REGISTERED COMPANI. NUhlBF.R: 067.51264 (F.ngl&nd and
REGISTERED CHARITY NUMBER: J128070
REPORT OF THE TRUSTEES AND
UNAIIDITED FINANCIAL STATEMEf*TS
FOR THE I￿AR ENDED 31 ￿(ARcH 2025
FOR
THE FURf4iTIIRE HELPLtNE
TrdViSS & Co Lid
Chartertd CeTrified AccounlaDts
Newtown House
38 NLl4'iown Road
Liphook"
Hampshi
GU3n 7DX

THE FURPl￿vRE HELPLINE
CO.4ITENTS OF THE FL%A.%CI.4L ST.4TE.MENTS
FOR THE I'EAR E)DED 31 M1￿h 2025
Page
Report of the Trystees
Independent Exgminer's Report
Statement ofFlnancial Actltrities
B4lgn¢e Sheet
Notes tu the FiThanrial Sialetnent5
9 to 16

THE FURNITURE HELPLINE IREGISTERED NUMBER: 06751264)
REPORT OFTHE TRI'STEES
FOR THE I'EAR E)DED 31 M1￿h 2025
The trustee5 who are also director5 of Ihe charity for the purw)sts of IIK Companies Act £(M)6. pre5enl their report wilh Ihe finaiKial
tLmLnl% of ihc Lh&rilv fvr thL LndLQ 3 lit March ?0?5. ThL havc JdoprLQ thc prL>N i%iL)n¥ ot- Accounting snd RLPOrting
by Chariiies.. Siatemeni of Recortunendei1 Prnciice appliiable io charities prepaing iheir accounts in accordance wilh rhe Financial
Reporting Standard applicable in the UK aDd Republii of Ireland (FRS 1021 Itffe£tive 1st JaDuary 2019).
We ¢L)lliinue lo moniior a y¢ar-on-year increase in demand for our charitable services and we are very pleased lo report ihat are
ablL lo mLLt thL.%c llLLdh prompily.
Our supply ot. much needed good qualit>. furnituie. Vi"hich is given freely to The most financially vuliierable members of the
community, Comes largely from our bulky waste collection roui¢s wliich we operate on kelialf of Guildford and Il'"av¢rl¢y Borou¥h
Council5.
Our Commitment io re¢y¢ling and reusing gTh)d qualily iiems from these collec(ion rouies means ihar we have been able to keep up
with the inLrtastd demand.
We also supply new kiichen applLances and beds on tehalf of Easi Hampghire Districi Council.
This year has been challenging in terms of siaffing levels and vehicle breakdowns. bur thanks to our motivated aThd driven ￿taff and
volunieers we have riben to it and ￿'¢re even able to expand our serYi¥¢ io in¢lud¢ parts of burtey we hadn't previously serviced.
The commercial income generared by our wasie colle¢iion w0￿- enobles us w fund our chariiable work in a coverage ar¢a of n¢arly
600 squarc milcb. LoTr'Lring parti of SLirrcy. HaM￿hirC and West Susscx. We rnailltdin Sinsiblc rcscTh.Lb and as always, wc arc
proloundly gtateful foi the ongoing support ol" GuildfoTd and Il'al'erley Borough Councils. East HaTnp5hiit Diilri¢t Counril,
Hampshire (.￿ntY Council, and all the gerKrous members of our communiN who prO￿lde furniture donations.
We iyere very grateful Lo receive ongoing grdnt funding from The National Lottery Cominuiiity Fund to 5UPPOTI our Grow Fresh
ProjeLI
where we leach petsple how 14) grovi food in ¥Ontain¢rs. Thi> has been a i'ery popiilar lrfal proje¢t, run with users of the
lo¢al food bank, so¢iallv isolated r¢sident.%. arKi ihose ¢Kperi¢ncinft food pov¢rtv but not ￿rr￿l[lY using tlie fwd baiik. In addition we
received £tiO,iX)O fiDm The Nation#1 Lottery COM￿unIty. Fund io purchase a new lony.
We were ve]Tr graieful io receiie £5.000 from The Alben Huni Tn￿1 io suppon our operarional expenses, and £10,000 from
H&mpshire County Council's Household Suptx)rt Fund for the provision of essential kitchen appliances and furniture for finaniiaily
VL)IDerdble residents In Ilamp5hiie.
OWECTIVES AND .ACTtVlTIES
ObjeetiTre5 and aims
The relief of fJnanLial harL1ship. either generally or individually by providing 01 ￿Ying foritems, services or facilities.
The conservation and proleclion of ihe eni'ironmeni for Ihe public ￿nefIt in partlcular. bul noi exclusively, through recycling or
r¥u%in¥ fuTnituie, appliance% and oiher household item%.
The relief of unemployD]ent for the benefii of the public in SLLch ways as may be thought fit, inclllding trdining or assisiance to find
emplo￿¢￿1.
The furtheranLe of %ULh uiher Lhdrithblv purpo￿ the may fmm time to lime deiemiine.
Page I

