st March 2024.
18 RECONCILIATION OF NET (EXPENDIYURE)IINCOME TO NET CASH FLOW FROM OPERATING ACTIVII
2024
2023
Net (expenditure)lincome for the reporting period (as per the
Statement of financial activities)
Adjustment for..
Fixed Assets
Depreciation charges
(Increase)Idecrease in debtors
Increasel(decrease) in creditors
Net cash (used In)Iprovlded by operatlons
43,084
(70,258)
{1,791)
661
14,525
{10,004)
60,357
(84,258)
19 ANALYSIS OF CHANGES IN NET FUNDS
At 1.4.23
Cash flow
At 31.3.24
Net Cash
Cash at Bank and in hand
63,846
63,846
63,846
60,357
60,357
60,357
124 203
124,203
124,203
Totsl
Page 21