THE FURNITURE HELPLINE IREGISTERED NUMBER: 06751264)
REPORT OFTHE TRI'STEES
FOR THE I'EAR E)DED 31 M1￿h 2025
OBJECTIVES AND .4cTl￿.ITllES
SignificY4nt activitles
SulL uf discountid turniluTL. cILKtrical ttPPlJt￿¢ts. and uthLr hO￿￿l￿OId ItLmb to familits Ind indivjdualb Ln finunLial Liisjs ur on luw
incomes.
SLLpply of turniture and tleitrical appliances to families and individuals in finaniial crisis or on low incOn￿S, free of charge lo the
recipients ihrou(Fh ietertal srherne5.
- Sal¢ of dona*d items of fumiiure and household sundries th￿Ugh Fumiiure Helpline's siw)p.
LullLLtJdn (Trf lumiturL donaiiort% f(Trr thL PLIfiM)￿ olriLyLling and rLtsIL.
Recruitmtnt and trairbing ofvolunteers.
Providing Community faiilities and actii'ities.
COll￿tIon and recyeling of bulky household waste on behalf ofGuildford and Wav¢rl¢y Borough Councils.
Public benefit
The Trustees of The Fumliu￿ Helpline anrtually rewew ihe aimi obje¢iiv&s and aciivilies of the C￿nty.ThiS review prnxess I￿kS at
what has bttn achieved and the oulLome of their w'ork and aciii iiies over the pasl 12 months. The review considtrs the succ£ss of
key aclii'ities and the btntfit5 they ha￿¢ brought lo ￿0p]e which the charity u"dS fotmed to help.
The Trusiees have reterred io guidance coniained in the Chariry Commission's general ouidance ot) public benefii when reviewing rhe
ims and objtLtivcs, artd iti planning futurc aLliYiti¢s_ In panicular. th¢ Trnstcts hav¢ ¢onsidcrLd ho￿, planncd aLtivitics will
contribute io the airns and objectives Ihey have set.
ACHIEIIEMENTS AND PERFORTrIANCE
Furniture dom8ted delii'ered
Dclivcrcd 535 {2024 521) lten￿ of furnilurc 10 458110*4 .. 4411 Customc￿ ith financial crisis
Rectived 1501?0?4 .. 13?
-} Items ofdonatEd turnilure ITOM l? I i?0?4- 1141 donoT5
Total inconiing re%ouic¢s were £229 J48 12024.. £192.1611.
(iranls and donations amounted to £70.3IN CoM￿re￿ wilh £53,495 in 2024.
Furniture salei incliiding supply of esseniial while goods illcreased 10 £42291 12024 £25.2201. Bulk51 waste also increased to
£114,58312024 .- £11 ?,646)
Crisis Furniture Fund
The Fulld 15 U5td to provide free e55ential furnTlure and kitcF.en appliances lo irdividuals or faTnilie5 who are being rEhousEd, ofte
far from iheir home areas and at shorn noii¢e, into ac¢ommodaiion ￿"l[h no furnimre or kitclien applianc¢s. AliernatiN'elv they may
have %uddenly found Ihemselves in a situation where ihey are unable io afftsrd L%heniial iiems like beds.
The main ¢aubes for r¢feirals to our Crisis Fund are domestiL Jbuse homelessness. N4ost of the t8mili¢s who reLei¥'¢d free
fumiture wer¢ reterr¢d to Furniture Helpline by ageM¢ies who work directly with residents in crisi$ Siwations.
Bulky Waste CollectioN Service
Fumiiure Helpline collecrs household buity wasie iiems from homes wiihin Guildford and Waverlev borougts.
Futlliture Helpline endeavours to recycle or reuse as Tnuch of this waste a5 pDssibl¢. Alihough the majority of ltern￿ people are
disposing of are dain4iged. Ihe chzrity siill managed 10 recyile by weithi i?014 .. 150/.l. wilh rhe remainder being recycled by our
LtsmmerLial p￿[ne￿.
Page 2

THE FURNITURE HELPLINE IREGISTERED NUMBER: 06751264)
REPORT OFTHE TRI'STEES
FOR THE I'EAR E)DED 31 M1￿h 2025
FINANCIAL RE%'IEW
Donors
ThL tru%1L￿ would IikL t(p thank ThL donorb who makL IIIJPOtlant contiibutions Iv FutniturL HLlplinu. MuLh of thL uharity'b activJliL8
depend on ihetr support.
Full financial infoTmalioTr is available on pages 6 10 18.
S'I'RUL'I'UHL, GUIILRNANLE AP4D MANALLMLN'I.
Governing document
The Fumilure Helpline is a charitable company limited by guarantee. JniOryX)rated on 17th NoNember 2008 {reg. no. 67512641 and
re&FlStered as a Charity on l (iih Febn]ary' 2(W {reoiqirdtion no.1 1)110701_ The cornpany's M¢mordndum ofAssociarion estsblished the
objecis and powers of the charitable COTnpanv. which is gos'etned under ils Articles of Ass(￿]ation. The dire£tors of the company are
tru%tCLb tor Ihc purposts of Lharity Idw. Thc Bodrd has- ovcrdll TC8trf)n8ibility for poliLy. for financc and the provi%ion of faciliti
needed to enable Fum1¢U￿ Helpline 10 fulfil its obje¢LS.
Induction and trainin¥ of Nem. tru5tee5
The meihod ol. appointmenr of Tnisiees ]s by applicatio￿rec￿ttda[1ott al￿ subsequeni in1ervie￿ by members of ihe Board and, if
ppIILablL, appointmcllt at a subsLqUCnt mccting. MLmbcrs arc appointcd to usc thcir skills and txpcricntc and ihus no SPCLifJL
induction training is required. Howei'er, new members arc directed io the guicance available on tli¢ Chariry Commi$5ion ￿ebsit¢
regarding theii rtsle as th Tntstee.
REFERENCE AND ADMII¥ISTRA TIYE DETAII
Registered Cornpanv number
06751964 and W'ales)
Registered Charitv ￿UTThber
11ti8070
Registered
Passfield Bubiness Centre
Lynchknrough Road
Liphook
H&mpshire
GU30 7SB
Tru5t¢es
Mr Nl F CartWTight {re5Lgned 1.8.24)
Mrs E A Cartmright OBE
MT O G Martin
Dr J Pidgeon
Ms J E Rubgrt
Mr P H M Robinson
Mr S A Nardeechia (appointed 1.8.24)
Comp#Dy Seerttar>
Mr D George
Page 3

THE FURNITURE HELPLINE IREGISTERED NUMBER: 06751264)
REPORT OFTHE TRI'STEES
FOR THE I'EAR E)DED 31 M1￿h 2025
REFERENCE AND ADM1Tr41STRATIVE DET.41LS
Independent Exarlliner
S E MourL FCCA
Traviss & Co Lid
C'hanered Certified Accountanis
NewTown House
38 N¢￿'Town Road
Liphuuk
Hampshire
GU30 7DX
Approved by order of the board of trusltes on 18 tkcember 20?5 al￿ sigtled on its behalf by..
Dr J Pidgcon- Tmslc¢
Page 4

lTraDEPENDEf4T EX.4lItNF.R'S RF.PORT TO THE TRUSTEES OF
THE FLRNITLRE HELPLDE
Independellt examiner's report to the trustees of The Furnilure Helpline {'tbe Cornpan)-')
I report to the Lharity trubtees on my examination of the aCLoL￿)ts of the Company for the year ended 31 March 2025.
Re5pon5ibllitks aThd bas55 of report
A% ihL iharilj'b ItustL￿￿ of IhL Cvrnpany land alsu its d]rLilo1￿ for thL pufpvsL* of uvnipany lawl you tirL r¢%pon8iblL for thL
preparation of ihe aLcounis in accordance wilh ihe requ￿¢MentS of ihe Companies Act 20(b I'ihe 2006 Aci'}.
H&ving sali51ied mv5elt thal the acCou￿t5 of the Covnpany are not required to be audiied under Part 16 ol. the 20Q6 Act and are
eligible for independeni examination, I repon in resp¢¢i of my examinaiiLin of )'i)ur chaniy's accounis as Carried out under Se¢iion
145 ol- thL LharitlL% ALI 2UI I I'thi ?Ul l Act'l_ lrt cartying ollt my Lxaminalion A havL followul ihL DirLLti4Trn% givLn by ihL Lharity
Commi55i0n under Seciion 145151 Ibl of Lhe *0 I l Act.
Independent ¢T8miner'$ Statement
I haN'e cornpleled my examination. I confirm that no tnalter5 have come lo attention in connectitxj wilh the examination Riving rne
Lau%c lu bellL￿L=
accounting records were not kept in rest￿1 of ihe Company as required by Section 386 of the 2(K>6 Act; or
the accounts do not accord w'ith those records." or
Ihe accounis do noi comply wilh ihe aceouniing requiremenis ofseciion.196 of the 9IKJ6 Aei other rhan any requiremeni thai
thc aLcounts giwc a truL atld tair i'icw w.hich is noi a mattif Lonsidcrcd as part of an indLpcndLnt c.iarnin&tion' or
the aecounts have been prepared in accordance with the niethods and prin&iples of the Statement of. Recomnitnded
Piacti¢e foi accounting and reponing by charities iappllcable to charities preparing their accounts in aicordance witl) the
Financial ReportinLT Stdnddrd appI￿Able in the and Republic of Ireland IFRS 1021)-
I havL no COnLLrnS and havc comc aLross no oihcr rnattcrs in Lonnectioji w'irb thc cxamination to which attcntioii should bL drnwn in
th15 ieport in order to Enable a proper unde￿larIdIng ol'ihe accounls 10 be r￿Ched.
S E Moore FCCA
The A550ClatioD of Charte￿d Certified Accountants
Tra￿1$8 &. Co Lid
Chartered c.ertified Accountant5
Newiown House
38 Newtown Road
Liphook
HJinp%hire
GU30 7DX
18 Deceniber 1025
Pag¢ 5

THE FURPl￿vRE HELPLINE
gTATEfvIENT OF FI.*￿￿clAL.4cTI￿ITIEs
FOR THE I'EAR E)DED 31 M1￿h 2025
202.5
Total
futid5
?024
Total
fund5
Unresiri¢ted
fund5
Resiricted
funds
Nol
INCOMEAND ENI)OII'MENTS FRO￿[
Donaiioiis and legaiie5
5.763
64.541
70,304
53.496
Other trading activities
AnvL%tinLnt inLomL
Total
157,056
i.yxx
164.807
15 1,056
1.gx
229.348
137,981
684
192.161
t4.541
E.XPEIYDITLIRE OF4
R&isirt2 funds
Other rTadinkF a¢tiviti¢s
140.f 56
140.856
44.133
44.133
184.959
184.989
166.768
166.768
Charitable activities
vcmartc
SuprKJft costs
1269
7.107
1,269
1250
7.614
Other
Total
312
154.9?1
IW,366
177369
NET If*COME
Transfers betw'een fund$
Nti movemtlll in fund%
9.886
20,096
29,982
14.792
79.886
96
29,982
14.792
RECOTrICJLIA TION OF FUNDS
Ti)tal tunds brouL>ht tanvard
73.065
23,473
96,538
81,746
TOTAL FUNDS CARRIED FORWARD
l J?.9SI
1 ti11 520
96
The notes foTh part of these financial statements
Page 6

THE FURNITURE HELPLINE IREGISTERED NUMBER: 06751264)
B.4LAP4CE SHEET
31 i¥lsrch 2•?5
202.5
Total
futid5
2024
Total
fund5
Unresiri¢ted
fund5
Resiricted
funds
Nol
FIXED ASSETS
Tangible as5eis
16.312
934
1.497
CURREiYT ASSETS
SioLk
DebtOT5
Cash at bank and in hand
1.727
8.571
1,727
8.641
111.080
121,448
10
70
802
22,872
98576
104.97C
C.REDITORS
Amounts falling due within one year
111.9371
(237
(12.1741
19,9351
NET CURRENT ASSETS
TOT.4L ASSETS LESS CURREf*T
LIABILITIES
109.951
1_4.569
126,52
96.538
NET ASSETS
FLLYDS
102 951
23.569
126520
13
Unie%iri¢ieJ fund
Rests'icted funds
TOT.AL FUNDS
10?,951
23.-$69
73,065
ThL LhaiiiablL Lomp£illv J% Llltitlid to CXLmption fn)in audit undLI st￿tiOn 477 of thL corn￿￿]L5 ALt 200fi foi thL yLal LndLd 31
March 202£
The members have noi required ihe ¢ompanv io obiain an audii of its financial sraiements for the year ended 31 March 2025 in
accord>￿Le with SLLiion 476 of thL C(TrJnpanics Aci &(K)6.
The Irustees acknowledge their rtspon5ibilities t-or
ensuring that the chanlable company keeps accounting records ihat comply wilh Seclions 386 and 387 of the Companie5 Acl
21106 and
preparing financial statern¢nts which giY¢ a mi¢ and fair view of ihe sthie of affairs of th¢ ¢haritable compally as at the end of
e&ch financial year and of its burylus or deficit for eaih financial )'ear in a¢¢ordance w'ith the requirements tsf Sections 394
and 395 and whi¢h oihemi%e comply ￿'1th the requiremen15 01 ihe Companies ALI 2(M)6 relating t() tinancial %ia(ement%,
far as #pplicable ro Ihe Chaniable company.
Ibl
The notes foTh part of these financial statements
Page 7
continued...

THE FURNITURE HELPLINE IREGISTERED NUMBER: 06751264)
BALANCE SHEET- eontlnved
31 i¥lsr¢h 2•?5
These finanLial StateM￿t5 have been prepare<l in accordance wilh the provisions Jpplicable to charitable companies subject ts) the
sinall ¢ompani¢5 Tegitn¢.
The financial statements were approi'ed b) Ihe &)ard of Trnsiees and auihorised for issue on IS December 2025 and were sigmed on
ils behdf by..
Dr J Pidg¢on - Twst¢¢
The notes foTh part of these financial statements
Page 8

THE FURPl￿vRE HELPLINE
'OTES TO THE FLNANCI.4L ST.4TEI¥IE.%TS
FOR THE I'EAR E)DED 31 M1￿h 2025
ACCOUNTING POLICIES
Basis of preporing the finonci#I ￿¥tements
The finan¢ial staienienis of ihe Lhjritable company, which is a public ￿ller1[ eniity under FRS 102. have been prepared in
accordaiice with the Ch￿Ill¢S SORP (FRS 10?) 'Accoulliing and Reporting by Charities= Siatement of Recomtnended
Praciice applicable to charilies preparing their ac£ount5 in 3rcoidJnce ￿'Ith the Financial Reporting Standard applicable in the
UK and Republic of Ireland IFRS In21 leffe¥iike l January
0191.. Financial Retx)ning Siandard 102 'The Financial
KLpuning Sldndaid applicabli In thL kLpublic ul IrLland' and thL Lomp¥iniL% Acl 21K>h_ I hL tinancial %tatLniLnts
have been prepared under the historical cosl coni"eniion.
In¢on7¢
All income is rccogni5ed in the StatemeDI of FinaDcial Activilits once Ihe charity has enlitlement 10 the flind5. 11 is probable
that th- incumc will bc rLLeivcd and thc arnouni call bc mc&surcd rcliably.
Expendlture
Liabilities ale recognised expetKliture as 500n as there 15 a leuJl 01 CO￿¥￿[uch￿r obligation conimittingF the charity tD that
expendiiure. li is probable Ihar a iransfer of economic tenefirs ￿.11] be required in selllemeni and the amouni of Ihe obligaiion
can bt measurcd rcli&bly. Expcnditure is &courticd for on an accmajs bas-ls and has bctrn LI￿lfied undcr hLadin4s that
aggregate all cost related to the category. Where cosis cannoi be dirtctl). atiribuied io particular kadings Iliey have be¢n
alloLaied to actii ities on a b#sis ionsistent with the use of rl￿￿te5.
T4ngible fixed a5seis
Dcpr&iation is provided di thc following annual rdlcs LD ordcr to writc off cach &ssct ovcr its Cstimarcd useful lifc.
Plunt & Nfachir￿ry
Motor vehicle5
Computer equipmeni
240/0 on iethicing balance
24Q/o on cosi
37￿/0 on Lo
Stocks
Siock4 are valued at the lower ol'eost and net ￿￿11$able value. after making due allowJnie for obsol￿e k￿d slow movin¥
iiems.
Taxatio
ThL ch&rity is exempi from corporaiion t&¥ on its clwiLqble aciiviiies.
Fund accounting
Unrestricted funds. can be us¢d in xconl#nLe with the charitable objectives at the discretion of the trnstees.
Restricted lund5 can onl) be used for particular re51rIct￿ PUTwyses within Ihe objects ofihe charity. Re51riclion5 aTi5e when
%pecified by the donor 01 when ￿[M]S are Tais¢d for particular rebtricted put￿￿4.
Further explanation of ihe nalurt alld purpo* of each fund is included in the notes to the fIn￿CIal staiements.
Pen5ffion costs and olher post-retlrement benefits
The charitable compan! defined LuntribulM)n ￿heMe. Contrjbulitsns ￿Vable tu the Lharitdble Lompany's
pension scheme charged to the Sthiemeni of Financial Aciiiiiies in tht period to which they relate.
Page 9
continued...

THE FURPl￿vRE HELPLINE
r4oTES TO THE FI￿..4.￿ciAL STATEMENTS- co￿1&n￿ed
FOR THE I'EAR E)DED 31 M1￿h 2025
OTHER T114DING ACTIVITIES
2025
2024
FumiNre sales
Bulky waste colleciioll
Oiher income
Grow vour own sales
42291
114,583
83
99
157056
25.220
112.646
42
73
INVESTi¥IENT IPICOME
2025
2024
Deposit account inierest
1.988
684
NET INcO￿lE1(EXPENDITLRE)
Nei intoine/(exptnditurtl is Stated afttrr ibatgin&l(crediting)-
2025
2024
Depre¢iaiion- othmed Jsseis
Other operating leases
D¢fi¢it on dibwsal of fixed &ssets
6.001
2.522
8.13
2.459
TRUSTEES, REMUNERATION AND BENE￿s
There were no tmstees, remuneration or other benefits (or ihe year ended 31 March 2025 nor for the year ended 31 Lklarch
2024.
Trust¢￿, eAptnstS
There were tru5tees' paid for the year erjthd 31 March 2025 nor IOT the year ended 31 Mairh 2024.
Page 10
continued...

THE FURPl￿vRE HELPLINE
r4oTES TO THE FI￿..4.￿ciAL STATEMENTS- co￿1&n￿ed
FOR THE I'EAR E)DED 31 M1￿h 2025
STAFF COSTS
Th¢ aNLn)gL tnonthly numk-r of LinpIoyLLb durin8 IhL ycar as fo114)M'%."
2025
2024
AdmIni￿tratIon and 5UPPOrt
No ernployees ieceived eTtLolutneTrts IN exceks of £fiO.O(M).
ANALYSIS TO THE ST.4TEfvIENT OF FINANCIAL ACTIVITIES
Unrestri¢ied
funds
Resiricled
nds
Tot31
fi￿dS
INCOME AND EIYDOWMEIYTS FROM
Donations and legaiies
10,056
53,4Y6
Other trading activities
Investrntnt inLame
Total
117,981
(>84
148 721
137,981
684
192 161
EXPEIYDITLRE ON
Rgisimg funds
Other trading activitie5
114.822
134,822
31.946
il,946
166.708
166,768
Charitable activiti¢5
Guvern￿Ll
Support costs
1.250
7.614
1,250
7.614
Other
Total
582
,528
1.737
177_369
144,841
LYET INCOfvIE
Transters Ijet￿een fund5
Net movement in funds
3,880
703
4,583
IV,Y12
14.792
14.792
RECONCILIATIO￿ OF FUNDS
Toial funds broug)ht forward
68.4R2
li.264
1.746
TOTAL FUNDS CARRIED FORII'ARD
96
Pagell
continued...

THE FURPl￿vRE HELPLINE
r4oTES TO THE FI￿..4.￿ciAL STATEMENTS- co￿1&n￿ed
FOR THE I'EAR E)DED 31 M1￿h 2025
TANGIBLE FIXED ASSETS
Plani &
MaLhinLry
Motor
Compuler
C4UIPTTrLml
COST
At l April 2n24
Additions
At 31 MarLh 202)
DEPRECIATIOP4
At l ApTiI 2U24
.954
4.2n5
21.750
21,750
?.954
25.955
1.7U8
312
1.020
2.708
6.001
ChaTgJ¢ fvr y¢Jr
At 31 March 2025
NET BOOK V4LUE
At 31 Nqarch ?025
At 31 March 2024
5.43S
5.438
?51
1.251
934
?51
STOCk"S
2025
2024
Stock5
DEBTORS: AMOUNTS FALLING DUE IVITHIN ONE YEAR
2025
2024
Tiade debto
Oiher debtors
VAT
Prepayments
6,373
4?8
634
1,360
321
Page 12
continued...

THE FURPl￿vRE HELPLINE
r4oTES TO THE FI￿..4.￿ciAL STATEMENTS- co￿1&n￿ed
FOR THE I'EAR E)DED 31 M1￿h 2025
CREDITORS: AMOUYTS FALLING DUE II'ITHI.% ONE IEAR
2025
2024
Trade crediiors
Social security and othert&xes
2,987
1,894
5.341
752
2.085
2.128
3,923
599
1.2LK)
VAT
Oiher cr¢diiors
ALLllJid CXPLnsL%
J2.
LEASIYG AGREEMENTS
Minirnum lease payrnent5 urmkr non-cancellable operatin¥ le&Nts fall due a5 follows.-
2U25
2U24
Within onc ycar
The lagse Commilmeni relates io the ioial renthls payable io the end of ihe lease tem) bui noi pro&ided for in the balance
13.
MOVEMENT IN FUNDS
Net
oi'ement
in fund
Transfers
betw'een
At 1.4.24
31.3.25
Unrestricted funds
General lund
Electricals
53.Ih5
20.IXIO
73.065
9,886
22.130
85.081
9.1186
20.0(K)
102,951
Restrieted funds
Crisis fund
EHDC Upcyclin¥ GTh2nt
Grow Your Own
Lorry ¥rdnt
9,925
{2.630)
7,295
934
15,340
1?.302
3.078
2U,00
?0.096
20,(KMJI
TOTAL FUNDS
126 52
Page 13
continued...

THE FURPl￿vRE HELPLINE
r4oTES TO THE FI￿..4.￿ciAL STATEMENTS- co￿1&n￿ed
FOR THE I'EAR E)DED 31 M1￿h 2025
13.
mOvE￿IENT IN FUTrIDS- continued
Nil muvctnLThI in fundb, InLludid Jn thL nboi'L arL followb-.
Incoming
re50urce5
Resources
expermled
Mol'etnenl
in tun&
unre￿ncted funds
General fund
1fv1.807
1154,9211
9,886
Restricted funds
Crisis fund
EHDC UpLyLlin¥ Grant
Grow Your Ow
Lorry grant
{12,6301
13121
{31 4031
12.6101
34.541
20,000
64.541
229.348
3.038
20,000
44.4451
11)1) 3661
TOTAL FUNDS
()g2
Comparatlves for mowvmetht In funds
Nct
Trallsfcrs
between
funds
TnoN'¢ment
Ai
31.3.24
Ai 1.4.23
in fimds
Unrestricted funds
General I'und
El¢¢trica15
6?.V30
6.4£2
68,482
(9.668)
703
53,065
20,OC)O
73,065
3,880
703
Re$tric¢ed funds
CT]51s fund
EHDC Upcycling Grant
Grow Your Own
8,479
5%?)
3.n15
10.912
9,925
1.246
12.302
73.471
(7031
TOTAL FUNDS
Page 14
continued...

THE FURPl￿vRE HELPLINE
r4oTES TO THE FI￿..4.￿ciAL STATEMENTS- co￿1&n￿ed
FOR THE I'EAR E)DED 31 M1￿h 2025
13.
mOvE￿IENT IN FUTrIDS- continued
Compat8tivc tnovLmcnt In fund%, ItJLludcJ In thL 8bDVL arc ab follvws-.
Incoming
re50urce5
Resources
expermled
Mol'etnenl
in tun&
unre￿ncted funds
General fund
Electncals
138.721
10.000
148.721
1148.3891
19,6681
{144.8411
3,880
Restrlcted funds
Cri414
10,(KHJ
8,479
15821
3,015
EHDC Up¢y¢ling Grani
Grow Your Owtl
15821
30,4?51
132.5281
I 177.3691
3.3.440
43.440
TOT.4L FUL¥DS
A current year 12 months and prior year 12 months combined r￿lI10n isas Collow>.
ei
[n0￿c￿1cnt
in funds
Translers
bctwLLn
funds
At
31.3.25
Ai 1.4_23
UNrE5tricted fulld5
General fund
EIcLtriLdl
61,030
6.45?
68.482
22,8.31
2,liUI
0.703
85,081
13,548
13.766
102.951
Restricted funds
Crisis fund
EHDC Upcyclin8 Grdni
Glow Yourow
Lory grant
5,849
18941
6.051
20.I)00
31.0118
44.774
7.295
934
15,340
(703)
20.0￿)
20,70_31
TOTAL FUNDS
126 520
Page 15
continued...

THE FURPl￿vRE HELPLINE
r4oTES TO THE FI￿..4.￿ciAL STATEMENTS- co￿1&n￿ed
FOR THE I'EAR E)DED 31 M1￿h 2025
13.
mOvE￿IENT IN FUTrIDS- continued
A curtLnt ycur 12 months and piior yLai 12 monthb ¢UtnbinLMI ncl moi'ctnLnt in FU￿d&. Inuludcml In thL ab￿v6 urL us follows..
Incoming
re50urce5
Resources
expermled
Mol'etnenl
in tun&
unre￿ncted funds
General fund
Electncals
30.3.528
10.000
313.528
130.1.3101
3.548
{299.7621
218
13,766
Restrlcted funds
Cri414
20.IXHJ
5,%49
18941
6,053
2Q.OOn
31.￿8
EHDC Up¢y¢ling Grani
Grow Your Owtl
Lorry grant
18941
{61,9?81
67.981
2a.o(xJ
107.981
421509
76.9731
)76 7351
TOTAL FUNDS
14.
RELATED PARTI. DISCLOSURES
ThciL wcrc nv rLlatcd Warty tiaTL*<lLtions furthc yfdf l￿dC￿ 31 Nlarch 2025.
Paee 16

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